Live courthouse data across 10 states. Pro users get alerted instantly on every filing. Get started

Howmet Aerospace, Inc. F/K/A Arconic, Inc., F/K/A Alcoa, Inc. v. Frank Burford, Individually and as Representative of the Heirs and Estate of Carolyn Burford, Deceased; Wesley Burford, Individually; And Leslie Schell, Individually

Docket 24-0411

Court of record · Indexed in NoticeRegistry archive · AI-enriched for research

CivilDenied
Filed
Jurisdiction
Texas
Court
Texas Supreme Court
Type
Concurrence
Case type
Civil
Disposition
Denied
Citation
No. 24-0411 (Tex. Apr. 17, 2026)
Docket
24-0411

Petition for review from the Court of Appeals for the Fourteenth District of Texas following reversal of a no-evidence summary-judgment for the defendant in an asbestos wrongful-death action

Summary

The Texas Supreme Court denied review of an appeal in an asbestos wrongful-death case involving Howmet Aerospace and the Burford family. Justice Young concurred in the denial while criticizing the court of appeals for rejecting a prior Texas Supreme Court statement that proof of dose is required even in single-source asbestos-exposure cases. He explained the factual posture (long-term household exposure from a worker’s contaminated clothes), summarized relevant precedent (Havner, Flores, Bostic), and said that although lower courts show confusion, this particular case cannot resolve the dose question because the court of appeals found the plaintiffs had produced sufficient proof of dose. He urged future review in an appropriate case.

Issues Decided

  • Whether plaintiffs in a single-source-exposure asbestos case must produce proof of the dose of asbestos exposure to establish substantial-factor causation.
  • Whether lower courts may treat a Texas Supreme Court statement as nonbinding dicta and disregard it.
  • Whether Havner/Flores/Havner-based epidemiological standards are always required to prove causation in asbestos cases or whether single-source proof can suffice.

Court's Reasoning

Justice Young reasoned that Texas precedent requires plaintiffs to prove causation by a preponderance of the evidence and that prior cases emphasize that the amount of exposure (dose) matters because “the dose makes the poison.” He concluded the court of appeals erred in dismissing the Texas Supreme Court’s Bostic statement as nonbinding because that statement was deliberate and intended to guide future litigation. However, he concurred in denying review because the court of appeals also held the plaintiffs had produced sufficient proof of dose, so this case would not allow the Supreme Court to resolve the underlying doctrinal question.

Authorities Cited

  • Merrell Dow Pharmaceuticals, Inc. v. Havner953 S.W.2d 706 (Tex. 1997)
  • Borg–Warner Corp. v. Flores232 S.W.3d 765 (Tex. 2007)
  • Bostic v. Georgia–Pacific Corp.439 S.W.3d 332 (Tex. 2014)

Parties

Petitioner
Howmet Aerospace, Inc. f/k/a Arconic, Inc., f/k/a Alcoa, Inc.
Respondent
Frank Burford, Individually and as Representative of the Heirs and Estate of Carolyn Burford, Deceased
Respondent
Wesley Burford
Respondent
Leslie Schell
Judge
Justice Evan A. Young
Judge
Justice Sullivan
Judge
Justice Hawkins

Key Dates

Opinion filed
2026-04-17

What You Should Do Next

  1. 1

    Proceed in trial court

    The plaintiffs and defendants should follow the court of appeals' remand instructions and continue litigation in the trial court consistent with the appellate ruling.

  2. 2

    Consider en banc or rehearing motions at court of appeals

    If a party believes the court of appeals improperly characterized precedent, they might seek rehearing or en banc consideration in the court of appeals before further review attempts.

  3. 3

    Prepare for possible Supreme Court review in future case

    Litigants and counsel in asbestos cases should develop and preserve record evidence on dose and highlight conflicts among courts of appeals to create a suitable vehicle for Supreme Court clarification.

