Full opinion text
OPINION AND ORDER THEIS, District Judge. Jarndyce and Jarndyce drones on. This scarecrow of a suit has, in course of time, become so complicated that no man alive knows what it means. The parties to it understand it least; but it has been observed that no two Chancery lawyers can talk about it for five minutes without coming to a total disagreement as to all the premises. Innumerable children have been born into the cause; innumerable young people have married into it; innumerable old people have died out of it. Scores of persons have deliriously found themselves made parties in Jarndyce and Jarndyce, without knowing how or why; whole families have inherited legendary hatreds with the suit. The little plaintiff or defendant, who was promised a new rocking-horse when Jarndyce and Jarndyce should be settled, has grown up, possessed himself of a real horse, and trotted away into the other world. Fair wards of court have faded into mothers and grandmothers; a long procession of Chancellors has come in and gone out; the legion of bills in the suit have been transformed into mere bills of mortality; there are not three Jamdyces left upon the earth perhaps, since old Tom Jarndyce in despair blew his brains out at a coffee-house in Chancery Lane; but Jarndyce and Jarndyce still drags its dreary length before the Court, perennially hopeless. C. Dickens, Bleak House. I. HISTORY OF THE LITIGATION In 1908, the predecessor of American Salt began a salt production operation southeast of Lyons, Rice County, Kansas. Salt production has continued at that location continuously since. Also beginning in 1908, commensurate with the salt production, highly concentrated brine began running “off conveyor belts, elevator buckets and through slats in drying room floors. It ponds on the surface at the southeast corner of the plant. This brine also runs off the property along the Frisco railroad to the county road east of the plant.” Defendants’ Trial Exhibit A. This, too, has apparently continued in varying degrees and fashions ever since. By as early as 1927, a neighboring landowner began finding his underground water supply contaminated with chlorides from the brine, and was forced to haul domestic water to his house. The pollution continued. The Kansas Board of Health became involved in 1933. In the next year, neighboring farmers hired an attorney who protested to the American Salt plant concerning the injury from the salt runoff, and demanded damages. The salt company demurred, claiming that the pollution was not solely its fault, and detailed to the farmers the plant’s new pollution control improvements that would cure any pollution problems then in existence. The year was 1935. The pollution continued. Complaints continued. More state investigations were conducted. The salt plant, in conjunction with the state Board of Health, continued to make “antipollution improvements.” The farmers bore children, raised them to adulthood, and died. Their children took over the farming operations. Land was sold, or inherited by new generations. General Host Corporation acquired Cudahy Company, including its American Salt Division. The Board of Health’s responsibilities for this problem were assumed by the Kansas Department of Health and Environment [KDHE], Irrigation plans were abandoned. Suits were threatened. The pollution continued. This Dickensian matter was brought to this Court when a complaint was filed on May 31, 1977. Discovery proceeded in a most unusual and contentious manner, and a pretrial order was finally filed on March 9,1982. Defendants then filed an extremely lengthy motion for partial summary judgment on November 2, 1982, the general thrust of which was that the suit was barred by the statute of limitations. Defendants argued that since they had been polluting the underground aquifer for so long, it was no longer actionable: they had in essence acquired a license to pollute based on long-standing habit. After being deluged with heavy briefing by both sides, this Court squarely rejected defendants’ “prescription by pollution” theory, and held that the continuing nature of the pollution emanating from the plant was sufficient to categorize it as a continuing nuisance causing temporary damages, giving rise to a continuing series of causes of action. Miller v. Cudahy Co., 567 F.Supp. 892 (D.Kan.1983). The matter was called for a bench trial on March 26, 1984, and concluded on May 15. This Court handed down its opinion in the matter on August 13, 1984. Miller v. Cudahy Co., 592 F.Supp. 976 (D.Kan.1984). Therein, the Court found defendants liable to plaintiffs for actual damages to growing crops in the amount of $3,060,000.00, and also found defendants liable for punitive damages in the amount of $10,000,000.00. Because of trial testimony indicating that a cleanup of the aquifer might be technologically feasible, the Court ordered the punitive damage award held in abeyance pending evaluation of potential cleanup alternatives. The Court ordered the defendants to undertake an investigation of the aquifer in conjunction with an expert to be designated by the plaintiffs, to keep the Court apprised of their discoveries, and to prepare a final report on the available scientific cleanup alternatives. Pending this, the Court retained jurisdiction over the punitive damage award. The Court certified the judgment of liability and the judgment for actual damages as a final appealable judgment pursuant to Rule 54(b) of the Federal Rules of Civil Procedure. After defendants’ motion for a new trial had been denied, they filed notice of appeal on March 18, 1985. However, the Tenth Circuit dismissed the appeal as premature on February 3, 1986, so the case is still before this Court in full. Investigation towards a possible cleanup began, and a status conference was held before this Court the month after judgment was entered, on September 11, 1984. Defendants procured the expertise of Paul Roux of Roux Associates, Inc., New York, New York, ground water geologists; and of Leonard Eder of Eder Associates Consulting Engineers, p.c., Locust Valley, New York. Plaintiffs retained the services of Dr. Dan Raviv, a ground water hydrologist from West Orange, New Jersey, to monitor and evaluate what the defendants were doing. Plaintiffs had used Dr. Raviv extensively in discovery and trial, and the Court had already found his credibility high and his integrity impeccable. Almost immediately, the remedial investigation became a problem in its own right. Continual controversies arose over plaintiffs’ denying defendants access to their lands for the purposes of conducting their investigations, and regarding damages resulting from such access. Progress reports were filed, but it became apparent that the ecological situation was more complex than originally envisioned. The Court had initially ordered that a final report on available alternatives be filed within eight months of the August 13, 1984 Opinion and Order, but it was not until November 20, 1985 that defendants’ four volume proposed remedial action plan with supporting documents was filed. That plan, and the subsequent developments of proposed plans, will be discussed later in this Opinion. In the meantime, numerous motions, related to the cleanup only tangentially if at all, inundated the Court. Following the Court’s Order in August of 1984, the expected motions for an amended judgment or new trial, along with motions regarding costs taxed