Foster-Miller, Inc. v. Babcock
Case Date: 02/09/1995
Court: United States Court of Appeals
Docket No: 94-1498
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UNITED STATES COURT OF APPEALS FOR THE FIRST CIRCUIT _________________________ No. 94-1498 FOSTER-MILLER, INC., Plaintiff, Appellant, v. BABCOCK & WILCOX CANADA, Defendant, Appellee. _________________________ APPEAL FROM THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF MASSACHUSETTS [Hon. Richard G. Stearns, U.S. District Judge] ___________________ _________________________ Before Selya, Circuit Judge, _____________ Aldrich, Senior Circuit Judge, ____________________ and Boudin, Circuit Judge. _____________ _________________________ James J. Foster, with whom Michael A. Diener and Wolf, ________________ ___________________ _____ Greenfield & Sacks, P.C. were on brief, for appellant. ________________________ Peter L. Resnik, with whom Cherie L. Krigsman and McDermott, _______________ __________________ __________ Will & Emery were on brief, for appellee. ____________ _________________________ February 9, 1995 _________________________ SELYA, Circuit Judge. In Boit v. Gar-Tec Prods., Inc., SELYA, Circuit Judge. _____________ ____ ____________________ 967 F.2d 671 (1st Cir. 1992), we urged district courts to take a flexible approach in handling motions to dismiss for lack of in __ personam jurisdiction, and, concomitantly, to tailor procedures ________ for use in those purlieus. Turning from the general to the particular, we recommended that district courts employ varying levels of scrutiny in connection with such motions, adapting the level of scrutiny to the exigencies of the individual case. See ___ id. at 674-78. Among other possibilities, we suggested using a ___ special intermediate standard when "factual issues are common to both the jurisdictional question and the claim on the merits . . . ." Id. at 677. ___ The case before us today an appeal by Foster-Miller, Inc. (FMI) from an order dismissing its commercial tort action against Babcock & Wilcox Canada (BWC) illustrates vividly that Boit's flexible approach demands circumspection in its ____ application. In this case, the district court applied Boit's ____ intermediate standard too rashly when, eager to test whether a legally sufficient showing of jurisdiction had been made, it neither gave the parties adequate notice that it intended to use this special standard nor ensured that FMI had a fair opportunity to gather and present the evidence necessary for such a showing. While we are not without sympathy for the district judge he inherited this case midstream, and Boit, in retrospect, should ____ have emphasized the need to forewarn litigants of a trial court's intention to go beyond the prima facie standard typically 2 associated with motions to dismiss under Fed. R. Civ. P. 12(b)(2) we cannot permit the dismissal order to stand. I. THE FACTS I. THE FACTS We sketch the operative facts, drawing liberally from the lower court's opinion. See Foster-Miller, Inc. v. Babcock & ___ ___________________ _________ Wilcox Can., 848 F. Supp. 271 (D. Mass. 1994). ___________ The parties to this appeal are quondam competitors: FMI is a Massachusetts corporation engaged in furnishing sludge and particle removal services for nuclear steam generators; BWC is a Canadian firm that, among other things, services such generators. At its core, the litigation concerns a virtual meltdown of the parties' relationship, which in turn detonated a lawsuit. The tale follows. As early as 1988, FMI and BWC entertained the prospect of a joint venture to furnish sludge removal services to Ontario Hydro, a Canadian utility. Although the joint venture idea stalled and the principals went their separate ways, Canada remained an alluring target. But the road to prosperity had a large pothole. FMI's then-extant technology, known by the acronym "CECIL," featured flexible lances that directed powerful bursts of water at pockets of sludge found within the hard-to- reach crannies of nuclear steam boilers. While this system had distinct competitive advantages over BWC's rival rigid lance system, neither system performed satisfactorily in the cleansing of Canadian boilers (known in the trade as Candu boilers). Determined to detour around the "can't do Candu" 3 pothole and penetrate the Canadian market, BWC set out to design a lance of unprecedented flexibility. In 1989, while BWC's development efforts were underway, Ontario Hydro (acting on behalf of a consortium of Canadian utilities) retained FMI to study the feasibility of adapting FMI's flexible lance technology for use in Candu boilers. As part of this endeavor, FMI contracted with a well-known supplier, U.S. Composites (CompCo), to create a new type of hose. In March 1990, Robert A.S. Lee, an FMI employee who had been instrumental in perfecting CECIL, attended an industry conference in Tennessee. Daniel St. Louis, a BWC engineer involved in that company's push to fashion a flexible lance, attended the same session. During a previous encounter, the men had casually discussed high pressure hoses. On this occasion, their conversation became more detailed and focused on the possibility of reinforcing high pressure hoses with certain fibers. The discussion proved prophetic: a few weeks thereafter, CompCo delivered the special hose that FMI had asked it to