Frequently Asked Questions

What did the Supreme Court decide?
The Court denied review of the court of appeals decision; it did not change the outcome below but a concurring justice explained legal concerns and urged future review of the proof-of-dose issue.
Who is affected by this decision?
Parties in asbestos cases in Texas, especially future plaintiffs and defendants in single-source-exposure claims, may be affected because the concurrence highlights unresolved legal standards lower courts must follow.
Does this case change the law about proof of dose?
No. The Court denied review and did not overrule or modify prior precedent; a justice’s concurrence urged clarification in a future case but did not itself change binding law.
What happens next in this case?
Because the Supreme Court denied review, the court of appeals' reversal stands and the case returns to the trial court for further proceedings consistent with that ruling unless the parties seek other relief.
Can this be appealed further?
This was the Texas Supreme Court’s denial of a petition for review; there is no further state appeal, though parties might seek other procedural or post-judgment remedies where appropriate.

The above suggestions and answers are AI-generated for informational purposes only. They may contain errors. NoticeRegistry assumes no responsibility for their accuracy. Consult a qualified attorney before relying on them.

Full Filing Text
Supreme Court of Texas
                            ══════════
                             No. 24-0411
                            ══════════

   Howmet Aerospace, Inc., f/k/a Arconic, Inc., f/k/a Alcoa, Inc.,
                               Petitioner,
                                    v.
 Frank Burford, Individually and as Representative of the Heirs
   and Estate of Carolyn Burford, Deceased; Wesley Burford,
         Individually; and Leslie Schell, Individually,
                              Respondents

   ═══════════════════════════════════════
               On Petition for Review from the
     Court of Appeals for the Fourteenth District of Texas
   ═══════════════════════════════════════

        JUSTICE YOUNG, with whom Justice Sullivan and Justice Hawkins
join, concurring in the denial of the petition for review.

      In Bostic v. Georgia–Pacific Corp., this Court stated that “proof of
dose would be required” to establish substantial-factor causation in a
single-source-exposure asbestos case. 439 S.W.3d 332, 352 (Tex. 2014).
The court of appeals below declined to follow this statement, discarding
it as “nonbinding obiter dicta.” It instead concluded that because the
plaintiffs produced sufficient evidence that the defendant was the single
source of the decedent’s exposure to asbestos, the plaintiffs need not also
produce proof-of-dose evidence to overcome a no-evidence motion for
summary judgment.
       This approach, which conflicts with a holding of at least one other
court of appeals, is troubling. Suppose that a plaintiff proffers sufficient
evidence that he was not exposed to asbestos from any other source.
Even so, absent evidence that he was exposed to a minimum disease-
causing quantum of asbestos from the defendant, how could a jury
reasonably conclude that the defendant caused him to incur a compensable
asbestos-related injury?
       At some point, this Court will need to take a case to examine this
issue. We have not yet directly ruled upon questions concerning the
quantitative evidence of dose with respect to single-source-exposure
asbestos cases, and as this case reflects, the lower courts have exhibited
confusion regarding the appropriate legal standards in the wake of our
observation in Bostic.
       I nonetheless concur in the Court’s denial of the petition for review
because the petition ultimately would not allow us to resolve the issue that
I have identified. Indeed, the court of appeals’ rejection of this Court’s
supposed dicta was itself arguably dicta given that court’s holding that
the plaintiffs did sufficiently adduce proof-of-dose evidence to overcome
the no-evidence summary-judgment motion.
       I therefore write separately to discuss the issue that warrants the
Court’s consideration in an appropriate case, even though I must agree
that this case is not the one to do it. In so doing, I also address the court
of appeals’ doubtful authority to disregard this Court’s legal statements.
                                      I
       I recount the facts in the light most favorable to the nonmovants.
Frank and Carolyn Burford were married for more than fifty years, thirty




