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OPINION OF THE COURT COWEN, Circuit Judge. This asbestos-related personal injury action was tried to a jury in the United States District Court for the Eastern District of Pennsylvania. The jury returned a verdict in favor of the plaintiff in excess of two million dollars. On application by counsel, the district court granted plaintiff delay damages in the amount of $520,684. In these consolidated appeals, we are called on to determine whether: (1) the district court abused its discretion by denying the defendant’s challenge for cause of two jurors who allegedly evidenced bias against the defense; (2) the defendant has waived any claim that there was a violation of its statutory right to exercise peremptory challenges; (3) a denial or impairment of the exercise of peremptory challenges occurs if the defendant uses one or more challenges to remove jurors who should have been removed for cause; and (4) a per se reversal is the appropriate remedy for such impairment or whether the defendant must also make a showing of prejudice. Additionally, we are called upon to determine whether the district court committed an error of law by: (1) allowing plaintiff to introduce into evidence the prior testimony of an out of court expert witness from an unrelated state court action; (2) permitting plaintiff to introduce the interrogatory responses of a co-defendant who settled with the plaintiff prior to trial; (3) awarding plaintiff delay damages pursuant to Rule 238 of the Pennsylvania Rules of Civil Procedure. Because we conclude the district court abused its discretion in denying the defendant’s challenge for cause of two jurors during voir dire, and because we conclude that this effected a denial or impairment of the defendant’s statutory right to peremptory challenges requiring per se reversal, we will reverse the judgment of the district court and remand for a new trial on the issue of damages and liability. Since it is likely that the hearsay issues and the issue of delay damages may arise again during the new trial, we deem it appropriate to offer the district court guidance. On these subjects, we conclude that the district court erred as a matter of law in allowing the introduction of hearsay evidence, but did not err in ruling that delay damages would be permitted when delay was caused by a judicial stay for which the plaintiff was not responsible. I. Factual and Procedural History Alfred Kirk (“decedent”), a retired painter, died on July 5, 1988 at the age of 65 from malignant asbestos-induced mesothelioma. Mrs. Sarah Kirk (“Kirk”), suing on behalf of herself and her deceased husband’s estate, filed this diversity action against eight defendants, including Owens-Corning Fiberglas Corporation (“Owens-Corning”). Kirk alleged that her husband’s mesothelioma was caused by exposure to dust from asbestos products during his employment at the New York Shipyard in Camden, New Jersey, during the late 1950’s and early 1960’s. By order dated July 29, 1991, the Judicial Panel on Multidistrict Litigation (“MDL”) transferred all pending federal asbestos personal injury actions to the Eastern District of Pennsylvania. Pursuant to the MDL Panel’s Order, all federal asbestos cases were stayed until the summer of 1993. During jury selection, Owens-Coming challenged for cause two prospective jurors maintaining that the prospective jurors could not be impartial because they revealed considerable potential bias against Owens-Corning during voir dire. The district court refused to strike these prospective jurors for cause, and Owens-Corning was then compelled to utilize two of its three peremptory strikes to remove these prospective jurors. On December 13,1993, the trial (which was reverse-bifurcated) began with issues of medical causation and damages. At the conclusion of this phase of the trial, the jury returned a verdict in favor of the Estate of Alfred Kirk for $1.2 million and in favor of Sarah Kirk for $810,000. The liability phase of the trial commenced several days later before the same jury that had previously heard the damages phase. At the conclusion of the lability trial, the jury returned a verdict against Owens-Corning. The jury also found that the decedent was not exposed to dust emitted by any asbestos-containing product manufactured by co-defendant Gar-lock, Inc. (“Garlock”). Following the jury verdict, Owens-Corning moved for a new trial, alleging several trial errors including: (1) failing to strike two prospective jurors for cause; and (2) allowing the introduction of hearsay evidence. This application was denied by the district court. Kirk filed an application for delay damages pursuant to Rule 238 of the Pennsylvania Rules of Civil Procedure, which the district court granted in the amount of $520,684. Owens-Corning appeals from both the judgment and the award of delay damages. Owens-Corning argues that the district court made several errors which require reversal of both the damage and liability phases of the trial, and that the district court improperly denied its post-verdict motion for a new trial. Finally, Owens-Corning claims that delay damages should not have been awarded to Kirk, because the delay was caused by the plaintiff fifing simultaneous federal and state court actions and/or caused by the MDL order staying all asbestos cases, and was not caused by any bad faith on the part of Owens-Corning. We will address each of these arguments seriatim, The district court had jurisdiction to hear this case pursuant to 28 U.S.C. § 1332. Our jurisdiction is premised on 28 U.S.C. § 1291 as the judgment entered was a final order. II. Juror Challenges A. Challenges for Cause Owens-Corning argues that the district court erred in refusing to strike for cause two prospective jurors (juror #251 and juror #45) who the defendant argues revealed considerable potential bias against it during voir dire. As a consequence, Owens-Corning claims that it was forced to expend or “waste” two of its peremptory strikes to remove these two jurors from the jury. We review for abuse of discretion a district court’s decision regarding a motion to dismiss a juror for cause. United States v. Polan, 970 F.2d 1280, 1284 (3d Cir.1992), cert. denied, — U.S. —, 113 S.Ct. 1367, 122 L.Ed.2d 745 (1993) (citing United States v. Salamone, 800 F.2d 1216, 1226 (3d Cir.1986) (the factual determination by the district court whether a juror can serve impartially is entitled to special deference when reviewed on appeal), cert. denied, 498 U.S. 1030, 111 S.Ct. 685, 112 L.Ed.2d 676 (1991)). Because the trial judge is in the best position to assess the credibility and demeanor of the prospective jurors, “district courts have been awarded ample discretion in determining how best to conduct the voir dire.” Waldorf v. Shuta, 3 F.3d 705, 710 (3d Cir.1993) (citing Rosales-Lopez v. United States, 451 U.S. 182, 189, 101 S.Ct. 1629, 1635, 68 L.Ed.2d 22 (1981)). In determining whether a particular juror should be excused for cause, our main concern is “whether the juror holds a particular belief or opinion that will ‘prevent or substantially impair the performance of his duties as a juror in accordance with his instructions and his oath.’ ” Salamone, 800 F.2d at 1226 (citing Wainwright v. Witt, 469 U.S. 412, 424, 105 S.Ct. 844, 852, 83 L.Ed.2d 841 (1985)). “A juror is impartial if he or she can lay aside any previously formed ‘impression or opinion as to the merits of the case’ and can ‘render a verdict based on the evidence presented in court.’ ” Polan, 970 F.2d at 1284 (citing Irvin v. Dowd, 366 U.S. 717, 723, 81 S.Ct. 1639, 1643, 6 L.Ed.2d 751 (1961)). However, the district court should not rely simply on the jurors’ subjective assessments of their own impartiality. See Waldorf, 3 F.3d at 710 (district court relied too heavily on jurors’ assurances of impartiality); see also Government of the Virgin Islands v. Dowling, 814 F.2d 134, 139 (3d Cir.1987) (though a juror swears that he could set aside any opinion he might hold and decide the case on the evidence, a juror’s protestation of impartiality should not be credited if other facts of record indicate to the contrary), aff'd, 493 U.S. 342, 110 S.Ct. 668, 107 L.Ed.2d 708 (1990). Owens-Corning argues that prospective juror #251 should have been struck for cause because he worked with asbestos-containing products for many years and indicated during voir dire that he was leaning in favor of the plaintiff. Kirk argues that this prospective juror was properly placed on the jury because when questioned by both the district court and counsel whether he could render a fair and impartial verdict, the prospective juror responded in the affirmative. We are troubled by the fact that a district judge, despite assurances of impartiality, allowed a prospective juror to serve in a mesothelioma case when the juror’s background raised serious questions as to his ability to serve impartially. Specifically, we note the following facts which raise substantial questions of the potential bias of juror #251: (1) during the course of his work history he had “probably eaten a couple of pounds of [asbestos]”; (2) he was a union shop steward for 35 years and received one-sided literature from the union regarding asbestos; (3) he believed that 97% of the older workers in his local union had tested positive for asbestos in their system; (4) he had two uncles who died of lung cancer and although they were cigarette smokers, they had been exposed to asbestos during the course of their work lives; (5) he admitted in the first instance that he was leaning in favor of the plaintiff and against the asbestos company; (6) he believed that he was “probably high on the priority list” of getting an asbestos-related disease himself; and (7) he knew “a lot of [union] members” who presumably had asbestos-related medical problems. Owens-Corning next argues that prospective juror # 45 should have been struck for cause because he had responded to the jury questionnaire that he could not be fair and later repeated at voir dire that he would have a difficult time being fair to the defendant. Kirk counters by pointing out that when further questioned by the district court as to whether he could render a fair and impartial verdict, the prospective juror responded in the affirmative. Again, we are troubled because the second prospective juror: (1) stated in the jury questionnaire that he could not be fair to companies that made, distributed, supplied and/or installed asbestos-containing products; (2) felt it was immoral to produce asbestos if the company knew it was going to cause a problem; and (3) indicated that he could not be fair to the defendant if the evidence indicated that Owens-Corning knew that asbestos was hazardous. Only after being repeatedly asked if he could be fair, the juror answered, “Whatever you say, yes.” Recently, we had the opportunity to decide a similar case involving a challenge to a district court’s refusal to remove several jurors for cause. Polan, 970 F.2d at 1284. In that case, which involved a prosecution for conspiracy to distribute and the distribution of illegally prescribed drugs, counsel for the defendant challenged for cause three prospective jurors who revealed during voir dire that either they or members of their families were victims of drug abuse. Id. Juror # 1 revealed that one of his brothers had died of a drug overdose and another brother had served a lengthy prison term for drug offenses. Id. n. 2. Juror #2 indicated that she had become dependent upon tranquilizers after experiencing a family tragedy. Id. Juror # 3 revealed that his son had abused alcohol and drugs in the past. Id. However, all three prospective jurors ultimately assured the court that their past experiences would not affect their decision making and that they would be fair and impartial. After reviewing the record of the voir dire, we concluded that the district court did not abuse its discretion in refusing to strike those prospective jurors. Polan, 970 F.2d at 1284. We find that Polan is distinguishable from the case before us. In Polan, the defendant wanted the prospective jurors removed presumably because he believed that some of their past experiences would make them more likely to vote for conviction. With regard to juror # 1, we gave little weight to the theory that an individual whose one brother died of a drug overdose and whose other brother served a prison sentence for drug offenses would be more likely to convict a criminal defendant charged with drug distribution. With regard to juror # 2, we were not convinced that a person who became dependent on sedatives after the shock of a family tragedy would be more likely to convict an individual accused of distributing drugs. Finally, with regard to juror # 3, we gave little credence to the notion that a father who endured his son’s alcohol and drug problems would be biased in favor of the prosecution. Thus, when the district court in Polan credited the assurances of the three prospective jurors, it implicitly made two findings: (1) that the jurors were telling the truth and (2) despite the experiences and personal biases of the jurors, they could be fair and impartial, precisely because their past experiences and personal biases did not make them more likely to convict the defendant. Here, Owens-Corning objected to jurors #251 and #45 being seated on the jury because it believed that their personal biases regarding asbestos and asbestos companies would make them more likely to return a finding of liability and a large damage award against Owens-Corning. Unlike the defendant in Polan, Owens-Corning’s fear, that the prospective witnesses’ past experiences and personal biases would affect their decision, was well-founded. Juror # 251 inhaled a considerable amount of asbestos, knew people who were suffering from asbestos-related diseases, and thought himself likely to succumb to some asbestos-related disease in the future. Thus, there was good reason to conclude that he would be more likely to return a large damage award because he sympathized with the plaintiff. See Gumbs v. Pueblo International, Inc., 823 F.2d 768, 773 (3d Cir.1987) (“[A] jur[or] may not abandon analysis for sympathy for a suffering plaintiff and treat an injury as though it were a winning lottery ticket.”). It is difficult to conceive of a juror who would be more partial to this plaintiff than juror #251. Because juror #251’s background is replete with circumstances which would call into question his ability to be fair to an asbestos manufacturer, we find that the district judge should have removed this juror for cause. Juror #45 stated that he was biased against asbestos companies and felt it was immoral knowingly to produce harmful and defective products. The danger existed that this juror would return a verdict of liability against Owens-Corning even if Owens-Corning’s products were not