design. The hose was thought in certain quarters to represent a technological breakthrough. One of its more revolutionary features was a double-layered Kevlar sheath that supplied desired reinforcement. On May 11, 1990, an Ontario Hydro representative, James Malaugh, traveled to FMI's plant in Waltham, Massachusetts, to assess FMI's progress. Seeking expertise and insight, Malaugh invited St. Louis to join him. Nonplussed, FMI allowed St. Louis 4 to attend only after BWC signed a confidentiality agreement. The agreement, duly executed by a ranking official of BWC and transmitted via facsimile machine from Canada, acknowledged that FMI "anticipate[d] disclosing . . . certain information of a novel, proprietary, or confidential nature," and memorialized BWC's promise "not to use [the] information for any purpose unless specifically authorized in writing by FMI." The agreement also stipulated that FMI would be entitled to relief for any breach. William Leary, the FMI engineer in charge of the Ontario Hydro project, hosted the Waltham session. The participants debated various aspects of flexible lance technology, including the preferred characteristics of the hose and possible methods of reinforcement. At one point Leary, responding to a direct question by St. Louis, identified CompCo as FMI's supplier. Not long after the Waltham meeting, St. Louis contacted CompCo and inquired about the possibility of that company fabricating a similar hose for BWC. St. Louis' suggestion that FMI would not object proved overly sanguine; after consulting with FMI, CompCo rebuffed BWC's overtures.1 Undaunted, BWC forged ahead in its research effort. It eventually succeeded in manufacturing its own flexible lance, suitable for Candu boilers. Thereafter, Ontario Hydro awarded BWC a lucrative contract. ____________________ 1Nonetheless, BWC managed to obtain a sample of the special hose. The parties dispute whether this occurred before or after the May 11 meeting. 5 II. THE LITIGATION II. THE LITIGATION On November 12, 1993, FMI, claiming to have gotten hosed, commenced suit against BWC in the United States District Court for the District of Massachusetts. Invoking diversity jurisdiction, 28 U.S.C. 1332 (1988), FMI charged breach of the confidentiality agreement, misappropriation of trade secrets, and unfair competition. BWC moved to dismiss for lack of in personam __ ________ jurisdiction or, in the alternative, on the basis of forum non _____ ___ conveniens. __________ Judge Keeton drew the case. Concerns about the parties' trade secrets slowed discovery to a crawl. At a conference held on December 16, 1993, Judge Keeton scheduled a hearing on the motion for January 4, 1994, restricted discovery for the time being to matters "bear[ing] upon the jurisdictional issue," and advised counsel that, absent an agreement dissolving the discovery deadlock, he would use the traditional prima facie standard, not the special intermediate standard, in evaluating the motion to dismiss. At that point, fate intervened. In a routine shuffling of cases ancillary to the appointment of several new judicial officers, this case was plucked from Judge Keeton and reassigned to Judge Stearns. The January 4 hearing never materialized. Instead, Judge Stearns heard the motion to dismiss on February 1 and 2, 1994. Though the discovery dispute had not been resolved, Judge Stearns, to FMI's obvious chagrin, undertook not only to probe the existence of the basic facts on which jurisdiction 6 might be premised but also to adjudicate certain ultimate facts (e.g., whether the participants actually disclosed any ____ confidential information at the Waltham meeting).2 And he applied the special intermediate level of scrutiny rather than the more easily satisfied prima facie standard. The district court granted the motion to dismiss. After stressing the importance of the Waltham meeting to the jurisdictional issue BWC, after all, had no other significant contacts with the forum Judge Stearns articulated two bases for refusing to exercise jurisdiction. First, he found it unlikely either that proprietary information had been disclosed at the meeting or that such information came into BWC's possession as a result of the meeting; therefore, FMI's cause of action did not arise from BWC's participation in the meeting as required by the Massachusetts long-arm statute. See Foster-Miller, 848 F. Supp. ___ _____________ at 276-77. Second, and alternatively, the judge concluded that, even if FMI's claims did arise from BWC's participation in the Waltham meeting, it would be unreasonable for a Massachusetts- based court to exercise jurisdiction over BWC, in part because the court might not be able to grant effective injunctive relief. See id. at 277. ___ ___ FMI moved for reconsideration, specifically withdrawing ____________________ 2Because the scope of this inquiry caught FMI off guard, it tendered a series of post-hearing offers of proof in an effort to make up lost ground. We do not comment on the timing of FMI's proffers. Further proceedings in the district court are obligatory, see infra Parts IV(C) & V, at which time new ___ _____ evidentiary submissions can be assembled. 