by the Clerk, were filed. But in August of 1985, defendants filed their second (though not last) motion for a new trial. From then until this past summer not a month went by without one of the parties filing a substantive motion of some form for this Court’s determination: motions to compel, to quash, to strike; motions for Court appointed experts, for evidentiary hearings, for temporary restraining orders; motions to preclude evidence, to disqualify law firms, to strike affidavits. In the month of February, 1986, alone, six substantive motions, not including motions for extension of time (which inevitably engendered their own controversies), were filed for this Court’s consideration. Each motion required responsive filings, some necessitated hearings, all consumed vast amounts of the parties’ and the Court’s time. While not intimating that the parties’ filings of these motions were procedurally impermissible, the Court nonetheless found them frustrating to the original intent of retaining jurisdiction over the case for the sole purpose of considering remedial cleanup plans for potential batement of the punitive damage award. However, as will be demonstrated infra, the development and discussion of numerous cleanup proposals were not inhibited by these ancillary actions. It is the Court’s intention in this Opinion and Order to resolve the remaining substantive motions in this action, to evaluate the proposed remedial plans before it, and to enter a final judgment as to all parts of this case. While the Court suffers under no delusion that its action will bring to a close this Jarndycian matter, the Court ardently hopes that by at least allowing the inevitable appellate process to begin, the illusive end of this case may come closer to reality. II. MOTION TO DISMISS Defendant General Host has filed with this Court a motion captioned Motion to Reconsider Denial of General Host’s Motion to Dismiss. In fact, the Court’s review of the voluminous filings in this case reveals that General Host has not previously filed a motion to dismiss. The defendant concedes that this is, in fact, an initial motion for dismissal. A. Consideration of Defendant’s Reply Memorandum Before the Court addresses the merits of defendant’s motion to dismiss, it must first resolve a procedural dispute. In the ongoing contentious spirit of this case, plaintiffs have filed a motion to strike the defendant’s reply memorandum in support of its motion to dismiss. The parties’ pervasive fear that the other side might get the last word on some ancillary or tertiary matter has lead to a preponderance of the collateral attack stratagem of the “motion to strike” throughout the pendency of this case. This approach has been used no less than seven times in the post trial phase of these proceedings. See Dk. nos. 593 (plaintiffs’ motion to strike portions of defendants’ experts’ report), 616 (defendants’ motion to strike plaintiffs’ “Observations and Objections to the Cleanup Plan”), 639 (defendants’ motion to strike affidavits), 665 (plaintiffs’ motion to strike defendants’ memorandum in connection with the entry of a final judgment), 686 (plaintiffs’ motion to strike affidavits), 687 (plaintiffs’ motion to strike defendants’ reply memorandum), and 696 (plaintiffs’ motion to strike status report). Each of these motions has then engendered its own series of responses and replies, and required court rulings. Aside from unnecessarily cluttering the file, the absurdity of this situation is demonstrated here by Dk. no. 694 which is (there is simply no other way to put it) “Plaintiffs’ reply to defendant’s response to plaintiffs’ motion to strike defendant’s reply to plaintiffs’ response to defendant’s motion to reconsider denial of General Host’s motion to dismiss.” At times, the Court has almost required the services of a cartographer to keep straight which issue these filings address. Plaintiffs ask the Court to strike this memorandum (the litany will not be repeated) because they allege that it was filed untimely, it is three times as long as the original memorandum in support of the motion and it addresses issues not raised in previous filings. While plaintiffs may have valid concerns, in this case it is simply too late in the day to begin policing the time and length of filings. Plaintiffs’ motion is denied. The Court will now address the merits of defendant’s motion to dismiss. B. General Host’s Connection to American Salt American Salt was acquired by Cudahy Company around 1930, and operated as a division of that company thereafter. In 1971, General Host acquired a controlling interest in Cudahy Company, and gained full ownership of Cudahy in 1972. Defendant claims that Cudahy was acquired by General Host mainly for its large meat packing business, and that Cudahy’s salt division was only an incidental part of that acquisition. In 1984, American Salt was separately incorporated as a wholly owned subsidiary of Cudahy Company, which is a wholly owned subsidiary of General Host Corporation. Apparently, in 1985, Cudahy Company was renamed AMS Industries, Inc., although the Court has not been formally notified of this change. At no time has American Salt been an operating division of General Host Corporation. Defendant General Host argues that, by the time it acquired Cudahy Company, American Salt had been in operation over 60 years. In 1968, state monitor wells were installed by KDHE to evaluate groundwater pollution, and the condition of the aquifer resulted in KDHE’s requiring American Salt to install the east water well in 1972, which through continuous pumping since its installation has removed tons of chlorides from the aquifer. Despite this, defendant argues that it did not discover the extent of the pollution until after the lawsuit was filed, and then it concedes that most of what it learned was gleaned from the plaintiffs. While apparently not denying any knowledge of pollution prior to that time, General Host chides the Court for failing to acknowledge in its Opinion and Order that defendant was the last to discover about the pollution and its connection to the salt plant. General Host disputes the Court’s imputation of knowledge of the groundwater pollution to it based on KDHE’s imposition of fines for surface spills. The Court will agree that General Host learned of the groundwater pollution emanating from the salt plant well after plaintiffs or their predecessors, Cudahy Company, and the American Salt plant all knew of the problem. But this fact is inconsequential. General Host cannot deny that it knew there was a pollution problem of some magnitude when it acquired the company. The fact that it was unaware of the extent of that pollution is irrelevant; no one was fully aware of the extent of the pollution until after discovery in the suit began. In fact, as this Opinion and Order will demonstrate later, much has been learned about the extent of the pollution since the trial in this case. But it is hardly a surprising proposition that ignorance of the full extent of the damage caused by one’s negligent or willful acts does not afford a defense to liability for those acts. C. Timeliness of Motion to Dismiss More cogently, General Host argues for dismissal under the doctrine of piercing the corporate veil, on the theory that the Court applied the wrong legal analysis when it originally considered General Host’s liability. The Court did not originally address the corporate veil theory for the