responsible for the decedent’s injuries. We can think of few admissions more compelling in asbestos litigation than a prospective juror who acknowledges that he would have moral qualms about being fair to an asbestos manufacturer. We conclude that juror # 45 and especially juror #251 could not serve fairly and impartially in light of their past experiences and personal biases. The district court relied too heavily on the jurors’ assurances of impartiality, and therefore abused its discretion. A district court’s refusal to excuse a juror will not automatically be upheld simply because the district court ultimately elicits from the prospective juror that he will be fair and impartial, despite earlier statements or circumstances to the contrary. The application of Owens-Corning to dismiss these two jurors for cause should have been granted. B. Peremptory Challenges Because the district court refused to strike these jurors for cause, Owens-Corning exercised two of its three peremptory strikes to remove these two prospective jurors from the jury. Federal law provides that “[i]n civil cases, each party shall be entitled to three peremptory challenges.” 28 U.S.C. § 1870. We must now decide whether: (1) the defendant has waived any claim that there was a violation of a statutory right to exercise peremptory challenges; (2) a denial or impairment of the exercise of peremptory challenges occurs if the defendant uses one or more challenges to strike jurors who should have been removed for cause; and (3) a per se reversal is the appropriate remedy for such impairment or whether the defendant must also make a showing of prejudice. 1. Waiver Kirk argues that we may not now consider on appeal Owens-Corning’s contentions that there was a violation of the statutory right to exercise peremptory strikes because the claim was not properly preserved in the trial court. We have previously held that “[i]t is well established that failure to raise an issue in the District Court constitutes waiver of the argument.” Brenner v. Local 514, United Brotherhood of Carpenters, 927 F.2d 1283, 1298 (3d Cir.1991). Owens-Corning made the following argument before the district court in support of its motion for a new trial: [T]he district court is compelled to excuse a potential juror when bias is discovered during voir dire, as the failure to do so may require the litigant to exhaust peremptory challenges on persons who should have been excused for cause. This result, of course, extinguishes the very purpose behind the right to exercise peremptory challenges. U.S. v. Daly, 716 F.2d 1499, 1507 (9th Cir.1983) [citing United States v. Allsup, 566 F.2d 68, 71 (9th Cir.1977); United States v. Nell, 526 F.2d 1223, 1229 (5th Cir.1976) ]. Brief of Owens-Corning in Support of its Motion for a New Trial at 3. In Daly, the Court of Appeals for the Ninth Circuit additionally stated that “[s]uch an infringement, if it causes a prejudicial diminution of peremptory challenges, constitutes reversible error.” Daly, 716 F.2d at 1507 (citing Hines v. Enomoto, 658 F.2d 667, 672 (9th Cir.1981), cert. denied, 463 U.S. 1211, 103 S.Ct. 3545, 77 L.Ed.2d 1394 (1983); Allsup, 566 F.2d at 71; United States v. Boyd, 446 F.2d 1267, 1275 n. 27 (5th Cir.1971)). We believe that Owens-Coming’s reference to Daly during the course of its argument to the district court properly preserved for appeal the argument that impairment of a peremptory strike requires reversal. Although Owens-Corning never specifically articulated that the impairment of a peremptory strike was a statutory violation, we are of the opinion that raising the question of the appropriate remedy for the impairment of peremptory challenges fairly places before us the question of whether a statutory right to peremptory challenges has been violated. 2. Denial or Impairment of Peremptory Challenges We must next decide whether a denial or impairment of the exercise of peremptory challenges occurs if a defendant expends or wastes a peremptory challenge to strike a juror who should have been removed for cause. The Supreme Court specifically declined to decide this issue in Ross v. Oklahoma, 487 U.S. 81, 108 S.Ct. 2273, 101 L.Ed.2d 80 (1988), stating, “we need not decide the broader question whether, in the absence of Oklahoma’s limitation on the ‘right’ to exercise peremptory challenges, ‘a denial or impairment’ of the exercise of peremptory challenges occurs if the defendant uses one or more challenges to remove jurors who should have been excused for cause.” Id. at 91 n. 4, 108 S.Ct. at 2280 n. 4. We do not believe this to be a difficult issue. Here, the district court failed to strike two jurors who were challenged for cause, and we determine that this failure was error. In order to ensure that these two prospective jurors who exhibited prejudice did not serve on the jury, Owens-Corning utilized two peremptory strikes. We hold that compelling a party to use any number of its statutorily-mandated peremptory challenges to strike a juror who should have been removed for cause is tantamount to giving the party less than its full allotment of peremptory challenges. Because 28 U.S.C. § 1870 requires that each party shall be entitled to three peremptory challenges, “a denial or impairment” of that statutory right occurs whenever a party exercises a peremptory challenge to strike a prospective juror who should have been removed for cause. Here, Owens-Coming’s statutory right to three peremptory challenges was impaired. 3. Remedy Relying on Swain v. Alabama, 380 U.S. 202, 85 S.Ct. 824, 13 L.Ed.2d 759 (1965), overruled on other grounds by Batson v. Kentucky, 476 U.S. 79, 106 S.Ct. 1712, 90 L.Ed.2d 69 (1986), Owens-Corning argues that the impairment or denial of the statutory right to exercise peremptory challenges requires the common law remedy of per se reversal. The common law remedy of per se reversal has a long history and tradition in our judicial system. As early as the 1890’s, the Supreme Court held in Gulf, Colorado & Santa Fe Ry. Co. v. Shane, 157 U.S. 348, 15 S.Ct. 641, 39 L.Ed. 727 (1895), that to “impanel a jury in violation of law, and in such a way as to deprive a party of his right to peremptory challenge, constitutes reversible error.” Id. at 351, 15 S.Ct. at 642. In Shane, a civil defendant claimed that the trial judge committed error by failing to adhere to an Arkansas statute that provided each party three peremptory strikes to be used on a list of eighteen prospective jurors. Because the trial judge confined the right to exercise peremptory challenges to only twelve prospective jurors, the Supreme Court concluded, without a showing of prejudice, that the trial court violated the statute. Id. Similarly, in Harrison v. United States, 163 U.S. 140, 16 S.Ct. 961, 41 L.Ed. 104 (1896), a criminal defendant argued that the trial judge erred in allotting him only three peremptory strikes, instead of the ten to which he was entitled under a federal statute. Because the defendant wanted to exercise five additional peremptory strikes, but was precluded from so doing, the Supreme Court reversed, observing that “[i]f [the defendant] was entitled to ten peremptory challenges, five persons unlawfully took part as jurors in his conviction.” Id. at 141, 16 S.Ct. at 961. Again, the Court did not require a showing of prejudice for this statutory violation. See also Lewis v. United States, 146 U.S. 370, 375-77, 13 S.Ct. 136, 138, 36 L.Ed. 1011 (1892) (statutory right provided by Arkansas