7 its prayer for an injunction. Judge Stearns denied the motion without comment. This appeal ensued. III. SPECIFIC PERSONAL JURISDICTION III. SPECIFIC PERSONAL JURISDICTION Prior to reexamining the Boit framework, we rehearse ____ certain general principles of law relating to specific in __ personam jurisdiction. ________ Personal jurisdiction implicates the power of a court over a defendant. In a federal court, both its source and its outer limits are defined exclusively by the Constitution. See ___ Insurance Corp. of Ireland v. Compagnie des Bauxites de Guinee, ___________________________ _________________________________ 456 U.S. 694, 702 (1982). There are two different avenues by which a court may arrive at personal jurisdiction. One frequently traveled route leads to general jurisdiction. "General jurisdiction exists when the litigation is not directly founded on the defendant's forum- based contacts, but the defendant has nevertheless engaged in continuous and systematic activity, unrelated to the suit, in the forum state." United Elec. Workers v. 163 Pleasant St. Corp., _____________________ _______________________ 960 F.2d 1080, 1088 (1st Cir. 1992) (Pleasant St. I). Here, _______________ BWC's forum-related contacts are far too scanty to justify the invocation of general jurisdiction. See Foster-Miller, 848 F. ___ _____________ Supp. at 273 (marshalling certain undisputed facts). When general jurisdiction is lacking, the lens of judicial inquiry narrows to focus on specific jurisdiction. As the label implies, this focus requires weighing the legal 8 sufficiency of a specific set of interactions as a basis for personal jurisdiction. See Helicopteros Nacionales de Colombia, ___ ____________________________________ S.A. v. Hall, 466 U.S. 408, 414-15 & nn.8-9 (1984) (recognizing ____ ____ "general" and "specific" jurisdiction and distinguishing between them); Pleasant St. I, 960 F.2d at 1088 (similar); Donatelli v. ______________ _________ National Hockey League, 893 F.2d 459, 462-63 (1st Cir. 1990) _______________________ (similar). In that exercise, the applicable constitutional limits assume critical importance. We explain briefly. The existence of specific personal jurisdiction depends upon the plaintiff's ability to satisfy two cornerstone conditions: "first, that the forum in which the federal district court sits has a long-arm statute that purports to grant jurisdiction over the defendant; and second, that the exercise of jurisdiction pursuant to that statute comports with the strictures of the Constitution." Pritzker v. Yari, ___ F.3d ___, ________ ____ ___ (1st Cir. 1994) [No. 93-2374, slip op. at 9]; see also ___ ____ Ticketmaster-New York, Inc. v. Alioto, 26 F.3d 201, 204 (1st Cir. ___________________________ ______ 1994); Hahn v. Vermont Law Sch., 698 F.2d 48, 51 (1st Cir. ____ __________________ 1983). Although we deem the first of the cornerstone conditions to be self-explanatory, the second condition requires amplification. This condition implicates three distinct components, namely, relatedness, purposeful availment (sometimes called "minimum contacts"), and reasonableness:3 ____________________ 3This trilogy forms an interesting contrast with the jurisprudence of the branch of the Massachusetts long-arm statute that applies in many business disputes. See Mass. Gen. L. ch. ___ 9 First, the claim underlying the litigation must directly arise out of, or relate to, the defendant's forum-state activities. Second, the defendant's in-state contacts must represent a purposeful availment of the privilege of conducting activities in the forum state, thereby invoking the benefits and protections of that state's laws and making the defendant's involuntary presence before the state's courts foreseeable. Third, the exercise of jurisdiction must, in light of the Gestalt factors, be reasonable. Pleasant St. I, 960 F.2d at 1089; accord Pritzker, ___ F.3d at ______________ ______ ________ ___ [slip op. at 10-11]; Ticketmaster, 26 F.3d at 206. ____________ IV. APPLYING THE JURISDICTIONAL RULES IV. APPLYING THE JURISDICTIONAL RULES A long-arm statute is plainly available for FMI's use. See Mass. Gen. L. ch. 223A, 3(a) (1992). Section 3(a), quoted ___ supra note 3, is not modest in its reach. Its language is _____ expansive, and its words are to be generously applied in order to determine whether a given defendant fairly can be said to have participated in the forum's economic life. See Pleasant St. I, ___ _______________ 960 F.2d at 1087 (collecting cases). Since section 3(a) applies here, we turn directly to the second of the two cornerstone ____________________ 223A, 3(a) (1992) (providing in relevant part for the exercise of "personal jurisdiction over a person, who acts directly or by an agent, as to a cause of action in law or equity arising from the person's . . . transacting any business" in Massachusetts). The Massachusetts Supreme Judicial Court has held that, to animate the statute, the facts must show both that the defendant transacted business in Massachusetts, and that the plaintiff's claim arises out of the transaction of that business. See Tatro ___ _____ v. Manor Care, Inc., 625 N.E.2d 549, 551 (Mass. 1994); Good Hope _________________ _________ Indus., Inc. v. Ryder Scott Co., 389 N.E.2d 76 (Mass. 1979). _____________ ________________ From our coign of vantage, these two requirements appear to correspond, in reverse order, to the first two of the three constitutional components, i.e., the "transacting any business" ____ requirement corresponds to "minimum contacts," while the "arising from" requirement corresponds to relatedness. 