simple reason that no motion to dismiss General Host was previously before it. Before the Court can address that theory now, it finds that it must first address a procedural question. It has already been conceded that, despite the caption of this motion, General Host has not heretofore moved for dismissal. The question therefore naturally arises whether such a motion, made almost two years after trial in this case was concluded, is timely. To consider that question, the Court must first determine the procedural basis on which General Host seeks dismissal. For instance, if it was moving for dismissal under Rule 12(b)(1) of the Federal Rules of Civil Procedure, “lack of jurisdiction over the subject matter,” timeliness would not be a concern. It is undisputed that a court may dismiss a case for lack of subject matter jurisdiction at any time, even on appeal. Fed.R.Civ.P. 12(h)(3). Here, defendant did not specify its grounds for dismissal. The Court, after examining all possibilities, has concluded that the motion must be based on Rule 12(b)(6) of the Federal Rules of Civil Procedure, “failure to state a claim upon which relief can be granted.” No other grounds for dismissal are applicable, and defendant’s allegation that plaintiff’s complaint does not aver any facts showing that General Host Corporation is liable for the plaintiffs’ injuries is most appropriately characterized as a motion to dismiss pursuant to Rule 12(b)(6). While a 12(b)(6) defense is not waived if not made in an original motion or responsive pleading, as are defenses under Rules 12(b)(2), 12(b)(3), 12(b)(4), and 12(b)(5), see Rule 12(h)(1), it also does not have the open ended nature of a Rule 12(b)(1) defense. Instead, its timeliness is to be considered under Rule 12(h)(2), which allows the defense to be raised at any pleading permitted or required under Rule 7(a), by a motion for judgment on the pleadings, or at trial. Technically, Rule 12(b) requires that all such motions be asserted in a responsive pleading or a motion filed in lieu of the response. Rule 12(h) only serves to preserve certain defenses that could have been asserted initially in a Rule 12(b) motion. After the time for filing a Rule 12(b) motion has passed, such defenses must be raised in the form of a motion such as a motion for summary judgment or for judgment on the pleadings. Wright & Miller, 5 Federal Practice and Procedure: Civil § 1357. However, this fine distinction is not dispositive in this case, as defendant has not filed a 12(b)(6) motion, but only seeks to raise a defense allowable under 12(b)(6). General Host did not move for dismissal upon such grounds in its joint answer with Cudahy Company. It did deny that the American Salt plant had ever been maintained at the direction of any defendant other than Cudahy, which is consistent with its corporate veil argument here. Dk. no. 5, ¶ 9. Additionally, it alleged that all claims for relief set forth in plaintiffs’ complaint failed to state a cause of action upon which relief could be granted against either defendant. Dk. no. 5, ¶ 35. But, although it asserted the defense then, it did not then move for dismissal upon those grounds. Nor has defendant since moved for dismissal on such grounds in any motion for judgment on the pleadings, as permitted by Rule 12(h)(2). Finally, defendant did not make such a motion for dismissal at trial. The Court construes Rule 12(h)(2) as limiting the time for raising such a defense to the enumerated occasions. While that subsection is considerably more permissive than Rule 12(h)(1), it can not be construed to allow such defenses to be raised at any time. If that were so, then the reason for separating out the provisions in Rule 12(h)(3), and specifying that such defenses may be raised “Whenever,” would not make sense. Instead, the Rules seem clear that the defenses specified in Rule 12(h)(1) must be raised in the initial motion or response, the defenses specified in Rule 12(h)(3) may be raised at any time, and the defenses specified in Rule 12(h)(2), while not required to be raised initially, cannot be raised indiscriminately but only on the specified occasions. The occasions specified in Rule 12(h)(2) are generous and liberal, allowing such defenses to be raised at any time up to and including trial. But the separate enumerations of 12(h)(2) and 12(h)(3) would indicate to this Court that a motion to dismiss for failure to state a claim upon which relief can be granted cannot be made at any time. More specifically, it cannot be made after trial. Because defendant’s motion was not made on one of the allowable occasions, the Court finds the motion untimely. Although defendant did not discuss Rule 12(h)(2) in any filing connected with this motion, the Court notes that it did discuss it in Dk. no. 706, which deals with a separate issue. There, defendant asserted that such a motion can be made at any time prior to the entry of final judgment. Defendant apparently arrived at this conclusion by running together the “time of trial” and the “time of entry of final judgment.” In a normal case, the difference between these two times would be slight. This is not a normal case. There will be a difference of almost three years between the conclusion of trial and the entry of final judgment. In such an instance, the fine line must be drawn, and the Rule clearly draws it at the time of trial as the latest allowable time. Defendant’s motion was not made then, so it was not made timely. Cases under the Rule, and commentators on it, discuss timing of Rule 12 motions in terms of the time for filing a Rule 12(b) motion, and the time for preserving a Rule 12(b) defense pursuant to Rule 12(h). The Court has found few cases that discuss the instance where a Rule 12(b) defense is raised timely, but a motion for dismissal on those grounds is not made until after trial. The issue arose on appeal in Smith v. Atlas Off-Shore Boat Service, Inc., 653 F.2d 1057, 1060 n. 1 (5th Cir.1981), where the Circuit Court allowed the defense of failure to state a claim to be asserted on appeal because, while Atlas did not specifically raise the issue at trial, it “sufficiently alerted the trial court to its contention that there is no claim ... [and] adequately raised the issue to preserve it for appellate review.” Id. Likewise, in Madore v. Ingram Tank Ships, Inc., 732 F.2d 475, 479-80 (5th Cir.1984), the Fifth Circuit again noted the rule that the defense that a complaint fails to state a claim upon which relief can be granted must be raised before the completion of trial, but noted that if “the defense is actually raised in the trial court, it is not waived by failure to assert it in a specific manner.” Id. (emphasis added). In Brule v. Southworth, 611 F.2d 406, 409 (1st Cir.1979), the court determined that defendants’ argument, though presented as jurisdictional, was in reality premised on the contention that plaintiffs had failed to state a claim upon which relief could be granted, and that it was “fatal that defendants never asserted any such ground in the district court, either before or during trial.” Id. The court noted that the grounds could have been asserted and therefore preserved “by means of a directed verdict, judgment on the pleadings or the like.” Id. at n. 4. See also Sartin v. Commissioner of Public Safety, 535 F.2d 430 (8th Cir.1976). Based on this authority, the Court must conclude that merely raising the defense in an answer is not sufficient of itself to