Albert Cassens and Doris Cassens v. St. Louis River Cruise Lines, Incorporated, Defendants-Third/party v. United States of America, Third/partyAlbert Cassens and Doris Cassens v. St. Louis River Cruise Lines, Incorporated, Defendants-Third/party v. United States of America, Third/party
Albert Cassens fell on the stairs between the Texas and Hurricane decks of the Belle of St. Louis (“the Belle”), a Mississippi River excursion cruise boat. The stairs had no handrails. The Belle’s owner-operator, St. Louis River Cruise Lines, Inc. (“SLRCLI”), 1 filed a third-party complaint against the United States based on the Coast Guard’s certification of the Belle as “fit for the service intended of carrying passengers and in compliance with applicable regulations,” despite the absence of handrails. The issue in this casе is whether the United States is amenable to this suit under the Suits in Admiralty Act or whether the district court correctly dismissed the suit for want of jurisdiction under the discretionary function exception to the United States’ waiver of sovereign immunity.
Background
The Suit
Plaintiff Albert Cassens, a passenger on the Belle, is suing SLRCLI and others for injuries he suffered as a result of a fall on one of the Belle’s stairways. He alleges in his second amended complaint that among other negligent acts and omissions, defendants negligently failed to equip the stairwаy with handrails.
Defendant SLRCLI, the operator of the Belle, filed a third-party complaint against the United States under the Suits in Admiralty Act (“SAA”),
The Suits in Admiralty Act (“SAA”) and the Discretionary Function Exception
The SAA is a partial waiver of the United States’ sovereign immunity. It states in relevant part:
In cases where if such vessel were privately owned or operated, or if such cargo were privately owned or possessed, or if a private person or property were involved, a proceeding in admiralty could be maintained, any appropriate nonjury proceeding may be brought against the United States. 2
[a]ny claim ... based upon the exercise or performance or the failure to exercise or perform a discretionary function or duty on the part of a federal agency or an employee of the Government, whether or not the discretion involved be abused.
Coast Guard Inspections
The Coast Guard administers a marine vessel inspection program for passenger vessels. The program includes an initial inspection and certification process which is renewed annually.
(a) The inspection process shall ensure that a vessel subject to inspection ...
(5) Complies with applicable marine safety laws and regulations.
(a) The annual inspection shall include an inspection of the structure, boilers, and other pressure vessels, machinery and equipment. The inspection shall be such as to insure that the vessel, as regards the structure, boilers and other pressure vessels, and their appurtenances, piping, main and auxiliary machinery, electrical installations, life-saving appliances, fire-detectingand extinguishing equipment, pilot boarding equipment, and other equipment is in satisfactory condition and fit for the service for which it is intended, and that it complies with applicable regulations for such vessels, and determine that the vessel is in possession of a valid certificate issued by the Federal Communications Commission, if required. The lights, means of making sound signals, and distress signals carried by the vessel shall also be subject to the above-mentioned inspеction for the purpose of ensuring that they comply with the requirements of the applicable statutes and regulations.
Analysis
Two requirements must be met for the discretionary function exception to apply. The challenged act must (1) “involv[e] an element of judgment or choice” and (2) be “based on considerations of public policy.”
United States v. Gaubert,
SLRCLI argues that under Berkovitz, the most recent Supreme Court case to limit the scope of the discretionary function exception with respect to regulatory activities, the Coast Guard’s inspection program falls outside the exception. SLRCLI contends that the statutory and regulatory language cited above, which dictates that the Coast Guard “shall ensure [compliance]” and also requires handrails, establishes a “course of action” for Coast Guard inspectors such that judgment is not a factor and the discretionary function exception does not apply.
Although it provides useful guidance,
Ber-kovitz
does not dictate the result here. That suit, brought on behalf of a 2-month-old infant who was left almost completely paralyzed after taking an oral polio vaccine, alleged that the Division of Biological Standards (“DBS”), then a part of the National Institutes of Health, and the Food and Drug Administration (“FDA”) acted -wrongfully in approving for release to the public the particular lot of vaccines containing the Berkovitz child’s dose. The plaintiff in
Berkovitz
made two claims. The first was that the DBS issued a product license for the vaccine without first obtaining test data from the manufacturer. This claim was not barred by the discretionary function exception because the DBS had “no discretion to issue a license without first receiving the required data; to do so would violate a specific statutory and regulatory directive.”