                                     2
of which Frank spent working for Howmet’s aluminum-smelting plant in
Rockdale, Texas. Nearly every day for twenty-five of those years, when
Frank returned home from work, Carolyn shook out and washed his
clothes, which contained the asbestos that traveled with Frank from his
job at Howmet to his home with Carolyn. By 2006, Carolyn had developed
breathing issues and was diagnosed with asbestosis. She passed away
nine years later.
      Carolyn’s surviving family members (collectively, the Burfords)
sued Howmet, alleging that it was responsible for Carolyn’s asbestosis,
given her almost daily, two-and-a-half-decade-long handling of her
husband’s work clothes. The multidistrict-litigation panel transferred
the case to the 11th District Court of Harris County as a tag-along to In
re: Asbestos Litigation, which was already pending there. Following
discovery, Howmet moved for no-evidence summary judgment, asserting
that the Burfords could not produce sufficient evidence of substantial-
factor causation.
      Relevant to the motion was this Court’s opinion in Merrell Dow
Pharmaceuticals, Inc. v. Havner, in which we explained that for the
evidence to be legally sufficient as to substantial-factor causation, a
plaintiff must proffer either (1) direct, scientifically reliable evidence of
causation or (2) epidemiological studies showing the exposure caused by
the defendant more than doubled the risk of developing his condition. See
953 S.W.2d 706, 714–17 (Tex. 1997). We have called the latter method “the
alternative approach,” which we said in Bostic “might be unnecessary” to
prove substantial-factor causation where “the plaintiff can establish with
reliable expert testimony that (1) his exposure to a particular toxin is the




                                     3
only possible cause of his disease, and (2) the only possible source of that
toxin is the defendant’s product.” 439 S.W.3d at 352 (emphasis added).
      Relying on these precedents, the trial court granted Howmet’s no-
evidence summary-judgment motion. It held that the Burfords did not
produce more than a scintilla of direct-causation evidence because they did
not sufficiently negate the possibility of Carolyn’s exposure to asbestos
from some other source. As for “the alternative approach” to proving
substantial-factor causation, the Burfords did not present epidemiological
studies showing that Carolyn’s exposure to asbestos from Howmet more
than doubled her risk of developing asbestosis. The court thus rendered
judgment for Howmet.
      The court of appeals reversed, holding that the Burfords did present
evidence of substantial-factor causation sufficient to overcome Howmet’s
no-evidence summary-judgment motion. 693 S.W.3d 756, 769–71 (Tex.
App.—Houston [14th Dist.] 2024). The court held that the Burfords raised
a direct-causation fact issue by presenting scientifically reliable evidence
that “Carolyn was exposed to and inhaled the asbestos that came from
[Howmet],” “Carolyn’s exposure to asbestos [was] the only possible cause
of asbestosis,” and “[Howmet] was the source of all the asbestos to which
Carolyn was exposed.” Id. at 767. In this single-source-exposure asbestos
case, the court continued, the Burfords were not required to resort to the
alternative approach and present epidemiological studies. Id.
      To reach this conclusion, the court of appeals noted that “[t]he
parties have not cited and research has not revealed a case addressing
how a plaintiff may prove substantial-factor causation in a case in which
the plaintiff allegedly contracted asbestosis and one party was the source




                                     4
of all the asbestos to which the plaintiff was exposed.” Id. at 766
(emphasis added).
       The court of appeals deemed itself free to disregard what it called
“nonbinding obiter dicta” from Bostic in which this Court observed that
“even in a single-exposure case, . . . proof of dose would be required.” Id.
(quoting Bostic, 439 S.W.3d at 352, and stating that the Bostic Court was
merely “pointing out possibilities rather than making very deliberate
statements”). The court declared instead that proof of dose is not required
in a single-source-exposure asbestos case because “[i]f no other party
contributed asbestos fibers to the air that the plaintiff inhaled,” then a jury
could “reliably and reasonably” conclude “that the defendant sufficiently
contributed to the aggregate dose of asbestos the plaintiff inhaled” such
that it was the substantial cause of the plaintiff’s compensable asbestos-
related injury—namely, asbestosis. See id. at 767. The proof of dose could
simply be inferred, the court concluded, as “whatever the dose or amount
of asbestos to which Carolyn was exposed, that dose or amount must have
been sufficient to cause asbestosis.” Id. (emphasis added). Yet in a footnote
the court also held that even if proof of dose were required, the Burfords
had produced sufficient evidence to overcome Howmet’s no-evidence
summary-judgment motion. Id. at 770 n.10.
       Howmet’s petition for review followed. It does not focus on the proof-
of-dose issue that I have just described. Rather, it primarily argues that
the court of appeals created a new exception for single-source-exposure
asbestos cases and that, regardless of whether the defendant is the only
source of exposure, a proper epidemiological study is always required in
every case. Cf. Bostic, 439 S.W.3d at 352 (noting that “the alternative