preserve the defense so that a motion to dismiss based on that defense can be raised at any time. While the above cited cases all deal with cases on appeal, it must be conceded that in the normal course of things, a case goes to appeal immediately after trial. The instance here, where the trial court has retained jurisdiction for over two years after trial, merely to fashion the form of the damages awarded, is highly unusual to say the least. The Court points out that it retained jurisdiction for one specific purpose only: to evaluate a potential cleanup to be implemented in lieu of some or all of the punitive damages award. The Court certified the balance of the decision, including the finding of liability against General Host, for appeal. Although the Tenth Circuit declined to exercise appellate review until the entire case was before it, that does not change the finality of this Court’s decision. It is immaterial that the trial court still has jurisdiction over the matter; trial has been held, liability established, and judgment entered. The interests of judicial finality are the same in this instance as they are in the case of appellate review. Absent something more than a bald recital in the defendants' answer of the defense of failure to state a claim upon which relief can be granted, this Court is convinced that the weight of authority is overwhelming that such a motion, made after trial, is made too late. Therefore, the Court must conclude that the Federal Rules of Civil Procedure no longer permit it to entertain such a motion. Defendant General Host’s motion to dismiss is denied as untimely plead. III. MOTION FOR A NEW TRIAL A. Procedural Posture of the Case On August 12, 1985, eight years after this case was filed and a year and a half after it was tried, defendants filed a motion with this Court seeking a new trial pursuant to Rules 60(b)(2) and 60(b)(6) of the Federal Rules of Civil Procedure. The ground asserted for their motion was “newly discovered evidence,” evidence they were later to assert was “practically con-elusive.” Dk. no. 573, p. 31. As had become par for this action, the motion was hotly contested and exhaustively briefed by both sides. On January 31, 1986, the Tenth Circuit Court of Appeals granted defendants’ motion to dismiss the appeal in this case as premature. The appeal had been taken pursuant to this Court’s order of August 13, 1984, certifying as final appealable orders the determination of liability and the judgment for actual damages, pursuant to Rule 54(b) of the Federal Rules of Civil Procedure. The Circuit, however, held that this Court’s judgment was not a final judgment under 28 U.S.C. § 1291. Miller v. Cudahy, No. 85-1450 (10th Cir., unpublished, January 31, 1986). Because of the Circuit’s ruling, the defendants’ motion for a new trial pursuant to Rule 60 was procedurally premature. Therefore, on February 10, 1986, they filed a motion for an evidentiary hearing to revise and amend the findings of fact and conclusions of law issued by this Court "on August 13, 1984, or, in the alternative, for a new trial, pursuant to Rule 54(b) of the Federal Rules of Civil Procedure. They seek essentially the same relief sought in their earlier new trial motion. This motion was filed only to restate, on procedurally correct grounds, their request for that relief. Defendants in that motion incorporate by reference all of their earlier “new trial” filings. Therefore, the Court will consider the two motions and their progeny filings together. B. Standards for Motions for New Trial or To Revise and Amend 1. Federal Rules of Civil Procedure Rule 54(b) provides as follows: Judgment Upon Multiple Claims or Involving Multiple Parties. When more than one claim for relief is presented in an action, whether as a claim, counterclaim, cross-claim, or third party claim, or when multiple parties are involved, the court may direct the entry of a final judgment as to one or more but fewer than all of the claims or parties only upon an express determination that there is no just reason for delay and upon an express direction for the entry of judgment. In the absence of such determination and direction, any order or other form of decision, however designated, which adjudicates fewer than all the claims or the rights and liabilities of fewer than all the parties shall not terminate the action as to any of the claims or parties, and the order or other form of decision is subject to revision at any time before the entry of judgment adjudicating all the claims and the rights and liabilities of all the parties, (emphasis added). It is clear that under this Rule the Court retains the power to alter decisions until final judgment is made in a case. Paramount Pictures Corp. v. Thompson Theatres, 621 F.2d 1088, 1090 (10th Cir.1980); United States v. Desert Gold Mining Co., 433 F.2d 713, 715 (9th Cir.1970). But the real question is not if the Court can alter rulings, but whether the Court should. While Rule 54(b) implicitly allows revisions, it does not address under what circumstances or for what causes such revisions should be made. Considering that this action was a trial to the court and not to a jury, the Court finds that in this instance a motion to alter or amend is essentially a motion for a new trial. Therefore the Court finds that its consideration of this issue should also be governed by Rules 59 and 60 of the Federal Rules of Civil Procedure, which provide in relevant part: Rule 59. New Trials; Amendment of Judgments (a) Grounds. A new trial may be granted to all or any of the parties and on all or part of the issues ... (2) in an action tried without a jury, for any of the reasons for which rehearings have heretofore been granted in suits in equity in the courts of the United States. On a motion for a new trial in an action tried without a jury, the court may open the judgment if one has been entered, take additional testimony, amend findings of fact and conclusions of law or make new findings and conclusions, and direct the entry of a new judgment. (b) Time for Motion. A motion for a new trial shall be served not later than 10 days after the entry of judgment. Rule 60. Relief from Judgment or Order (b) Mistakes; Inadvertence; Excusable Neglect; Newly Discovered Evidence; Fraud, etc. On motion and upon such terms as are just, the court may relieve a party or his legal representative from a final judgment, order, or proceeding for the following reasons: ... (2) newly discovered evidence which by due diligence could not have been discovered in time to move for a new trial under Rule 59(b); ... (6) any other reason justifying relief from the operation of the judgment. The motion shall be made within a reasonable time____ Because defendants timely filed a new trial motion following the August, 1984 entry of judgment, and because the instant motion was filed within ten days of the Circuit’s ruling, the Court finds that none of defendants’ motions now under consideration are time barred. Because this action was tried to the Court, all motions are being considered in conjunction for the relief the defendants seek, procedural distinctions aside. Motions for new trial and for reconsideration are closely related, so the movants should be granted whatever relief their motion shows them entitled to. United States Gypsum Co. v. Schiavo Brothers, Inc., 668 F.2d 172 (3rd Cir.1981), cert. denied, 456 U.S. 961, 102 S.Ct. 2038, 72 L.Ed.2d 485 (1982). The Court notes that defendants’ new trial motion of August 12, 1985, sought relief pursuant to Rules 60(b)(2) and 60(b)(6). 