Id.
at 542-43,
The second claim in
Berkovitz,
on which SLRCLI more aptly relies, was that the DBS licensed the vaccine even though it did not comply with certain regulatory safety standards. The Supreme Court pointed out that there were three ways in which this claim could be understood: (1) the DBS licensed the vaccine without first determining compliance, (2) the DBS licensed the vaccine knowing that it did not comply, and (3) the DBS made an erroneous determination of compliance. The court held that if (1) or (2) were the proper understanding of plaintiffs claim, then the discretionary function exception would not apply.
Id.
at 544,
SLRCLI’s claim is clearly of the third variety — that the Coast Guard made an erroneous determination of compliance.
Berko-vitz,
therefore, does not hold the discretionary function exception inapplicable. It mere
United States v. Varig Airlines,
In administering the “spot check” program, these FAA engineers and inspectors necessarily took certain calculated risks, but those risks were encountered for the advancement of a governmental purpose and pursuant to the specific grant of authority in the regulations and operating manuals. Under such circumstances, the FAA’s alleged negligence in failing to cheek сertain specific items in the course of certificating a particular aircraft falls squarely within the discretionary function exception.
Id.
at 820,
The Eighth Circuit’s opinion in
Tracor/MBA, Inc. v. United States,
[A]ll of the points on the checklist upon which Tracor relies merely state a very general course of conduct for inspectors to follow. For example, the checklist tells the inspector to cheek the ventilation every 30 days. Tracor doеs not argue that the inspectors failed to check the ventilation. Instead, Tracor contends that the inspectors performed an inadequate inspection of the ventilation. The checklist, however, prescribed no procedures for testing the ventilation and did not specify what action an inspector should take if he found inadequate ventilation to exist.
Id. at 667. Similarly here, the regulations at issue are devoid of specific directives.
Neither
Finally, it appears that whеn Coast Guard inspectors are required to follow specific inspection procedures, the regulations carefully specify those procedures. For example,
(a) At each annual inspection, the inspector shall conduct the following tests and inspections of lifesaving equipment:
(2) Each lifeboat shall be lowered to near the water and then be loaded with its allowed capacity, evenly distributed throughout the length and then be lowered into the water until it is afloat and be released from the falls ...
Similarly detailed provisions apply to the inspection of fire equipment, hull equipment, etc. The obvious implication is that where such specific directives are absent, it is within the individual inspector’s discretion how to conduct the inspection.
This conclusion makes sense, given the size and complexity of vessels and the limited time and resources available for inspection. Where not specifically directed, an inspector must decide on what components of the vessel and on which of the more than 1000 standards set forth in the regulations (Df.Br. 17 n. 3) to concentrate his efforts and attention. Further evidence that Coast Guard inspectors are expected to make choices and exercise judgment in conducting inspections is found in the Marine Safety Manual section 1.F.2:
Coast Guard Concerns. The Coast Guard’s objective is to administer vessel inspection laws and regulations so as to promote safe, well-equipped vessels that are suitable for their intended service. It is not the Coast Guard’s intent to place unnecessary economic and operational burdens upon the marine industry. In determining inspection requirements and procedures, inspection personnel must recognize and give due consideration to the following factors:
a. The burden for proposing acceptable repairs rests upon the vessel’s owner, not upon the repair facility or the inspector;
b. Delays to vessels, which can be costly, need to be balanced against the risks imposed by continued operation of the vessel, with safety of life, property, and the environment always the predominant factor over economics;
c. Certain types of construction, equipment, and/or repairs are more economically advantageous to the vessel operator and can provide the same measure of safety;
d. Some repairs can bе safely delayed and can be more economically accomplished at a different place and time;
e. The overall safety of a vessel and its operating conditions, such as route, hours of operation, and type of operation, should be considered in determining inspection requirements;
f. Vessels are sometimes subject to operational requirements of organizations other than the Coast Guard; and
g. A balance must be maintained between the requirements of safety and practical operation. Arbitrary decisions or actions that contribute little to the vessel’s safety and tend to discourage the construction or operation of vessels must be avoided.
These guidelines evidence the fact that inspectors are required to make choices and exercise judgement in conducting their inspections. These judgments require balancing considerations of safety and economics with reference to the nеeds and uses of the particular vessel being inspected. Because
SLRCLI next argues that even if Coast Guard inspectors can and do exercise discretion in conducting their inspections, they did not in the present case where they merely failed to notice that the stairway had no handrail. No policy judgment is being challenged, SLRCLI argues — the only claim is that the inspectors negligently failed to look at the stairway and notice that there was no handrail.