10 conditions that constitute the foundation for a finding of specific in personam jurisdiction. __ ________ As we have said, the condition comprises three components. The first minimum contacts is not legitimately in issue. The seminal jurisdictional fact that BWC voluntarily dispatched a representative to Massachusetts for commercial advantage pursuant to a written contract with a Massachusetts firm cannot be gainsaid. In taking this action, BWC purposefully conducted activities in the forum state, thereby making a suit foreseeable. See id. at 1089. Hence, we endorse ___ ___ the district court's conclusion that BWC transacted business in Massachusetts to such an extent, and in such a manner, as to satisfy the minimum contacts requirement. See Foster-Miller, 848 ___ _____________ F. Supp. at 276; compare Pritzker, ___ F.3d at ___ [slip op. at _______ ________ 14] (finding jurisdiction in part because the nonresident defendant, by contract, had "knowingly acquir[ed] an economically beneficial interest" in a forum-based commercial venture). Setting the matter of minimum contacts to rest, we come face to face with the next component: relatedness. In this case, evaluating that requirement reduces to whether FMI's claim arises from BWC's minimum contacts. To place this issue into proper perspective, we first limn the options that are available to a district court in handling a motion to dismiss for want of jurisdiction over the person. We then refine that framework and scrutinize the decision below in light of our handiwork. A. Establishing and Testing Personal Jurisdiction. A. Establishing and Testing Personal Jurisdiction. ______________________________________________ 11 It is apodictic that the plaintiff, who bears the burden of proving the existence of in personam jurisdiction, must __ ________ carry the devoir of persuasion on the elements of relatedness and minimum contacts. See Ticketmaster, 26 F.3d at 207 n.9; Martel ___ ____________ ______ v. Stafford, 992 F.2d 1244, 1247 n.5 (1st Cir. 1993); Donatelli, ________ _________ 893 F.2d at 468. But this is merely one step along the path; to allocate the burden is neither to define the evidentiary showing necessary to meet it nor to explain whether that showing varies from context to context. We addressed these important issues in Boit. There, we ____ tried to formulate a procedural matrix that would serve to endow the decisional process with appropriate degrees of economy and manageability. That endeavor produced a trio of standards, each corresponding to a level of analysis, that might usefully be employed when a trial court comes to grips with a motion to dismiss for want of personal jurisdiction. The most conventional of these methods permits the district court "to consider only whether the plaintiff has proffered evidence that, if credited, is enough to support findings of all facts essential to personal jurisdiction." Boit, ____ 967 F.2d at 675. To make a prima facie showing of this calibre, the plaintiff ordinarily cannot rest upon the pleadings, but is obliged to adduce evidence of specific facts. See id. Withal, ___ ___ the district court acts not as a factfinder, but as a data collector. That is to say, the court, in a manner reminiscent of its role when a motion for summary judgment is on the table, see ___ 12 Fed. R. Civ. P. 56(c), must accept the plaintiff's (properly documented) evidentiary proffers as true for the purpose of determining the adequacy of the prima facie jurisdictional showing. Despite the lack of differential factfinding, this device is a useful means of screening out cases in which personal jurisdiction is obviously lacking, and those in which the jurisdictional challenge is patently bogus. However, the approach offers little assistance in closer, harder-to-call cases, particularly those that feature conflicting versions of the facts. See, e.g., General Contracting & Trading Co. v. ___ ____ ____________________________________ Interpole, Inc., 899 F.2d 109 (1st Cir. 1990). _______________ A second option open to the court is to embark on a factfinding mission in the traditional way, taking evidence and measuring the plaintiff's jurisdictional showing against a preponderance-of-the-evidence standard. In Boit, we stated that ____ this standard may appropriately be invoked when a court determine[s] that in the circumstances of a particular case it is unfair to force an out- of-state defendant to incur the expense and burden of a trial on the merits in the local forum without first requiring more of the plaintiff than a prima facie showing of facts ___________ essential to in personam jurisdiction. A __ ________ court may so determine, for example, when the proffered evidence is conflicting and the record is rife with contradictions, or when a plaintiff's affidavits are "patently incredible . . . ." Boit, 967 F.2d at 676 (offering examples). Virtually by ____ definition, the preponderance standard necessitates a full-blown evidentiary hearing at which the court will adjudicate the 13 jurisdictional issue definitively before the case reaches trial.4 In that mode, the court will "consider[] all relevant evidence proffered by the parties and mak[e] all factual findings essential to disposition of the motion." Id. But this method ___ must be used