                                      5
approach embraced in Havner might be unnecessary” (emphasis added)).
I take no position on that assertion and instead address what, in my view,
matters most to our jurisprudence: the court of appeals’ jettisoning of our
considered statement in Bostic that proof of dose is required even in single-
source-exposure asbestos cases like this one.
                                      II
       I briefly survey our relevant precedents and then turn to the legal
issue that will likely require our consideration. I then discuss the court of
appeals’ characterization of our statement in Bostic as “dicta.” I conclude
by addressing why this case does not allow us to reach the key issue, which
is why, with some reluctance, I concur in denial of the petition.
                                      A
       Havner explained two ways for a toxic-tort plaintiff to produce
legally sufficient evidence of substantial-factor causation. 953 S.W.2d at
714–17. The first is by “direct, scientifically reliable proof,” and the second
is by epidemiological studies (if those studies meet certain requirements).
Id. at 715–16, 720 (explaining that a study must “show that the risk of an
injury or condition in the exposed population was more than double the
risk in the unexposed or control population” and that the plaintiff must be
“similar to those in the studies”).
       We extended Havner’s substantial-factor-causation framework to
asbestos-related litigation in Borg–Warner Corp. v. Flores, 232 S.W.3d 765,
766, 771–73 (Tex. 2007). At the time, “[p]erhaps the most widely cited
standard for proving causation in asbestos cases [was] the Lohrmann
‘frequency, regularity, and proximity’ test.” Id. at 769 (citing Lohrmann
v. Pittsburgh Corning Corp., 782 F.2d 1156, 1163 (4th Cir. 1986)). And




                                      6
while we thought the “frequency, regularity, and proximity” test was
“appropriate” and even “necessary” to establish causation, we also
explained that “those terms d[id] not, in themselves, capture the
emphasis our jurisprudence ha[d] placed on causation as an essential
predicate to liability.” Id. at 770, 772. The lodestar was ultimately
“whether the asbestos in the defendant’s product was a substantial factor
in bringing about the plaintiff’s injuries.” Id. at 770 (emphasis added);
see also Werner Enters., Inc. v. Blake, 719 S.W.3d 525, 532 (Tex. 2025)
(discussing the “slippery word ‘substantial,’ ” which “can be difficult to nail
down in many contexts”).
       Elucidating substantial-factor causation in the asbestos context was
“[o]ne of toxicology’s central tenets”—that “the dose makes the poison.”
Flores, 232 S.W.3d at 770 (internal quotation marks omitted). The Flores
Court, therefore, required “[d]efendant-specific evidence relating to the
approximate dose to which the plaintiff was exposed, coupled with evidence
that the dose was a substantial factor in causing the asbestos-related
disease.” Id. at 773 (emphasis added). To be sure, the epidemiological
studies discussed in Havner could prove substantial-factor causation in
this context because they may contain “evidence of the approximate
quantum of [asbestos] fibers to which [the plaintiff] was exposed.” Id. at
772 (discussing Havner, 953 S.W.2d at 715, 717–18). Proof of dose, in other
words, closed the gaps in the then-prevailing “frequency, regularity, and
proximity” test, ensuring that the defendant’s “asbestos fibers were released
in an amount sufficient to cause [the plaintiff’s] asbestosis.” Id.
       This Court did not stray from the proof-of-dose requirement in
Bostic. There, we clarified that “in the absence of direct proof of causation,”