2. Case Law Motions for new trials, relief from judgment, or to alter or amend the court’s findings and conclusions are directed to the discretion of the court. Allied Chemical Corp. v. Daiflon, Inc., 449 U.S. 33, 36, 101 S.Ct. 188, 190, 66 L.Ed.2d 193 (1980); Clarke v. Burkle, 570 F.2d 824, 830 (8th Cir.1978); Kargman v. Sullivan, 582 F.2d 131, 135 (1st Cir.1978); Ope Shipping, Ltd. v. Underwriters at Lloyds, 100 F.R.D. 428, 431 (S.D.N.Y.1983). The standard of review for a district court’s decision on these matters is abuse of discretion. Howard D. Jury, Inc. v. R & G Sloane Mfg. Co., Inc., 666 F.2d 1348, 1352 (10th Cir.1981); Washington Mobilization Committee v. Jefferson, 617 F.2d 848, 850 (D.C.Cir.1980). Motions seeking new trials or relief from judgments on the basis of newly discovered evidence seek extraordinary relief and will be granted only in exceptional circumstances when the requirements are strictly met. Such motions are disfavored. Dabney v. Montgomery Ward & Co., Inc., 692 F.2d 49, 52 (8th Cir.1982), cert. denied, 461 U.S. 957, 103 S.Ct. 2429, 77 L.Ed.2d 1316 (1983); Goland v. Central Intelligence Agency, 607 F.2d 339, 370 (D.C.Cir.1978), cert. denied, 445 U.S. 927, 100 S.Ct. 1312, 63 L.Ed.2d 759 (1980); Link v. Mercedes-Benz of North America, Inc., 618 F.Supp. 679, 693 (E.D.Pa.1985), aff'd in part, vacated in part, 788 F.2d 918 (3rd Cir.1986); Swift Chemical Co. v. Usamex Fertilizers, Inc., 490 F.Supp. 1343, 1350-51 (E.D.La.1980), aff'd, 646 F.2d 1121 (5th Cir.1981), rehearing denied, 650 F.2d 282 (5th Cir.1981); Wilson v. Fonte, 82 F.R.D. 632, 634 (E.D.Pa.1979). The law is well settled that to reopen trial proceedings for newly discovered evidence, three requirements must be met. First, the evidence must have existed at the time of trial, but not have been known to the movant. Second, the evidence must be such that it could not have been discovered in time to present it at the original proceedings by the exercise of due diligence. And third, the evidence must be such that it would probably have produced a different outcome had it been presented initially. Branca v. Security Benefit Life Insurance Co., 789 F.2d 1511 (11th Cir.1986); Equal Employment Opportunity Commission v. Rath Packing Co., 787 F.2d 318, 331 (8th Cir.1986), cert. denied, — U.S. -, 107 S.Ct. 307, 93 L.Ed.2d 282 (1986); Hoyt R. Matise Co. v. Zurn, 754 F.2d 560, 568 n. 14 (5th Cir.1985); Ope Shipping, Ltd., 100 F.R.D. at 432; Champion Spark Plug Co. v. Gyromat Corp., 88 F.R.D. 526 (D.Conn.1980), aff'd 636 F.2d 907 (2d Cir.1981). These three factors will govern the Court’s consideration in this case. For this matter, the Court would particularly emphasize two of those factors. Of preeminent concern in evaluating defendants’ “newly discovered evidence” is whether that evidence, by the exercise of due diligence, could have been discovered in time for trial. A judgment may not be set aside, or in this case modified or amended, on the grounds of newly discovered evidence where that evidence is the type which with due diligence the defendants could have discovered in time for the original trial or proceeding. Music Research, Inc. v. Vanguard Recording Society, Inc., 547 F.2d 192 (2nd Cir.1976). Even if the evidence is such that it could not by due diligence have been discovered, to support a motion for a new trial the evidence must be material to the issues and must be of such a nature that it would probably change the outcome. Stridiron v. Stridiron, 698 F.2d 204 (3rd Cir.1983). While this factor is most generally applied to exclude evidence that is merely cumulative or impeaching in nature, it goes beyond that. New evidence, even if genuinely new and material, regarding a relevant aspect of the trial subject matter and regarding an issue that was not presented at the trial or that would have cast evidence presented at trial in a significantly different light, does not thereby automatically warrant a new trial. Instead, the Court must look at the new evidence in light of the total evidence presented at trial. Where the weight of the evidence presented at trial is so overwhelmingly in support of the initial verdict that the introduction of this new evidence, probative and significant though it may be, would still not have changed the final outcome, then a new trial is not justified. “The strength or weakness of the evidence against the defendant is an important and often decisive factor in judging the new evidence supporting a motion to vacate, because the fundamental purpose of the Rule 60(b) motion is to prevent the judgment from becoming a vehicle of injustice.” United States v. Walus, 616 F.2d 283, 288 (7th Cir.1980). In a matter that was tried to a jury, the Court perhaps must be careful in making such a determination as to the outcome altering nature of this new evidence, and give the movant the benefit of any doubt. But in a matter such as this which was tried to the Court, the Court can assess even the closer questions, and if it determines that the introduction of this newly discovered evidence, viewed in the best possible light, would still not have changed the verdict as to liability or damages, then it need not order that a new trial or hearing be held. C. Newly Discovered Evidence: Proffered In light of these standards governing the exercise of the court’s discretion as to whether to grant a new trial or hearing to alter or amend its original findings of fact and conclusions of law, the Court will now review the proffered “newly discovered evidence.” Defendants assert that this evidence is relevant to punitive damages, equitable relief, liability and actual damages; in short, to everything. The Court will not add to the already lengthy nature of this opinion and order by reviewing the exhaustive findings and conclusions made initially in its Opinion, reported at Miller v. Cudahy Co., 592 F.Supp. 976 (D.Kan.1984). Defendants offer a wealth of new evidence, which the Court shall attempt to arrange in some form of topical grouping. The Court is repeating here only the evidence proffered by defendants. It should be emphasized that this recitation is not to be taken as the Court’s acceptance of these “facts” as proven. Plaintiffs have not had an opportunity to conduct discovery of their own on these issues, nor to cross examine defendants’ witnesses and experts or evaluate defendants’ reports. Should a new trial or hearing be held the facts found there may differ from this proffer. The Court only examines defendant’s “new evidence” to determine if, taking all of their assertions as true, the evidence would warrant a new trial. Defendants assert that their testing has revealed several hitherto unknown aspects of the aquifer. Among these are that the rate of groundwater flow and recharge rate is much slower than was believed at trial. Additionally, defendants have discovered that sodium pollution, rather than chloride pollution, from the brine presents the major obstacle to an environmental cleanup. Due to a phenomenon known as the Sodium Adsorption Ratio [SAR], the pollution will take much longer to clear. The problem presented by SAR is that the clay particles surrounding the aquifer absorb sodium from the polluted water; then, after all of the polluted water will have hypothetically passed and clean water is flowing through the aquifer, the clay would release sodium