discreetly. For one thing, pretrial evidentiary hearings are relatively cumbersome creatures, and, if used routinely, can squander judicial resources. For another thing, since this method contemplates a binding adjudication, the court's factual determinations ordinarily will have preclusive effect, and, thus, at least in situations in which the facts pertinent to jurisdiction and the facts pertinent to the merits are identical, or nearly so, profligate use of the preponderance method can all too easily verge on a deprivation of the right to trial by jury. In Boit, we recognized these difficulties. We also ____ recognized that the prima facie and preponderance-of-the-evidence standards are merely two of several possible models, and that trial courts need not confine themselves to choosing between these two levels of evidentiary scrutiny. See id. at 677. In ___ ___ the special circumstance in which the assertion of jurisdiction is bound up with the claim on the merits, the possibility of preclusion renders use of the preponderance standard troubling, ____________________ 4Such hearings frequently are convened under the aegis of Fed. R. Civ. P. 12(d), which provides in pertinent part that certain defenses, including the defense of lack of in personam __ ________ jurisdiction, "shall be heard and determined before trial on application of any party," unless the court orders a deferral until time of trial. 14 while the possibility of permitting a dubious case to proceed beyond the pleading stage, and even to trial, though the court eventually will be found to lack jurisdiction, renders use of the prima facie standard undesirable. The Boit panel anticipated that, when this special ____ circumstance arose, trial courts might steer a middle course by engaging in some differential factfinding, limited to probable outcomes as opposed to definitive findings of fact, thereby skirting potential preclusionary problems while at the same time enhancing the courts' ability to weed out unfounded claims of jurisdiction. Utilizing this intermediate standard, a district court, "even though allowing an evidentiary hearing and weighing evidence to make findings . . . may merely find whether the plaintiff has shown a likelihood of the existence of each fact necessary to support personal jurisdiction." Id. This showing ___ constitutes an assurance that the circumstances justify imposing on a foreign defendant the burdens of trial in a strange forum, but leaves to the time of trial a binding resolution of the factual disputes common to both the jurisdictional issue and the merits of the claim. See id. at 678. ___ ___ Unlike the prima facie standard, and like the preponderance standard, this third method, which we sometimes call the "likelihood standard," involves factfinding rather than merely making a ruling of law regarding sufficiency of the evidence to present a fact question. Like the first and unlike the second method, however, the third method avoids potentially troubling issues of "issue preclusion" or 15 "law of the case" (at least when the court denies the motion) because a determination by such an intermediate standard . . . does not purport to be a finding by the same standard on the same issue as will be decided at trial. Id. ___ We acknowledge that having an array of standards at the ready may be thought too much of a good thing. However, even though an intermediate standard will not be used with great frequency, the need for one is manifest. We can postulate a variety of "common facts" scenarios in which the facts necessary to sustain personal jurisdiction are intimately bound up with facts necessary to establish the merits of the underlying claim. See, e.g., Ann Althouse, The Use of Conspiracy Theory to ___ ____ ____________________________________ Establish In Personam Jurisdiction: A Due Process Analysis, 52 ___________________________________ _______________________ Fordham L. Rev. 234, 247-51 (1983) (noting, though not adequately resolving, the problem created in situations where proving the facts "upon which jurisdiction depends is viewed as inextricably tied to the substantive merits of the case"). It is precisely because of the incidence of these situations situations in which the issue of jurisdiction is factually enmeshed with the merits of the suit that we recognized in Boit the need for an ____ intermediate standard of proof and, correspondingly, an intermediate standard of judicial analysis. B. Standards of Review. B. Standards of Review. ___________________ We are reluctant to end our discussion of the methods available to district courts for testing jurisdictional waters without mentioning appellate review. As a practical matter, the 16 standard of review will depend in the first instance on whether the court of appeals is reviewing the district court's choice of an analytic method or its application of such a method. As for the court's initial choice from among the three standards we have discussed prima facie, likelihood, or preponderance appellate review is de novo. This accords with the general principle that a trial court's determinations as to the legal rules that govern a party's proof, including those that dictate what quantum of proof the law requires, are subject to plenary review. See, ___ e.g., Putnam Resources v. Pateman, 958 F.2d 448, 471 (1st Cir. ____ ________________ _______ 