law requiring defendant to be present during the exercise of peremptory strikes was violated, thus requiring per se reversal). Swain continued the tradition of these cases. Kirk maintains that Batson has overruled Swain in its entirety, and that Ross v. Oklahoma, 487 U.S. 81, 108 S.Ct. 2273, 101 L.Ed.2d 80 (1988), requires a specific showing of prejudice — that the jury who actually sat was not impartial — before reversal is required. In Swain, a black defendant raised a challenge to the prosecution’s use of peremptory challenges to strike six black prospective jurors from the petit jury venire. The Supreme Court announced a general rule that “[t]he denial or impairment of the right [to exercise peremptory challenges] is reversible error without a showing of prejudice.” Swain, 380 U.S. at 219, 85 S.Ct. at 835 (citing Lewis v. United States, 146 U.S. 370, 13 S.Ct. 136; Harrison v. United States, 163 U.S. 140, 16 S.Ct. 961; Gulf, Colorado & Santa Fe Ry. Co. v. Shane, 157 U.S. 348, 15 S.Ct. 641). In addition, the Swain Court held that striking black members of the petit jury venire does not violate the law, id. at 221, 85 S.Ct. at 836, a determination which has since been conclusively overruled in Batson v. Kentucky, 476 U.S. 79, 106 S.Ct. 1712, 90 L.Ed.2d 69 (1986). See Batson, 476 U.S. at 89, 106 S.Ct. at 1719 (“[T]he Equal Protection Clause forbids the prosecutor to challenge potential jurors solely on account of their race_”). Batson removed a prosecutor’s unbridled discretion to exercise peremptory challenges when the Equal Protection Clause is violated. However, Batson did not reach the situation where the Equal Protection Clause is not implicated. Indeed, Batson did not overrule the portion of Swain which held that denial or impairment of a peremptory strike is per se reversible error. Stated differently, if the prosecutor does not exercise peremptory strikes on the basis of race, an impairment of that statutory right to exercise peremptory challenges requires per se reversal. Notwithstanding the conclusion that the per se reversal requirement of Swain survives after Batson, Kirk contends that a more recent Supreme Court case, Ross v. Oklahoma, 487 U.S. 81, 108 S.Ct. 2273, 101 L.Ed.2d 80 (1988), abolished the per se reversal remedy in requiring the party seeking reversal to demonstrate that the jury actually seated was not impartial. In Ross, the petitioner argued that the failure of the trial court to strike a juror for cause and his subsequent “wasting” of a peremptory strike resulted in a violation of his Sixth and Fourteenth Amendment right to an impartial jury, and his Fourteenth Amendment right to due process. Ross, 487 U.S. at 85, 108 S.Ct. at 2277. As an initial matter, the Supreme Court noted that none of the jurors who actually sat and decided the case were challenged for cause by defense counsel. Id. at 84, 108 S.Ct. at 2276. Additionally, there was nothing in the record to suggest that any juror who actually sat was not impartial. Id. at 86, 108 S.Ct. at 2277. Moreover, the Court observed that any claim that the jury was biased must focus not on the challenged juror who was removed via the exercise of a peremptory strike, but rather on the jurors who ultimately sat. Id. The Supreme Court held: [The defendant] was undoubtedly required to exercise a peremptory challenge to cure the trial court’s error. But we reject the notion that the loss of a peremptory challenge constitutes a violation of the constitutional right to an impartial jury. We have long recognized that peremptory challenges are not of constitutional dimension. They are a means to achieve the end of an impartial jury. So long as the jury that sits is impartial, the fact that the defendant had to use a peremptory challenge to achieve that result does not mean the Sixth Amendment was violated. We conclude that no violation of [the defendant’s] [constitutional] right to an impartial jury occurred. Id. at 88, 108 S.Ct. at 2278 (emphasis added) (citations and footnote omitted). In reaching the question of whether the defendant’s Fourteenth Amendment right of due process was violated, the Court observed: Because peremptory challenges are a creature of statute and are not required by the Constitution, it is for the State to determine the number of peremptory challenges allowed and to define their purpose and the manner of their exercise. As such, the “right” to peremptory challenges is “denied or impaired” only if the defendant does not receive that which state law provides. Id. at 89, 108 S.Ct. at 2279 (citations omitted). Under Oklahoma law, a defendant who disagrees with a trial court’s ruling on a challenge for cause is required to exercise a peremptory challenge to remove the juror, or else the defendant waives the right to object on appeal. Id. Further, reversal is mandated only if the party exercises all of its peremptory strikes and an incompetent juror sits on the jury. Id. Ultimately, the Court concluded, “[a]s required by Oklahoma law, [the defendant] exercised one of his peremptory challenges to rectify the trial court’s error- But he received all that Oklahoma law allowed him, and therefore his due process challenge fails.” Id. at 91, 108 S.Ct. at 2279-80. Thus, Ross holds that there is no constitutional violation mandating reversal unless a party can show that the jury was not impartial. Ross is not controlling, however, because Owens-Corning alleges a statutory, not a constitutional, injury. Additionally, quite recently, we have spoken on this issue in a similar ease. In United States v. Ruuska, 883 F.2d 262 (3d Cir.1989), the defendant argued on direct appeal that his right to exercise a peremptory challenge was impaired, thus requiring a new trial. In that case, the defendant was granted an additional peremptory strike, but was later precluded from exercising this strike. The government argued that any error was harmless because a substantial right of the defendant was not affected, that is, the jury that ultimately sat was not impartial. We rejected the government’s invitation to perform a harmless error analysis. Rather, we acknowledged that the right to peremptory challenges is a statutory, rather than a constitutional privilege, and that peremptory challenges may be “ Svithheld altogether without impairing the constitutional guaranties of an “impartial jury” and a fair trial.’ ” Id. at 268 (quoting Frazier v. United States, 335 U.S. 497, 505 n. 11, 69 S.Ct. 201, 206 n. 11, 93 L.Ed. 187 (1948)) (emphasis added). We interpreted “the long line of Supreme Court authority that culminated with Swain to say that the denial or impairment of the right to peremptory challenges is reversible error per se.” Id. (quoting Swain) (citations omitted). Though we did not explicitly mention Ross, we think it clear that we were distinguishing the case at bar from those cases where a constitutional injury has been alleged. Thus, a showing of prejudice is not required to reverse a verdict after demonstrating that a statutorily-mandated, peremptory challenge was impaired. See also 9A Charles A. Wright and Arthur R. Miller, Federal Practice and Procedure § 2483, at 124 (1995) (“The denial or impairment of the right [to peremptory challenges] is reversible error without a showing of specific prejudice.”) (citing Swain, 380 U.S. at 219, 85 S.Ct. at 835; Gulf, Colorado & Santa Fe Ry. Co. v. Shane, 157 U.S. 348, 15 S.Ct. 641, 39 L.Ed. 727 (1895); Carr v. Watts, 597 F.2d 830 (2d Cir.1979); Kiernan v. Van Schaik, 347 F.2d 775 (3d Cir.1965)). We do not stand alone in holding that the denial or impairment of a peremptory strike requires per se reversal. In United States v. Cambara, 902 F.2d 144 (1st Cir.1990), the defendant argued that he was unfairly forced to expend a peremptory challenge to strike a juror who should have been excused for cause. Id. at 147. In that case, the defendant was entitled by statute to exercise ten peremptory strikes and the district court awarded an additional two challenges for a total of twelve. The defendant had exhausted all twelve of his peremptory challenges, but he was not forced to expend one of the ten to which he was entitled under statute. Instead, he was forced to waste one of the two additional strikes. Although the Court of Appeals for the First Circuit held that impairment of an additional peremptory challenge does not violate any rights of the defendant, the court recognized that “restricting a defendant’s use of the lawful number of peremptory strikes is reversible error if a challenge for cause is erroneously denied.” Id. at 147-48 (citations omitted). See also Carr v. Watts, 597 F.2d 830, 833 (2d Cir.1979) (error in denying challenge for cause that compels unnecessary use of per-emptories is reversible error); United States v. Rucker, 557 F.2d 1046, 1049 (4th Cir.1977) (erroneous refusal to excuse a juror for cause constitutes reversible error despite defendant’s use of peremptory challenge where district court’s error reduced number of peremptory challenges); United States v. Nell, 526 F.2d 1223, 1229 (5th Cir.1976) (same) (citing Swain). Furthermore, some post-Ross cases from other courts of appeals, while not concluding that a per se reversal is mandated, have recognized that Ross only speaks to constitutional challenges and does not necessarily control non-constitutional or statutory errors. In United States v. Beasley, 48 F.3d 262 (7th Cir.1995), the district court refused to remove three challenged jurors for cause, whereupon the defendant exercised two of his ten remaining statutorily-mandated peremptory strikes to remove two of the jurors. The defendant then objected to the seating of the third juror. The Court of Appeals for the Seventh Circuit ultimately concluded that the district court did not abuse its discretion in failing to strike the three jurors for cause. However, the Beasley court did note that because the peremptory strikes were designated as a matter of federal law, it could be argued that a district court’s erroneous refusal to strike a juror for cause would deprive the defendant of a statutory peremptory challenge. Id. at 268 n. 5. Additionally, in United States v. Munoz, 15 F.3d 395 (5th Cir.), cert. denied, — U.S. —, 114 S.Ct. 2149, 128 L.Ed.2d 876 (1994), the district court refused to remove a juror who was challenged for cause, thus requiring the defendant to exercise a peremptory strike. Although concluding that the district court did not abuse its discretion, the Court of Appeals for the Fifth Circuit observed that Ross applied constitutional standards in reviewing a state criminal conviction. It expressed doubt as to whether Ross controls a ease on direct appeal and further noted that reversal may be proper even though the error alleged at trial was not of constitutional magnitude. Id. at 398 n. 1. The Munoz court continued, “[w]hile peremptory challenges ... may not be constitutionally required, it does not follow that a trial court’s wrongful reduction of the number so provided is not reversible error on direct appeal.” Id. Kirk argues that all other courts of appeals that have addressed the constitutional implications of the use of peremptory challenges, whether raised in habeas corpus proceedings or in direct criminal appeals, have limited their inquiry and review to the impartiality of the jury selected. We agree that all courts subsequent to Ross have correctly required a showing of prejudice in response to an alleged constitutional error before concluding that reversal is warranted. However, Kirk has failed to point to a single case from any court of appeals that recognizes the distinction between constitutional and statutory violations, and holds that Ross requires a showing of prejudice for a statutory violation. For the reasons stated above, we find Ross and other cases dealing with alleged constitutional errors to be distinguishable from the ease at bar. Finally, Kirk argues that even if the requirement imposed by Ross of showing jury bias only applies to constitutional claims, its logic should nonetheless be extended to any statutory impairment claim, that is, a party should always be required to show that the jury that actually sat was biased. We decline to extend Ross in the absence of further guidance from the Supreme Court. We hold that the remedy for impairment or denial of the statutory right to exercise peremptory challenges is per se reversal without any requirement of proving prejudice. III. Prior Testimony of Out of Court Witness During the liability phase of the trial, Owens-Corning offered the expert testimony of Dr. Harry Demopoulos to prove that the overwhelming majority of asbestos-induced mesotheliomas are caused by crocidolite asbestos fiber. This testimony supported Owens-Corning’s defense that its product, Kay-lo, which did not contain crocidolite fiber, could not have caused the decedent’s meso-thelioma. Over Owens-Corning’s objection, Kirk was permitted to read to the jury the prior trial testimony of Dr. Louis Burgher from an unrelated New Jersey State Court asbestos action in 1992. In that case, Dr. Burgher had been an expert witness for Owens-Corning and testified on cross-examination that it was possible for mesothelioma to be caused by chrysotile fibers contaminated with tremolite. Kirk was clearly attempting to discredit Owens-Corning’s defense offered through Dr. Demopoulos by revealing to the jury that Owens-Corning’s expert witness in a previous case voiced a different and contradictory opinion as to which asbestos fibers cause mesothelioma. After the jury returned a verdict in favor of Kirk, Owens-Coming made a post-trial motion for a new trial based in part on the alleged admission of hearsay evidence, i.e., the prior testimony of Dr. Burgher in an unrelated case. The district court denied this motion. Normally, when a new trial is sought by reason of a district court’s alleged error in allowing the introduction of evidence, we review for abuse of discretion. Lippay v. Christos, 996 F.2d 1490, 1496 (3d Cir.1993) (citing Link v. Mercedes-Benz, 788 F.2d 918, 921-22 (3d Cir.1986)). However, where as here the ruling on admissibility of hearsay evidence implicates the application of a legally set standard, our review is plenary. Id.; see also United States v. McGlory, 968 F.2d 309, 332 (3d Cir.1992). Owens-Corning argues that the district court erred in allowing the jury to hear this evidence in light of the fact that it was hearsay. Although the record is at best vague as to what the district court’s basis was for allowing such testimony, Kirk attempts to justify its admission under two distinct theories — either the testimony was not hearsay pursuant to Rule 801(d)(2)(C) of the Federal Rules of Evidence or it was hearsay, but subject to an exception pursuant to Rule 804(b)(1). A. Rule 801(d)(2)(C) of the Federal Rules of Evidence Kirk first attempts to justify the district court’s admission of the prior trial testimony of Dr. Burgher by arguing