                                      7
a plaintiff may nevertheless establish causation through what Havner
described as “scientifically reliable proof that the plaintiff’s exposure to the
defendant’s product more than doubled his risk of contracting the disease.”
Bostic, 439 S.W.3d at 350. Justice Lehrmann’s dissent, however, was
concerned with the Court’s extending Havner to “cases where the only
conceivable source of exposure to a toxin [was] the defendant” (i.e., single-
source-exposure asbestos cases). See id. at 352. In response to that
concern, we reiterated that Havner’s “alternative approach” was just
that—an alternative. See id. In a single-source-exposure case, “[i]f the
plaintiff can establish with reliable expert testimony that (1) his exposure
to a particular toxin is the only possible cause of his disease, and (2) the
only possible source of that toxin is the defendant’s product,” this proof
might establish “direct proof of causation,” and resort to Havner’s
alternative approach “might be unnecessary.” Id. (emphasis added).
       But we elaborated that “even in a single-exposure case, we think
that proof of dose would be required.” Id. The dissent agreed with this
point. See id. at 372 (Lehrmann, J., dissenting) (explaining that “plaintiffs
may employ evidence of approximate dose to prove causation by direct,
scientifically reliable evidence”).
                                       B
       From Havner, to Flores, to Bostic, this Court has “held firm to the
principle that liability in tort must be based on proof of causation by a
preponderance of the evidence.” See id. at 340 (majority op.). And along
the way, we have rejected any “approach [that] negates the plaintiff’s
burden to prove causation by a preponderance of the evidence.” Id. It is
true, of course, that Havner, Flores, and Bostic each arrived at this Court




                                       8
following entry of a jury verdict and not the grant or denial of a no-evidence
or even a traditional summary-judgment motion. Havner, 953 S.W.2d at
709; Flores, 232 S.W.3d at 768; Bostic, 439 S.W.3d at 337. And equally
true, Flores and Bostic were not single-source-exposure asbestos cases like
this one. See Flores, 232 S.W.3d at 766, 768; Bostic, 439 S.W.3d at 336.
       To me, therefore, the question that this Court must eventually
address is whether we really meant what we said in Bostic—that proof of
dose is required in every case. More specifically, the Court should analyze
whether any of the distinctions between cases like this one and cases like
Havner, Flores, and Bostic matter, including whether the lack of any
quantitative evidence of dose is fatal to a plaintiff’s attempt to create a fact
question that would defeat summary judgment on substantial-factor
causation in a single-source-exposure case. At this point, I would likely
vote to reaffirm Bostic’s proof-of-dose requirement, or at least to clarify
under what circumstances proof of dose may be sufficiently inferred to
survive summary judgment.
       If a plaintiff or decedent (1) had asbestosis and (2) had been exposed
to asbestos from a single source, then it seems logical enough that (3) he
can only have developed asbestosis from that one source. That logic does
not hold up, however, if there is a dispute about whether the plaintiff had
asbestosis or if there is no evidence that the amount of exposure (the dose)
was more than insignificant.
       Said differently, if a defendant is allegedly the only possible source
of asbestos exposure, but there is no evidence of exposure to a dose of
asbestos that causes asbestosis, then either the disease was not actually
asbestosis in the first place or the case did not actually involve a single




                                       9
source of exposure. Either consequence should preclude holding the
defendant legally responsible under the plaintiff’s theory of the case.
         Our proof-of-dose requirement, as I have explained, ensures that the
plaintiff meets his burden by a preponderance of the evidence.              By
dispensing with the proof-of-dose requirement, the court of appeals below
may have inched dangerously close to a mutated “frequency, regularity,
and proximity” test, one not unlike what we said was “necessary but not
sufficient” for substantial-factor causation. See Flores, 232 S.W.3d at
772. By denying this petition, the Court expresses no view—certainly
not approval—of the court of appeals’ assertion that proof of dose is not
required in a single-exposure case. “[D]eclining to review a case is not
evidence that the Court agrees with the law as decided by the court of
appeals.” Loram Maint. of Way, Inc. v. Ianni, 210 S.W.3d 593, 596 (Tex.
2006); accord, e.g., Lane v. CLD, 715 S.W.3d 349, 358 n.6 (Tex. 2025).
                                       C
         Beyond that, it is far from clear to me that the lower courts are free
to disregard Bostic’s statements as mere dicta, as the court of appeals did
below.
         “We have recognized two types of dicta: judicial dictum and obiter
dictum.” Seger v. Yorkshire Ins. Co., 503 S.W.3d 388, 399 (Tex. 2016)
(citing Palestine Contractors, Inc. v. Perkins, 386 S.W.2d 764, 773 (Tex.
1964)). We have said that “[o]biter dictum is not binding as precedent.”
Id. Judicial dictum, in contrast, is “a statement made deliberately after
careful consideration and for future guidance in the conduct of litigation.”
Id. (quoting Lund v. Giauque, 416 S.W.3d 122, 129 (Tex. App.—Fort Worth
2013, no pet.)). Judicial dictum is “at least persuasive and should be