1992); see also Soto v. United States, 11 F.3d 15, 17 (1st Cir. ___ ____ ____ _____________ 1993) (holding that "if a district court applie[s] an erroneous legal standard to the facts," de novo review obtains). As for the district court's subsequent application of the method that it chooses, the standard of review will vary from method to method. If the district court employs the prima facie standard, then appellate review is de novo. See United Elec. ___ _____________ Workers v. 163 Pleasant St. Corp., 987 F.2d 39, 44 (1st Cir. _______ _______________________ 1993) (Pleasant St. II); Boit, 967 F.2d at 675; see also Garita ________________ ____ ___ ____ ______ Hotel Ltd. Partnership v. Ponce Fed. Bank, 958 F.2d 15, 17 (1st _______________________ _______________ Cir. 1992) (explaining that appellate courts traditionally review rulings on motions to dismiss de novo, "applying the same criteria that obtained in the court below"). If the district court departs from the conventional method of adjudicating motions to dismiss and relies upon the preponderance-of-the- evidence standard to determine the existence vel non of personal ___ ___ 17 jurisdiction, then appellate review is for clear error. See ___ CutCo Indus., Inc. v. Naughton, 806 F.2d 361, 364-65 (2d Cir. __________________ ________ 1986); see also Fed. R. Civ. P. 52(a). ___ ____ If the district court employs the intermediate standard, then appellate review is for abuse of discretion. Cf. ___ Boit, 967 F.2d at 678 (suggesting a deferential standard of ____ appellate review). Two considerations point to the applicability of this deferential mode of review in this situation. First, the nature of a likelihood analysis is such that it falls naturally within the realm of discretionary decisionmaking. Second, from a practical standpoint, a likelihood analysis simply does not seem amenable to either of the other standards. Unlike the classic motion to dismiss, in which the plaintiff's assertions are accepted as true, a likelihood analysis requires the judge to pass upon the accuracy and integrity of the plaintiff's assertions. Yet, in contrast to a preponderance-of-the-evidence analysis, these determinations are not true findings of fact, for they lack definiteness to some degree, and they also lack the preclusive quality that would otherwise normally attach. Consequently, we believe that abuse of discretion is the proper standard of review. In practical terms, this means that we will set aside the challenged ruling only if we descry "a meaningful error in judgment." Anderson v. Cryovac, Inc., 862 F.2d 910, 923 ________ _____________ (1st Cir. 1988); accord Rosario-Torres v. Hernandez-Colon, 889 ______ ______________ _______________ F.2d 314, 323 (1st Cir. 1989) (en banc). Of course, whatever method is chosen and however it may 18 be applied, appellate review of the trial court's legal conclusions about whether its findings do or do not support the exercise of in personam jurisdiction is always nondeferential __ ________ and plenary. See Boit, 967 F.2d at 678. ___ ____ C. Applying the Likelihood Standard. C. Applying the Likelihood Standard. ________________________________ After convening an evidentiary hearing and bringing the likelihood standard to bear, Judge Stearns found it unlikely either that FMI disclosed legally protected information at the Waltham meeting or that BWC obtained confidences as a consequence of the meeting. See Foster-Miller, 848 F. Supp. at 276-77. FMI ___ _____________ assigns error. Its appeal raises potentially difficult questions about the application of Boit's likelihood standard in certain ____ types of cases. We hasten to note that the paradigm case involving the use of Boit's intermediate standard as a basis for exercising ____ __________ jurisdiction, i.e., as a basis for denying a motion to dismiss ____ _______ hardly seems problematic. In such a scenario, the plaintiff is permitted to proceed in its forum of choice, yet the defendant has the consolation of having been afforded a detailed demonstration, beyond a mere prima facie showing, of why the court deems it fair to exercise jurisdiction, at least provisionally. It is only when Boit's intermediate standard is ____ used as a basis for declining the exercise of jurisdiction, i.e., _________ ____ as a basis for granting a motion to dismiss, that the prospect of ________ mischief looms. One can easily imagine cases in which the likelihood standard might be applied to adjudicate facts that are 19 only marginally related to jurisdiction, or are very closely related to the merits of the plaintiff's substantive claims, thus prematurely extinguishing a plaintiff's ability to present its case in a full and fair manner.5 The short of it is that, whatever its merits in the abstract, Boit's intermediate standard requires caution in its ____ application, especially when it appears that a dismissal may result. Indeed, although Boit does, in dictum, 967 F.2d at 677- ____ 78, propose to authorize such dismissals, it is noteworthy that, apart from the opinion of the court below, there is no other reported case, Boit included, that has sanctioned a dismissal ____ pursuant to a district court's use of the likelihood standard. In general, this is as it should be. To the limited extent that dismissals under Boit's intermediate standard are ____ justified at all, they will