it is an admission by a party opponent since it is a statement by a person authorized by Owens-Corning to speak concerning mesothelioma and is thus not hearsay. See Fed.R.Evid. 801(d)(2)(C); see also Precision Piping v. E.I. du Pont de Nemours, 951 F.2d 613, 619 (4th Cir.1991) (authority in the context of 801(d)(2)(C) means “authority to speak” on a particular subject on behalf of someone else). In her brief, Kirk argues that Dr. Burgher was authorized by Owens-Corning to offer his expert opinion about medical literature regarding mesothelioma and fiber type. Ap-pellee’s Brief at 21. At oral argument, Kirk suggested that the testimony of any expert that Owens-Corning has previously used in a trial can be used in future litigation against it as an authorized admission. In support of this proposition, Kirk cites Collins v. Wayne Corp., 621 F.2d 777, 782 (5th Cir.1980), which held that deposition testimony of an expert employed by a bus manufacturer to investigate an accident was an admission under 801(d)(2)(C). However, in that case the court made a finding that the expert witness was an agent of the defendant and the defendant employed the expert to investigate and analyze the bus accident. Id. The court determined that in giving his deposition, the expert was performing the function that the manufacturer had employed him to perform. As such, the court concluded that the expert’s report of his investigation and his deposition testimony in which he explained his analysis and investigation was an admission of the defendant. Id.; see also Theriot v. J. Ray McDermott & Co., Inc., 742 F.2d 877, 882 (5th Cir.1984) (citing Collins v. Wayne Corp., 621 F.2d 777, 781-82 (5th Cir.1980)) (explaining that Collins holds that “an agent’s statement, made within the scope of his authority ... is admissible against the principal as an admission”). Kirk misconstrues the entire premise of calling expert witnesses. In theory, despite the fact that one party retained and paid for the services of an expert witness, expert witnesses are supposed to testify impartially in the sphere of their expertise. Thus, one can call an expert witness even if one disagrees with the testimony of the expert. Rule 801(d)(2)(C) requires that the declarant be an agent of the party-opponent against whom the admission is offered, and this precludes the admission of the prior testimony of an expert witness where, as normally will be the case, the expert has not agreed to be subject to the client’s control in giving his or her testimony. See Sabel v. Mead Johnson & Co., 737 F.Supp. 135, 138 (D.Mass.1990). Since an expert witness is not subject to the control of the party opponent with respect to consultation and testimony he or she is hired to give, the expert witness cannot be deemed an agent. See Restatement (Second) of Agency § 1 cmt. a (1958) (“The relation of agency is created as the result of conduct by two parties manifesting that one of them is willing for the other to act for him subject to his control, and that the other consents so to act.”). Because an expert witness is charged with the duty of giving his or her expert opinion regarding the matter before the court, we fail to comprehend how an expert witness, who is not an agent of the party who called him, can be authorized to make an admission for that party. See Michael H. Graham, Federal Practice and Procedure: Evidence § 6722, at 502 (Interim Edition 1992) (the authority of the agent to speak as to a subject must be established at trial). We are unwilling to adopt the proposition that the testimony of an expert witness who is called to testify on behalf of a party in one case can later be used against that same party in unrelated litigation, unless there is a finding that the expert witness is an agent of the party and is authorized to speak on behalf of that party. Accordingly, we find Dr. Burgher’s prior trial testimony to be hearsay in the context of the present trial. B. Rule 804(b)(1) of the Federal Rules of Evidence Because the testimony of Dr. Burgher is hearsay, we must next inquire whether it falls within any of the hearsay exceptions enumerated in the Federal Rules of Evidence. Kirk argues that Dr. Burgher’s testimony falls within the former testimony hearsay exception of Rule 804(b)(1). In order for former testimony to be admissible as an exception to the hearsay rule: (1) the declarant must be unavailable; (2) testimony must be taken at a hearing, deposition, or civil action or proceeding; and (3) the party against whom the testimony is now offered must have had an opportunity and similar motive to develop the testimony by direct, cross, or redirect examination. See Fed.R.Evid. 804(a)(5), (b)(1). Because Dr. Burgher testified in open court during the state court action, no one disputes that the second element has been satisfied. Regarding the first element, we note that it is an abuse of discretion for a district court to admit former testimony into evidence under Rule 804(b)(1) without a finding of unavailability. See O’Banion v. Owens-Corning Fiberglas Corp., 968 F.2d 1011, 1014 (10th Cir.1992) (district court abused its discretion in admitting former testimony of expert where there was no showing of unavailability). Because there was no finding on the record as to unavailability, if the district court based admitting this testimony on Rule 804(b)(1), we hold that the district court abused its discretion in allowing this former testimony into evidence. Normally, our inquiry would end here after determining that former testimony cannot be admitted absent specific findings of unavailability. However, because of the likelihood that an offer may be made during the retrial of this matter to admit this testimony as former testimony, we believe further discussion is warranted. We observe that it is the proponent of the statement offered under Rule 804 who bears the burden of proving the unavailability of the declarant. United States v. Eufracio-Torres, 890 F.2d 266, 269 (10th Cir.1989), cert. denied, 494 U.S. 1008, 110 S.Ct. 1306, 108 L.Ed.2d 482 (1990) (citing Ohio v. Roberts, 448 U.S. 56, 65, 100 S.Ct. 2531, 2538-39, 65 L.Ed.2d 597 (1980)); 2 John William Strong et al., McCormick on Evidence § 253, at 134 (4th ed. 1992) (“The proponent of the hearsay statement must ... show that the witness cannot be found”). We can find nothing in the record that indicates any “reasonable means” employed by Kirk to procure the services of Dr. Burgher so that he might testify at trial. See McCormick § 253, at 134 (mere absence of the declarant, standing alone, does not establish unavailability); see also Moore v. Mississippi Valley State University, 871 F.2d 545, 552 (5th Cir.1989) (deposition inadmissible in civil trial where no evidence to establish unavailability offered). Kirk claims that Dr. Burgher, who is a resident of Nebraska, was beyond her ability to subpoena and was thus unavailable. See Fed.R.Civ.P. 45(c)(3)(A)(ii). However, Kirk made no independent attempt to contact Dr. Burgher, offer him his usual expert witness fee, and request his attendance at trial. Because Dr. Burgher was never even as much as contacted, Kirk has failed to prove that she used “reasonable means” to enlist his services. We next address whether Owens-Corning had an opportunity and similar motive to develop the testimony of Dr. Burgher at the prior unrelated state court trial. The similarity of motive requirement assures “that the earlier treatment of the witness is