into that water, re-polluting the water. Because of this, it is not sufficient for all of the presently polluted water to flow through the area (assuming no further pollution, an assumption not warranted by any facts at this time); instead, two to three times that amount of water must flow past the sodium laden clay in order to thoroughly “rinse” out the pollution. Because the aquifer is moving much slower than originally believed, and because much more water will be required to flow through the aquifer to cleanse it than originally believed, defendants assert that the aquifer would not naturally cleanse itself of the salt plume in twenty to thirty years as suggested at trial. In fact, defendants suggest to this Court that it would take two to three hundred years for such a cleansing to occur! As a corollary to the reduced recharge rate of the aquifer, defendants assert that the aquifer, even in an unpolluted state, would not support irrigation by all of the plaintiffs. They direct the Court’s attention to the recently reduced irrigation permit allowances by the Big Bend Groundwater Management District. Under these restrictions, plaintiffs could not all obtain permits to irrigate the affected land even if good water existed. Defendants further assert that, had plaintiffs all been irrigating, in light of the aquifer’s low recharge rate the aquifer would have been severely mined by now, and perhaps permanently damaged. Defendants further assert that more accurate mapping of the plume has revealed that some of the plaintiffs’ land is not even affected by the underground water pollution, and that some of the plaintiffs’ land has access to good water for irrigation. Defendants assert that these facts go to the actual damages awarded at trial. Defendants allege to have discovered another plume “upstream” from this one, emanating from an old Carey salt mine. Although this plume does not now join with the plume which is the subject of this dispute, defendants attempt to imply that the plumes may once have been connected (without explaining how they could have once been connected and are not now, since both flow in the same direction). Defendants therefore assert that American Salt may not be solely to blame for the instant plume. They further assert that the pumping of one of their wells is preventing this plume from spreading further, and congratulate themselves for this without showing that it has any relevance to the present suit. Defendants assert that recent testing has shown that, contrary to the finding made by this Court following trial, their brine fields are not leaking. The Court would note that plaintiffs hotly dispute this “finding,” as they did at trial. As will be demonstrated below, evidence offered during the remedial phase of this case, not the least of which was from Kansas Department of Health and Environment, continues to support the Court’s original finding that the brine fields have been leaking and are continuing to leak. Defendants assert that, based on the slow flow rate of the aquifer and the presence of an intercept well on their property, any chlorides that escape from the plant will be (and have been) intercepted before they reach the aquifer lying under any of the plaintiffs’ land. Therefore, they are not now causing any pollution to plaintiffs’ property. These are the meat of defendants’ proffered “new evidence.” Again the Court would emphasize that this “evidence” has not been subjected to plaintiffs’ scrutiny, and the facts are therefore not proven facts. The Court will now evaluate them in light of the earlier listed standards for granting a new trial motion. D. Newly Discovered Evidence: Evaluated 1. Groundwater Management District’s Permit Requirements Initially, the Court dismisses consideration of the recently revised Big Bend Groundwater Management District’s permit requirements. That revision occurred after the trial in this matter, and as such did not exist at the time of trial. “Compelling policies of finality require that in the absence of exceptional circumstances, events occurring after a trial on the merits cannot justify the reopening of a judgment.” County of Trinity v. Andrus, 77 F.R.D. 29, 30 (E.D.Cal.1977). Defendants argue that this rule does not apply here because the revised regulations only reflect the realities of the aquifer, realities which existed at the time of trial. The Court will consider the “newly discovered” aquifer characteristics shortly. The Court notes, however, that at trial one of the factors considered in the damage award was that plaintiffs could have obtained permits to irrigate but for the fact that the water was unsuitable for irrigation (Kansas law does not allow a permit to be granted for irrigation unless it will actually be put into use; where the water cannot be used, as here, no permit will be granted solely for that reason). Had plaintiffs in fact been given irrigation permits and begun to irrigate, and had such irrigation in fact so seriously threatened the aquifer as to cause the groundwater management district to take action, the Court cannot speculate on what action the Groundwater Management District would have taken. It is possible that they would have revoked some of the farmers’ irrigation permits, but it is just as possible that they would have revoked some of American Salt’s water permits, especially since American Salt holds the lion’s share of the area’s permits. The fact remains that, at the time of trial, plaintiffs could have obtained permits for irrigation if not for the pollution. That permit requirements were later changed so that, today, they could not obtain such permits even were the water pure, is immaterial. 2. Ancillary Motion to Revise or Amend: Lost Crop Profits The Court should note at this point that defendants disagree with some of the assertions just made regarding plaintiffs’ ability to obtain irrigation permits. They have, in fact, filed a “Motion to Revise or Amend the August 13, 1984 Opinion to Dismiss the Claims for Lost Crop Profits of those Plaintiffs Who Have No Water Permits to Irrigate Their Lands.” Dk. no. 697. This motion to revise or amend is separate from the motion to revise or amend which the Court has been discussing (Dk. no. 604), and from the motions for New Trial, or in the alternative, to Revise or Amend which defendants have filed previously (Dk. nos. 526, 462). Defendants assertion in the instant motion, Dk. no. 697, is that the plaintiffs, with the exception of three who had secured water permits, cannot recover for lost crop profits due to their inability to irrigate because they had no permit, and therefore no legal right, to irrigate. Defendants present the Court with a detailed review of Kansas law on water rights. They assert that plaintiffs could have acquired a “vested right” to water prior to July 1, 1980, if they had made “continous application for water for beneficial use since on or before June 28, 1945.” Dk. no. 697, p. 5, citing K.S.A. § 82a-701(d). Of course, as this Opinion has previously demonstrated, pollution of the water which prevented any beneficial use has existed since well before 1945. Defendants unsurprisingly do not mention this. They also assert that plaintiffs could have acquired an “appropriation right” through the permitting process. Defendants do not actually deny that use of the water is necessary to obtain and maintain a permit. They do assert with great aplomb that neither state law or groundwater