                                       10
followed unless found to be erroneous.” Id. (quoting Palestine Contractors,
386 S.W.2d at 773).
       Assuming that the distinction between judicial and obiter dictum
is valid, our statement in Bostic likely falls on the judicial side. Our
observation that “even in a single-exposure case, we think that proof of
dose would be required,” Bostic, 439 S.W.3d at 352, was not just a
passing comment or a drive-by assertion collateral to the issue at hand.
Rather, it was an application of the “central tenet[]” that “the dose
makes the poison.” Id. (quoting Flores, 232 S.W.3d at 770). And the
Court made its thoughtful statement about single-exposure cases in
response to the dissent, which “suggest[ed] that we would require the
application of Havner even in cases where the only conceivable source of
exposure to a toxin is the defendant.” Id.
       In other words, when the Court made the comment about proof of
dose, the justices’ minds were specifically focused on single-exposure cases.
Because Bostic’s comment was made after careful consideration, our
precedents required the court of appeals to treat it as binding—or at
least to follow it unless the court determined that our statement was
affirmatively “erroneous.” Seger, 503 S.W.3d at 399. To be clear, I am
less than confident that this latter option is in fact open to a lower court,
as opposed to its being a basis for this Court to reject any precedential
force in our own dicta. We did not opine in Seger as to who is empowered
to decide that dicta (and certainly not dicta from this Court, which was
not at issue in that case) is “erroneous.” Rather, my point is that if a
court of appeals can ever disregard judicial dicta from this Court, it could
not do so without affirming that such a heightened standard is met.




                                     11
      Instead, the court of appeals proceeded as if the statement in Bostic
did not really exist and treated the issue as one of “first impression.” 693
S.W.3d at 767. I pause to note that this disregard of Bostic is especially
odd given that it was wholly unnecessary. The court of appeals concluded
that the Burfords did raise a fact issue as to proof of dose. See id. at 770
n.10. Why rush in to classify a statement of this Court as mere obiter
dicta, and then repudiate that statement, when the court of appeals’
judgment would be the same even without that gratuitous conclusion?
      It may also be true that our distinction between judicial dicta and
obiter dicta is more confusing than helpful. I cannot see how it would not
be better for lower courts to follow legal pronouncements found in Texas
Supreme Court opinions without trying to parse them out as various forms
of dicta or holdings. As an empirical matter, many lower courts do indeed
feel obliged to follow dicta from a higher court. See, e.g., Randy J. Kozel,
The Scope of Precedent, 113 Mich. L. Rev. 179, 198 & n.125 (2014) (noting
that “[m]any lower courts have described Supreme Court statements as
entitled to deference even when those statements were made in dicta”
and collecting cases). One study found that

      the gap between dicta-in-theory and dicta-in-practice is
      strikingly large. Lower courts often mention the distinction
      between holding and dictum but hardly ever invoke it in
      consequential ways . . . . [L]ower courts made meaningful
      use of the holding-dictum distinction in fewer than 1 in every
      3000 cases.

David Klein & Neal Devins, Dicta, Schmicta: Theory Versus Practice in
Lower Court Decision Making, 54 Wm. & Mary L. Rev. 2021, 2025–26
(2013).   In other words, “there is a dramatic gulf between dicta-in-
theory—where the line separating dictum from holding is extremely