happen only rarely. Even then, the exact bounds of permissible application may not always be evident. Nonetheless, we believe it is better to tolerate the inconvenience of mild doctrinal uncertainty rather than to forgo altogether the utility of an intermediate standard and method of analysis. See generally Stephen L. Carter, Constitutional ___ _________ ______________ Adjudication and the Indeterminate Text: A Preliminary Defense _________________________________________________________________ ____________________ 5Conceivably, such an adjudication may also serve to thrust the judge into a role that, depending upon the circumstances, more appropriately belongs to the jury. See, e.g., Jacob v. City ___ ____ _____ ____ of New York, 315 U.S. 752, 756 (1942) (noting basic principle ___________ that merely because a "case is close and a jury might find either way . . . is no reason for a court to usurp the function of the jury"); Nunes v. Farrell Lines, Inc., 227 F.2d 619, 621-22 (1st _____ ____________________ Cir. 1955) (applying principle of Jacob and vacating directed _____ verdict). 20 of an Imperfect Muddle, 94 Yale L.J. 821 (1985) (recognizing the _______________________ impossibility of removing all uncertainty from legal doctrine); Oliver Wendell Holmes, Jr., The Path of the Law, 10 Harv. L. Rev. ___________________ 457, 465 (1897) (warning that, in respect to judicial decisions, "certainty generally is illusion, and repose is not the destiny of man"). The bottom line, clearly, is that judges employing Boit's intermediate standard should proceed with great care. ____ In any event, these potential difficulties are peripheral to the instant appeal. In this instance, the flaw is less Judge Stearns' initial decision to switch the signals previously given by Judge Keeton and instead apply the intermediate standard, but more his failure to apprise FMI squarely of this change of plan a failure that was aggravated by FMI's inability to engage in appropriate discovery and then to present the totality of its evidence within the context of a likelihood analysis. When judges elect on their own initiative to use innovative methods in an effort to accelerate the progress of a case, they must take pains to ensure that parties are given satisfactory notice, reasonable access to discovery, and a meaningful opportunity to present evidence. See, e.g., Stella v. ___ ____ ______ Town of Tewksbury, 4 F.3d 53, 55-56 (1st Cir. 1993) (stating __________________ these principles in the context of sua sponte summary judgment); ___ ______ Jardines Bacata, Ltd. v. Diaz-Marquez, 878 F.2d 1555, 1560-61 ______________________ ____________ (1st Cir. 1989) (similar). While the likelihood standard has value, the latent risks associated with its use are not 21 insignificant, and they should be ameliorated to the extent practicable. Here, the lower court did not afford FMI the process that was due. To be sure, Judge Stearns advised counsel at a status conference on January 20, 1994, that he was pondering the use of the likelihood standard, but he neither eased the existing restriction on discovery nor superseded Judge Keeton's prior directives. The prima facie standard remained the default setting, and Judge Stearns' intentions remained open to conjecture until the day of the hearing. Indeed, while the court transmitted mixed signals to some degree, it closed the January 20 conference by specifically announcing that the question of misappropriation would not be subject to anything more rigorous ___ than scrutiny under a prima facie standard. On this point, Judge Stearns' intention could not have been more explicit. He told the lawyers: "I am going to, for purposes of this hearing, . . . basically accept whatever [FMI] allege[s] to be true in terms of the misappropriation." Following this pronouncement, the court never gave the litigants suitable forewarning of a change of heart, or of the extent to which it would apply the likelihood standard. To understand the gravity of this omission, it is important to understand the restriction imposed on discovery by Judge Keeton, and how that restriction arose. On December 15, 1993, FMI moved "to examine the documents and other materials maintained by BWC which would be relevant to statements in the affidavits of Mr. 22 St. Louis and others concerning contacts with, statements made by, and other information received from Foster-Miller . . . ." BWC objected. The next day Judge Keeton, ruling ore tenus, ___ _____ restricted FMI's discovery to matters "bear[ing] upon the jurisdictional issue." All other discovery, he ruled, was "out of bounds" for the time being. We think that this limitation, coupled with the judge's simultaneous indication that he would evaluate the motion to dismiss under the prima facie standard, effectively prevented FMI from engaging in merits-related discovery. And when Judge Stearns then shifted abruptly from the forecasted prima facie standard to the more intrusive likelihood standard, the preexisting restriction which remained intact on Judge Stearns' watch hamstrung FMI.6 Since this imperfect communication obviously prejudiced FMI's ability fairly to meet the rigors that an across-the-board use of the likelihood standard imposed in the circumstances of this case, we must set aside the court's conclusion that FMI's suit did not "arise from" BWC's activities in the forum state. To that extent, then, the dismissal order ____________________ 6This is because the two standards involve markedly different quanta of proof. So long as a prima facie standard obtained, FMI had neither a right nor a reason, in the course of "jurisdictional discovery," to ferret out all the supporting evidence regarding the confidential nature of what had been discussed in Waltham. By the same token, it had neither a right nor a reason to document fully the allegedly improper uses of such confidences by BWC. But once the court shifted to a likelihood standard, the scope, tenor and degree of the prospective inquiry changed, and FMI was caught, like a fawn in the headlights of a speeding van, without the discovery it needed to prove its point. 