SLRCLI correctly points out that this is not a situation in which the Coast Guard inspector exercised his discretion to issue a certificate to a non-complying vessel. Indeed, if that were the Government’s claim, it would lose. Both
Nonetheless, SLRCLI wrongly concludes that the discretionary function exception does not apply because the inspector’s negligent act, the failure to perceive the absence of handrails, does not involve the exercise of judgmеnt. The protected discretion at issue is the discretion to formulate and conduct a specific inspection procedure for a particular ship. The discretionary function exception shields the entire inspection process including alleged negligent omissions. If the discretionary function exception could be pierced by showing negligent acts in implementing the discretionary function, the exception would be no shield at all. In Gaubert the Supreme Court prescribed thе proper level at which the conduct should be analyzed:
The focus of the inquiry is not on the agent’s subjective intent in exercising the discretion conferred by statute or regulation, but on the nature of the actions taken and on whether they are susceptible to policy analysis.
Gaubert,
The Eleventh Circuit’s opinion in
Autery v. United States,
The district court’s inquiry, on the other hand, by asking whether the park officials had discretion to remove “hazardous” trees, begs the question.... The district court’s analysis appears to collapse the question of whether the park service was negligent into the discretionary function inquiry.... [T]he relevant inquiry here is whether controlling statutes, regulations and administrative policies mandated that the Park Service inspect for hazardous trees in a specific manner. If not, then the park offiсials’ decision to employ a particular inspection procedure and its execution of that plan is protected by the discretionary function exception.
Id. at 1528. Similarly here the question is not whether the Coast Guard had discretion to not notice the missing handrail, but rather whether the inspector was required by statute or regulation to follow a specific course of action when inspecting the ship as a whole. Except for the detailed instructions with respect to lifeboats and the like discussed above, he was not.
This Court reached a similar conclusion in
Hylin v. United States,
For the foregoing reasons we hold that the discretionary function exception applies and affirm the district court’s dismissal of this case for want of subject matter jurisdiction.
Notes
. SLRCLI has merged into Cruise Lines, Inc., which as SLRCLI’s successor in interest is also a defendant and third-party рlaintiff.
. There would appear to be a threshold question whether this suit falls within the SAA’s waiver of sovereign immunity. Because the Government is only liable to the same extent as a private person, SLRCLI can only fit its claim for contribution under the SAA if the Coast Guard is liable to the Cassens for a recognized private tort. This presents a question of federal common law. Federal courts sitting in admiralty have applied the "negligent good Samaritan rule" of §§ 323 and 324A of the Restatement of Torts to claims of negligent government inspection of vessels. See, e.g.,
Patentas v. United States, 687 F.2d
707 (3rd Cir.1982). If the Cassens have a claim against the
§ 324A. Liability to Third Person for Negligent Performance of Undertaking
One who undertakes, gratuitously or for consideration, to render services to another which he should recognize as necessary for the protection of a third person or his things, is subject to liability to the third person for physical harm resulting from his failure to exercise reasonable care to рrotect his undertaking, if
(c) the harm is suffered because of reliance of the other or the third person upon the undertaking.
The accompanying comment states that liability will exist "where the reliance of the other, or the third person, has induced him to forgo other remedies or precautions against such a risk." Thus for SLRCLI to fit its claim under the SAA, there must have been justified detrimental reliance on the Coast Guard's inspection and certification that proximately caused Mr. Cassens’ injuries.
It sеems quite unlikely that Mr. Cassens saw, much less relied on, the Coast Guard certification when he boarded the Belle or used its stairways. Any detrimental reliance, then, must have been on the part of SLRCLI. The claim would have to be that the existence of the Coast Guard inspection process induced SLRCLI to forgo its own safety inspection. This claim of reliance is a far cry from that of the navigators on the lighthouse in
Indian Towing v. United States,
However, the applicability of the SAA to SLRCLI’s claims was neither briefed nor argued by the parties, who focused solely on the applicability of the discretionary function exception. Because we find that the district court correctly dismissed the case for want of jurisdiction under the discretionary function exception, we need not address this alternative basis for finding a lack of jurisdiсtion.
. For simplicity we discuss only
. Support for this view can be found in
. It is not clear whether handrails even constitute “equipment” under the regulation.
the Secretary shall prescribe necessary regulations to ensure the proper execution of, and to carry out, this part in most effective manner for—
(1) the design, construction, alteration, repair and operation of those vessels, including superstructures, hulls, fittings, equipment ...
If "fittings” and "equipment” are meant to be mutually exclusive categories, since handrails would seem to be fittings, they cannot also be equipment.