the rough equivalent of what the party against whom the statement is offered would do at trial if the witness were available to be examined by that party.” United States v. Salerno, 937 F.2d 797, 806 (2d Cir.1991); see also 2 Steven A. Saltzburg & Michael M. Martin, Federal Rules of Evidence Manual 400 (5th ed. 1990) (“The way to determine whether or not motives are similar is to look at the similarity of the issues and the context in which the opportunity for examination previously arose.”). There was no finding by the district court that Owens-Corning had an opportunity and similar motive to examine Dr. Burgher. Further, during oral argument, counsel for Kirk indicated that the only document before the district court from the state court trial was the transcript of Dr. Burgher’s testimony. The district court did not have the complaint, answer, or jury charge from the state court proceedings. Thus, even if the district court had attempted to make a finding as to opportunity and similar motive, it would have been unable to reach a well-reasoned conclusion based on the information before the district court. See McCormick § 304, at 317 (courts must look to the operative issue in the earlier proceeding). Accordingly, we must conclude that Kirk failed to prove that Owens-Corning had an opportunity and similar motive to examine Dr. Burgher. IV. Introduction of Interrogatory of Settled Co-Defendant Kirk settled the instant action with Gar-loek and several other defendants prior to trial. At trial, Owens-Corning sought in its cross-claim to prove that the decedent was exposed to products made by Garlock. If the jury were to conclude that the decedent’s injuries had been caused in whole or part by exposure to Garlock products, then Owens-Corning could eliminate or substantially reduce its liability. Conversely, it was in Kirk’s financial interest to prove that the decedent was exposed to only Owens-Corning products. In an effort to rebut the testimony of an Owens-Corning witness who testified that Garlock gaskets were present in the New York shipyard during the years that the decedent worked there, Kirk read into evidence an interrogatory response which was prepared and filed by Garlock in defense of this action. Of course, at the time this interrogatory was read to the jury, Garlock was no longer a party to this lawsuit. Specifically, counsel for Kirk read the following statement to the jury: Since Garlock products are bonded and/or encapsulated and treated in such a manner that they do not, when used in the manner for which they were intended, emit meaningful levels of asbestos dust and fibers, no restrictions or limitations on use are necessary. App. at 513. In response to Owens-Corning’s closing remarks, counsel for Kirk reminded the jury: I read you from the Garlock interrogatory, Garlock product is bonded, encapsulated, it does not emit dust. App. at 545. Owens-Corning argues that the district court erred in admitting this interrogatory response because the interrogatory answer was pure hearsay. Kirk attempts to justify the admission of this interrogatory response under the catch-all or residual exception, Rule 803(24) of the Federal Rules of Evidence. As stated previously, our standard of review is plenary where the admissibility of hearsay evidence “implicates the application of a legally set standard.” See supra part III. As a preliminary matter, we note that the plain language of the rule requires the proponent of the hearsay statement to put the adverse party on notice that the proponent intends to introduce the statement into evidence. We have interpreted this to mean that the proponent must give notice of the hearsay statement itself as well as the proponent’s intention specifically to rely on the rule as a grounds for admissibility of the hearsay statement. United States v. Pelullo, 964 F.2d 193, 202 (3d Cir.1992) (citing United States v. Furst, 886 F.2d 558, 574 (3d Cir.1989)). Even assuming arguendo that Owens-Corning was on notice that Kirk intended to introduce this evidence at trial, we observe from the record that Kirk never gave notice to Owens-Corning that she intended to introduce this evidence under Rule 803(24). App. at 512. We recognize that the advance notice requirement of Rule 803(24) can be met where the proponent of the evidence is without fault in failing to notify his adversary and the trial judge has offered sufficient time, by means of granting a continuance, for the opponent to prepare to contest its admission. See United States v. Bailey, 581 F.2d 341, 348 (3d Cir.1978) (the purposes of the rule and the requirement of fairness are satisfied under such circumstances). Because of the lack of notice by Kirk that she intended to rely on Rule 803(24) and the lack of a showing by Kirk as to why it was not possible to provide Owens-Corning with notice, the district court erred in admitting this evidence at trial. Turning to the substance of the rule itself, we note that in order for the hearsay statement to be admitted, it must have “equivalent circumstantial guarantees of trustworthiness.” Fed.R.Evid. 803(24); see also Michael H. Graham, Federal Practice and Procedure: Evidence § 6775, at 737-39 (Interim Edition 1992) (factors bearing on trustworthiness include the declarant’s partiality, i.e., interest or bias). Owens-Coming argues that the interrogatories of Garlock lack trustworthiness and are self-serving. Kirk submits that the interrogatory answers are trustworthy because they are signed and sworn under penalty of perjury. We find that an interrogatory response of a co-defendant who is seeking to avoid liability lacks the “circumstantial guarantees of trustworthiness” that are contemplated by Rule 803(24) of the Federal Rules of Evidence. Garlock had every incentive to set forth the facts in a light most favorable to itself, while at the same time still answering the interrogatories truthfully. See United States v. DeLuca, 692 F.2d 1277, 1285 (9th Cir.1982) (excluding statement under residual hearsay exception because of motive to exculpate oneself after indictment or investigation). Using these interrogatory responses to prove that Garlock products could not have caused the decedent’s illness without the opportunity for cross-examination implicates many of the dangers the hearsay rule is designed to prevent. Accordingly, the district court erred in admitting this evidence. V. Delay Damages Finally, Owens-Corning argues that it was improper as a matter of law for the district court to award delay damages to the plaintiff pursuant to Rule 238 of the Pennsylvania Rules of Civil Procedure because it is a procedural rale and should not be applied by federal courts sitting in diversity. Owens-Corning argues in the alternative that even if it is permissible for a federal court sitting in diversity to award delay damages pursuant to Rule 238, it was improper here because: (1) the entire delay was caused by the plaintiffs strategic decision to file simultaneous federal and state court actions and her failure to request a remand of the federal action from the multidistrict docket when settlement negotiations reached an impasse and (2) the district court miscalculated the damage award in failing to account for a delay of approximately two years that was caused by a judicial stay imposed by the Panel on Mul-tidistrict Litigation. Owens-Corning maintains that because it was not responsible for the delay, it should not be required to pay delay damages