23 succumbs. V. ASSESSING REASONABLENESS V. ASSESSING REASONABLENESS Our odyssey is not yet at an end. In addition to holding that FMI's claim did not arise from BWC's in-forum contacts, the district court held, alternatively, that it would be unreasonable to exercise jurisdiction over BWC. See Foster- ___ _______ Miller, 848 F. Supp. at 277; see generally Asahi Metal Indus. Co. ______ ___ _________ ______________________ v. Superior Court, 480 U.S. 102, 113-16 (1987) (undertaking _______________ reasonableness inquiry); Burger King Corp. v. Rudzewicz, 471 U.S. _________________ _________ 462, 476-78, 482-85 (1985) (similar). Since the rapid-fire shift of standards probably tainted this conclusion as well, we could simply vacate the alternative holding. We choose instead to dissect it for three reasons: the district court's rationale is troubling, it has been reported in a published opinion, and the underlying issue may arise on remand. The hallmark of reasonableness in the context of personal jurisdiction is "fair play and substantial justice." International Shoe Co. v. State of Washington, 326 U.S. 310, 320 _______________________ ___________________ (1945). We have tended to channel the quest for that imperative through a template that highlights five factors. The factors include: (1) the defendant's burden of appearing, (2) the forum state's interest in adjudicating the dispute, (3) the plaintiff's interest in obtaining convenient and effective relief, (4) the judicial system's interest in obtaining the most effective resolution of the controversy, and (5) the common interests of all sovereigns in promoting substantive social policies. 24 Pleasant St. I, 960 F.2d at 1088. We have called the points that ______________ compose this template "the gestalt factors" because, in any given case, they may neither be amenable to mechanical application nor be capable of producing an open-and-shut result. Their primary function is simply to illuminate the equitable dimensions of a specific situation, thereby "put[ting] into sharper perspective the reasonableness and fundamental fairness of exercising jurisdiction" in that situation. Pritzker, ___ F.3d at ___ [slip ________ op. at 19]. In the case at bar, the trial court found that the first, fourth, and fifth factors did not favor one outcome over the other, but that the remaining two factors discouraged the exercise of jurisdiction. See Foster-Miller, 848 F. Supp. at ___ _____________ 277. The court then invoked a sixth factor the ability of a Canadian court to apply Massachusetts law competently and impartially and concluded that even if "some harm had flowed to Foster-Miller from the Waltham meeting," the suit should be dismissed based on "considerations of due process." Id. ___ The district court's analysis is flawed. First and foremost, the court's added consideration the absence of any reason to believe that a Canadian court would display bias or prove incapable of applying Massachusetts law has no place in the minimum contacts calculus. Though the five gestalt factors should not necessarily be deemed collectively exhaustive, see, ___ e.g., FDIC v. British-American Ins. Co., 828 F.2d 1439, 1442 (9th ____ ____ _________________________ Cir. 1987) (recognizing additional factors), the element seized 25 upon by the court below is of no relevance here. Moreover, it is already committed to the doctrine of forum non conveniens. See _____ ___ __________ ___ Gulf Oil Corp. v. Gilbert, 330 U.S. 501, 509 (1947); see also _______________ _______ ___ ____ Burger King, 471 U.S. at 477 & n.20 (specifically distinguishing ___________ between the primary role of the enumerated gestalt factors and the secondary role of considerations relevant to forum non _____ ___ conveniens). The doctrines of personal jurisdiction and forum __________ _____ non conveniens share certain similarities, but they embody ___ __________ distinct concepts and should not casually be conflated. Compare _______ Allan R. Stein, Forum Non Conveniens and the Redundancy of Court- _________________________________________________ Access Doctrine, 133 U. Pa. L. Rev. 781, 788-89 (1985) ________________ (distinguishing the doctrines) with Margaret G. Stewart, Forum ____ _____ Non Conveniens: A Doctrine in Search of a Role, 74 Cal. L. Rev. ______________ _______________________________ 1259 (1986) (arguing that certain factors currently considered under forum non conveniens doctrine should be subsumed under _____________________ personal jurisdiction analysis). Consequently, the district court's self-proclaimed sixth factor adds nothin |