management district rules and regulations “require a water quality test as a condition for obtaining a permit.” Dk. no. 697, p. 6. They further suggest that all plaintiffs needed to have done was file an application and obtain a permit while water rights were still available and then timely request extensions for perfecting the permit, i.e., putting the water to beneficial use. Defendants assure the Court that plaintiffs could have obtained an exception to the rule that water rights not used for three consecutive years are forfeited, based upon a showing of due and sufficient cause (pollution). By following these steps, defendants conclude, “[pjlaintiffs would thereby have secured their right to use the water as soon as it was clean.” Dk. no. 697, p. 10. Of course, these are the same defendants who initially suggested to plaintiffs and to this Court that the water would not be clean for two hundred years. See V. REMEDIAL ACTION PLANS, infra. Prom a theoretical standpoint, plaintiffs may have been able to obtain some type of water permits by following the contorted process defendants suggest. But this interesting legal theory has no application to the real world in which plaintiffs live. They are landowners, not barristers. They only wish to spend their time farming, not engaging in the testing of novel legal theories. State agencies such as the Big Bend Groundwater Management District and the State Board of Agriculture, Division of Water Resources have suggested to the Court that one could not obtain a permit for water unless he actually were to use the water. See Transcript of June 2, 1986 hearing, pp. 46, 50. Of course, this water is unusable. If this interpretation by the state agencies is not technically correct, assuming without deciding that defendants’ suggestion is a theoretical possibility, the plaintiffs are not to be faulted for relying on that understanding. Plaintiffs did not seek water permits because they could not use the water, even if they had permits. To conclude therefore that they are estopped or precluded from receiving damages for their inability to irrigate is inequitable; it turns the law on its head. Speaking of the Kansas Water Appropriation Act, the Kansas Supreme Court said: Under this declaration and other provisions of the act we now approach [questions concerning water rights] upon the basis of the interest of the people of the state without losing sight of the beneficial use the individual is making or has the right to make of the water. Unused or unusable rights predicated alone upon theory become of little if any importance. State, ex rel., Emery v. Knapp, 167 Kan. 546, 555, 207 P.2d 440 (1949) (emphasis added). Defendants’ suggested course of conduct may make sense in an Alice-in-Wonderland world; it makes no sense in ours. Further, plaintiffs demonstrate that defendants’ intervening cause argument— that the intervening cause of the failure of plaintiffs to obtain water permits for irrigation precludes their right to recover for loss of irrigated crops due to the pollution — is fatally flawed. Defendants’ argument presupposes that there is no relationship between the pollution and the failure of plaintiffs to obtain permits. But testimony received has demonstrated that plaintiffs have not applied for or received permits because the pollution prevented use of the water. The failure to obtain permits is not a cause of plaintiffs’ inability to irrigate; both the inability to obtain permits and the inability to irrigate are a result of defendants’ pollution of the aquifer. Evidence from plaintiffs and state officials has suggested, and the Court so finds, that it would have been futile for plaintiffs to apply for irrigation permits so long as the water was unfit for irrigation. Therefore, plaintiffs failure to apply for permits is excusable and does not bar their revovery for lost crop profits. Defendants argue that plaintiffs’ claim of futility is “totally spurious because the filing of a permit application is not ‘futile’ but a requisite first step to obtaining a water right.” Dk. no. 697, p. 10. This argument is non-responsive. Filing of a permit application is a requisite first step to obtaining a permit, but when other circumstances will bar the issuance of a permit, and those circumstances are known initially, the filing for a permit becomes both a requisite first step and a futile act. Plaintiffs’ futility argument is not totally spurious, but defendants’ tortuous dance around the law and the facts is. Defendants’ motion regarding lost crop profits is denied. Plaintiffs’ inability to obtain water permits augments their claim against defendants; it does not bar it. That Big Bend has subsequently revised the allowable amount of water permits available due to discovering the reduced aquifer recharge rate likewise does not bar plaintiffs’ action against defendants. Any difficulties which plaintiffs might encounter now in seeking to obtain water permits is immaterial to their previous failure to apply for permits. They did not apply when permits were available because defendants’ pollution prevented permits from being obtainable. The reduced permit allowances are not properly considerable as “newly discovered evidence,” and do not operate as a bar to plaintiffs request for damages against defendants. The Court will now examine the remaining prof-erred newly discovered evidence. 3. Due Diligence The remaining “newly discovered facts” all seem to be of the nature of facts that did exist at the time of trial. Regarding these, defendants boldly assert that these facts are practically conclusive in themselves, and chide the Court that “[t]he only reasonable solution is for the Court to recognize that the real facts are the facts, regardless of when they were discovered.” Dk. no. 605, p. 5. Defendants cite no authority for this proposition, which is hardly surprising since, despite the appealing sound of the assertion, there is no authority for that statement as constituted. Even assuming that these “facts” could survive plaintiffs’ scrutiny and emerge unscathed as the “real facts,” and even assuming that these “real facts” were indeed conclusive in and of themselves, that is hardly the starting point in a motion for a new trial or a motion to alter and amend the court’s findings. Instead, the initial question must be, could these alleged facts have been discovered by defendants’ exercise of due diligence in time for the trial? Or, put another way, how many of these alleged facts could defendants not have discovered in time for trial, as opposed to how many they just did not discover? Defendants certainly did not lack for time. This case, filed nearly ten years ago, was in discovery for seven years before it was finally called to trial. Instead, it is very clear to this Court, which has watched the tortuous course of this case unfold, that defendants made a policy or strategy decision not to test the aquifer, not to investigate the complaints, not to inspect the damage; in short, to do nothing but ignore the entire matter. This course of inaction was followed despite requests by KDHE to test, and despite fines and the threat of further, more serious action by KDHE. It was done despite the pendency of this suit, and despite the sordid history spanning a half a century of complaints by neighboring land owners and state agencies regarding pollution. Defendants’ strategy was to pooh-pooh the allegations that they were polluting and to