for that period. A. Rule 238 of the Pennsylvania Rules of Civil Procedure — Substantive or Procedural? First, we must address Owens-Corning’s argument that a federal court sitting in diversity cannot apply Rule 238 of the Pennsylvania Rules of Civil Procedure because it is a procedural rather than a substantive rule. Yet, ultimately, Owens-Corning concedes, as it must, that this question has already been decided by this Court in Fauber v. KEM Transportation and Equipment Co., 876 F.2d 327 (3d Cir.1989). In that case, we held that Rule 238 is substantive and must be followed by federal courts sitting in diversity eases. Id. at 328. Counsel is thus implicitly asking this panel to overrule Fauber. We note that this Court’s Internal Operating Procedures prohibit a panel of this Court from overruling a published opinion of a previous panel. See Internal Operating Procedure Rule 9.1 (“[T]he holding of a panel in a reported opinion is binding on subsequent panels.”). Because we are bound by Fauber, and in any event do not question its wisdom, we reiterate that it is proper for a federal district court sitting in diversity to award delay damages to a plaintiff under Rule 238 of the Pennsylvania Rules of Civil Procedure. B. Did Plaintiff Cause Delay? Second, Owens-Corning maintains that Kirk was responsible for the delay because she filed simultaneous federal and state court actions and additionally failed to make an application to remand the federal action from the multidistrict docket when settlement negotiations proved fruitless. Our review of the applicability of Rule 238 in a diversity case is plenary. Fauber, 876 F.2d at 329. Rule 238 of the Pennsylvania Rules of Civil Procedure states in relevant part: (a)(1) At the request of the plaintiff in a civil action seeking monetary relief for ... death[,] ... damages for delay shall be added to the amount of compensatory damages awarded against each defendant ... found to be liable to the plaintiff in the verdict of a jury.... (2) Damages for delay shall be awarded for the period of time (i) in an action commenced before August 1, 1989, from the date the plaintiff first filed a complaint or from a date one year after the accrual of the cause of action, whichever is later, up to the date of the ... verdict_ (3) Damages for delay shall be calculated at the rate equal to the prime rate as listed in the first edition of the Wall Street Journal published for each calendar year for which the damages are awarded, plus one percent, not compounded. (b) The period of time for which damages for delay shall be calculated under subdivision (a)(2) shall exclude the period of time, if any, (1) after which the defendant has made a written offer of (1) settlement in a specified sum with prompt cash payment to the plaintiff, or (ii) a structured settlement underwritten by a financially responsible entity, and continued that offer in effect for at least ninety days or until commencement of trial, whichever first occurs, which offer was not accepted and the plaintiff did not recover by award, verdict or decision, exclusive of damages for delay, more than 125 percent of either the specified sum or the actual cost of the structured settlement plus any cash payment to the plaintiff; or (2) during which the plaintiff caused delay of the trial. Pa.R.Civ.P. 238 (1988) (emphasis added). According to the plain language of the rule, a defendant must pay delay damages unless the delay falls within the excludable time as set forth in the rule. Owens-Corning concedes that it did not make a settlement offer which would satisfy the rule. Thus, the only other way for the defendant to be relieved from paying delay damages would be if the plaintiff caused the delay. According to Owens-Corning, but for the plaintiffs strategic decision to file a federal asbestos action, the matter could have been resolved long ago in state court. Here, Kirk would have been forced to abandon her remedy in federal court and seek relief only in the state forum. To adopt the rule of law as advocated by Owens-Corning, we would be required to hold that delay is per se attributable to a plaintiff anytime a plaintiff files a diversity action in federal court when a suitable state forum exists. Nothing in Rule 238 contemplates that a plaintiff must forgo any rights in order to be entitled to delay damages, and we are unwilling to adopt such a proposition. In support of its argument that Kirk was responsible for the delay in failing to request a remand from the multidistrict docket, Owens-Corning relies on Babich v. Pittsburgh & New England Trucking Co., 386 Pa.Super. 482, 563 A.2d 168 (1989). In that case, the plaintiffs motion for delay damages pursuant to Rule 238 was denied by the trial court and plaintiff appealed. Babich, 386 Pa.Super. at 487, 563 A.2d at 171. In assessing who was responsible for the almost seven year delay between the commencement of suit and the jury verdict, the court observed: [T]he chief reasons for delay in this case cannot be attributed to defendants. [One of the defendants] filed a Chapter 11 bankruptcy in federal court six months after [plaintiffs] complaint was filed and [plaintiff] did not successfully obtain relief from the automatic stay until approximately two years and four months later despite cooperation from counsel for the bankruptcy and counsel for the insurance company. The other primary delay in the case was [plaintiffs] failure to place the case at issue in a speedy fashion. [Plaintiff] fails to point to any delay attributable to defendants and we find none upon review of the record. Babich, 386 Pa.Super. at 487, 563 A.2d at 171. Owens-Corning argues that because Kirk did not seek a remand from the multidistrict docket, she failed to obtain relief from the MDL stay just as the plaintiff in Babich failed to obtain relief from the automatic stay. Owens-Corning’s reliance on Babich is misplaced. In that case plaintiff could have sought relief and moved the trial along, because opposing counsel was cooperating with and assisting counsel. Here, however, according to Judge Weiner’s Pretrial Order, the case could be remanded for trial only if there was a finding that the defendant was acting in bad faith during the settlement negotiations. To the extent that Owens-Corning is found to have acted in bad faith, this would militate against a finding that delay was caused by the plaintiff. C. Is Delay Not Caused By The Defendant Excludable? Third, Owens-Corning argues that because the delay was caused by the MDL Order, it offends traditional notions of fair play and due process to make a defendant pay for another’s delay. Owens-Corning asks that the award of delay damages be recalculated and further maintains that it is unconstitutional to impose delay damages on it for this time period because it was never acting in bad faith and the delay was caused by the court. Were we to adopt the rule of law as articulated by Owens-Corning, we would have to redraft Rule 238(b)(2) to state “during which the defendant did not cause the delay of the trial,” instead of “during which the plaintiff caused delay of the trial.” We are not so inclined and we find that the plaintiff caused no delay of the trial. Owens-Corning also argues that notwithstanding the language of the rule, requiring it to pay for delay caused by the judiciary is a violation of due process. Owens-Corning fails to comprehend the theory underlying Rule 238. Delay damages merely compensate a plaintif