                                    12
consequential—and        dicta-in-practice—where       the    holding-dictum
distinction seems largely irrelevant.” Id. at 2042. And as a prescriptive
matter, it can often be difficult to distinguish between an opinion’s
“holding” and “dictum.” See, e.g., Andrew C. Michaels, The Holding–
Dictum Spectrum, 70 Ark. L. Rev. 661, 661–64 (2017).
       That is why the Wisconsin Supreme Court, for example, has
instructed lower courts not to try to draw that line themselves: “We
therefore conclude that to uphold the principles of predictability, certainty,
and finality, the court of appeals may not dismiss a statement from an
opinion by this court by concluding that it is dictum.” Zarder v. Humana
Ins. Co., 782 N.W.2d 682, 694 (Wis. 2010). This Court’s cases, too,
primarily emphasize not any exception but the rule that “courts of appeals
are not free to disregard pronouncements from this Court.” In re K.M.S.,
91 S.W.3d 331, 331 (Tex. 2002) (citing Lofton v. Tex. Brine Corp., 777
S.W.2d 384, 386 (Tex. 1989)).
       Lower courts are free, of course, to criticize supposed dicta. Indeed,
they are welcome to criticize holdings. But following what this Court says
would facilitate this Court’s clarification, if clarification is indeed needed.
Disregarding “dicta,” and then adopting the opposite rule, instead forces
the Court to grant a petition for review if the Court intends to adhere to
how it has already described the law. Lower courts perform their
function best by leaving the prerogative to change this Court’s legal
pronouncements to this Court, which also shifts responsibility back to
this Court. That is what would happen if a lower court says, in effect,
“We think that this was a dictum, and not a particularly good one, but
it’s up to the Supreme Court to fix its own mess.”




                                      13
                                       D
       But resolution will not come from this case. As noted, the court of
appeals summarily concluded that even if the Burfords were required to
establish proof of the dose of asbestos to which Carolyn was exposed, the
Burfords did so. 693 S.W.3d at 770 n.10. Further illustrating why it was
gratuitous for the court of appeals to reject Bostic’s statement, the trial court
had found that the Burfords’ expert cited published literature showing dose
levels at which asbestos exposure has been determined to cause asbestosis
and that Carolyn’s alleged dose was consistent with those levels.
       In other words, because the trial court found that the Burfords
presented sufficient evidence to establish proof of dose, this case does not
in fact implicate the court of appeals’ questionable legal conclusion—a
conclusion that might itself be dicta. Even if proof of dose is indispensable,
the Burfords presented sufficient evidence to survive summary judgment.
In any event, the proof-of-dose requirement is not central to Howmet’s
petition. Its primary issue—about dispensation from the epidemiological
studies—is not the one that requires our review.
       But there is confusion and conflict among the courts of appeals on
the proof-of-dose issue, and clarification from this Court in a future case is
warranted. At least one court of appeals has suggested, consistent with
Bostic, that proof of dose may be required in a single-source-exposure case.
See Union Carbide Corp. v. Torres, No. 13-10-00325-CV, 2019 WL
6905229, at *11 (Tex. App.—Corpus Christi–Edinburg Dec. 19, 2019, pet.
denied) (recognizing the premise that single-source-exposure cases may
require proof of dose and stating that the evidence “satisfie[d] . . . Flores
and Bostic’s emphasis on dose”). And another has rejected a plaintiff’s




                                       14
attempt to escape the proof-of-dose requirement after she argued that it
“d[id] not apply” because only a single source exposed the decedent to
asbestos. See Mullins v. Atl. Richfield Co., No. 01-20-00013-CV, 2021 WL
2931355, at *8 (Tex. App.—Houston [1st Dist.] July 13, 2021, no pet.).
       The Mullins court expressly relied on our statement in Bostic that
“ ‘a single-exposure case’ requires ‘proof of dose’ ” and concluded that the
plaintiff “was required to offer competent evidence of dose but failed to do
so,” notwithstanding her single-source-exposure allegations. Id. (quoting
Bostic, 439 S.W.3d at 352). Other courts would be wise to do so. If those
courts have any doubts about Bostic, they would help this Court by
detailing those doubts but leaving to this Court any decision about whether
to depart from what we said in Bostic. Respectfully identifying potential
improvements in this Court’s jurisprudence—whether in its clear holdings
or in what might be called its dicta—constitutes a valuable service to the
legal system that the courts of appeals can offer. I hope that they will not
censor themselves, but neither should they push the envelope by making
rulings that contradict this Court’s statements about Texas law.
                               * * *
       For these reasons, and without expressing any other view of the
underlying merits of this case, I concur in the Court’s denial of the petition
for review.




                                          Evan A. Young
                                          Justice

OPINION FILED: April 17, 2026




                                     15