pretend that there was nothing to be alarmed about. Considering that this was the company line not only for the seven years of discovery in this case, but for the fifty years of plant operation, the Court will not now hear them say that they could not have discovered what the “real facts” of the aquifer were until after this suit. They made a conscious decision not to investigate the “real facts.” They must now live with that decision. Defendants deny that they had seven years to investigate this matter. They instead plead that they had no reason to look for this type of evidence until this Court’s order of June 21, 1983, Miller v. Cudahy Co., 567 F.Supp. 892 (D.Kan.1983). Defendants pretend that the 1983 order “radically altered” this litigation. Dk. no. 527, p. 25. The Court’s opinion of this claim of “surprise” is unprintable. The only thing that was radically altered by the 1983 order was that defendants were finally disabused of their notion that their beloved statute of limitations defense was the panacea to all their legal problems. As previously mentioned, defendants believed (or hoped) that their “prescription by pollution” theory would prevail; that if they polluted the environment long enough, it was theirs; and that they could not be called to account for what they did to it. The Court’s 1983 order refused to accept this base proposition. It is apparent to the Court that defendants continue to hold fast to this favorite son principle; but this Court continues just as strongly in its abhorrence to that line of defense. In fact, the “radical change” wrought in this matter by the 1983 order was not so radical as to suddenly require testing of the aquifer to determine the damage done, whereas before none had been required. This action was brought initially alleging pollution of the aquifer, and damage to the plaintiffs’ ability to irrigate as a result thereof. While there were varying arguments of permanent or temporary damages, which the 1983 order resolved, by no reasonable legal theory could the pre-resolution of that matter be regarded as putting the case in a posture where the condition of the aquifer which was alleged to be polluted was immaterial to the case. Even were the Court to accept defendants’ proposition that the defendants did not know it was necessary to test the aquifer until after the 1983 order, the Court could still not find that defendants are excused from not discovering this evidence prior to trial; that they could not have discovered it with the exercise of due diligence. The order “radically altering” the case was handed down on June 21, 1983. The case was called for trial on March 26, 1984, nine months later. Defendants contend that these nine months were insufficient to conduct the necessary discovery. They admit that they did not seek a continuance for the purpose of obtaining sufficient time to conduct this suddenly necessary investigation, but seek to excuse their failure on that account by complaining that the Court would not have allowed another extension in this already protracted matter then anyway. Whether the Court would have granted or denied a motion for continuance to allow additional discovery is speculative; what is certain is that defendants did not request continuance. If, as they claim, the 1983 order had indeed “radically altered” the course of this litigation, then seeking such a continuance would have been a natural, almost necessary, consequence. That they did not then seek such a continuance is perhaps indicative of the fact that they did not then truly believe that the litigation had been that altered. At any rate, the Court finds it passing strange that, after seven years of discovery defendants were too concerned about the protracted nature of the suit to seek an extension of a few months; but now, after ten years of proceedings, they are not so concerned but that they seek a new trial, which would cause at least another year of activity at the district level. Moreover, the Court is unpersuaded that those nine months were so fleeting as to not warrant even beginning an investigation. The Court handed down its judgment in this case on August 13, 1984. On September 11, 1984, a status conference was held with the parties concerning the development of a remedial investigation. At that time it was envisioned that the results of this investigation would be presented to the Court by April 1985, as ordered in the August ruling (“a final report ... shall be filed with the Court within eight months of the date on which this Opinion and Order is filed.” 592 F.Supp. at 1009.). Although the defendants now plead that the nine months between the 1983 order and the commencement of trial were too brief to warrant even beginning an investigation, they did not complain the next year when instructed to complete an entire remedial investigation within eight months. In fact, the development of the investigation later required them to seek extensions of time, but their final four volume report was filed with the Court on November 20,1985, fourteen months after the status conference. Thus, even if the Court were to accept defendants’ argument that testing of the aquifer was not required until after the 1983 order, and even if the Court were to accept defendants’ excuses for not seeking an extension of time in which to complete this testing, the Court could still not find that defendants were excused from the due diligence requirement to discover the facts prior to trial. Even then, sufficient time existed to begin an investigation. Defendants instead chose not to investigate. What their strategy was, whether hoping for an appellate resurrection of the “prescription by pollution” theory, or whether fearing that any facts uncovered could only hurt their cause, the Court can not divine. But it is painfully clear that the defendants, without excuse, made a decision not to investigate the damage to the aquifer. Not until forced by the Court, under threat of a ten million dollar punitive award, did they begin a remedial investigation. If the facts of that investigation have yielded evidence they believe would have been helpful at trial, that is unfortunate for them. “[Defendant's desire to introduce additional evidence after losing the case [does] not constitute a proper ground for granting a new trial.” Brown v. Wright, 588 F.2d 708, 710 (9th Cir.1978). Adopting defendants’ theories would insure that no case was ever final; a party could drag its discovery out piecemeal and thereby require continual retrials. Even if it had no hope of winning, it could hope to wear its opponent down. Indeed, it is not surprising that defendants have attempted this approach; American Salt threatened plaintiffs years ago that if suit was filed “the money and lawyers available to American Salt would enable it to drag any litigation out for years, bankrupt [the plaintiffs] in the process, and take [their] land.” Miller, 592 F.Supp. at 996. That threat has come close to becoming a reality. The disparity of resources between the parties has been a constant problem in this suit. It has resulted in the defendants being able to make voluminous filings of briefs, arguments and research far in excess of what the plaintiffs can match. “The defendants have seemingly limitless resources for the filing of written motions, memoranda, etc., in this case; their resources for so doing are far greater than those of the plaintiffs and their attorneys.” Dk. no. 609, p. 2