Appellants Carol Van Strum and Paul Merrell appeal the district court’s dismissal of their suit against a number of federal and county officials. Appellants assert that federal officials, acting in concert with officials of Lincoln County, Oregon, subjected appellants’ home to frequent and harassing helicopter and fixed-wing aircraft overflights in retaliation for appellants’ public opposition to the use of herbicides on national forest land. In the court below, appellants pursued
Bivens
claims
(Bivens v. Six Unknown Named Agents,
I.
Appellants, husband and wife, reside on land abutting the Siuslaw National Forest in Oregon. The parcel is approximately 28 acres in size. The national forest land is managed by the United States Forest Service (USFS). In the early 1980’s, the Drug Enforcement Administration (DEA) implemented a program to eradicate cannabis on federal lands. As part of this program, the DEA, in cooperation with the USFS and Lincoln County officials implemented a surveillance operation involving both fixed-wing aircraft and helicopters to detect the growth of cannabis. Appellants contend that under the guise of the surveillance program, appellees, various employees of the DEA, the USFS, and the county, engaged in a conspiracy to punish and deter plaintiffs from their anti-herbicide activity. They assert that on a number of occasions beginning in 1982 appellees have flown fixed-wing aircraft and helicopters at low altitudes near their house resulting in damage to their crops and livestock and causing them considerable mental and emotional distress.
Appellants filed suit on August 22, 1985. On ruling on appellees’ motion for summary judgment, the district court held that the applicable statute of limitations for both appellees’ Bivens and § 1983 claims was O.R.S. 12.110(1), Oregon’s two-year personal injury statute of limitations. It therefore held that incidents occurring be *408 fore August 22, 1983 were not actionable. Appellants contest that ruling, arguing that the court should have applied Oregon’s “catch-all” statute of limitations provision, O.R.S. 12.140, which provides for a ten-year statute of limitations.
The district court based its decision of the applicable statute of limitations on
Wilson v. Garcia,
II.
In Wilson, the Supreme Court addressed the question of the appropriate statute of limitations to be applied to § 1983 actions. Congress has not established a specific time limitation for § 1983, but instead directs adoption of state limitations if they are not inconsistent with federal law. 42 U.S.C. § 1988. Wilson determined that, in choosing the relevant state limitation, all § 1983 claims should be characterized in the same way, regardless of the varying factual circumstances and legal theories presented in each case. Furthermore, Wilson found that the state statute of limitations for personal injury was the choice that best effectuated § 1983’s objectives.
The
Wilson
decision did not address whether the statute of limitations for personal injury should also apply to
Bivens
actions. Prior to the Supreme Court’s decision in
Wilson,
this circuit did not always apply the same statute of limitations in both types of actions. In
Marshall v. Kleppe,
We have not yet considered the issue of whether
Wilson
affects our holding in
Marshall.
1
At first blush,
Wilson
appears
*409
not to apply because it expressly bases its determination of § 1983’s statute of limitations on principles of statutory construction inapplicable to
Bivens
actions.
Wilson,
In actuality, the Supreme Court expressed three concerns in the
Wilson
analysis: First, the Court considered the need for a uniform, generic, easily applicable limitations period within each state. In the Court’s words, “The experience of the courts that have predicated their choice of the correct statute of limitations on an analysis of the particular facts of each claim demonstrates that their approach inevitably breeds uncertainty and time-consuming litigation that is foreign to the central purposes of § 1983.”
Id.
All three of these concerns apply with equal force to Bivens actions. Actions under § 1983 and those under Bivens are identical save for the replacement of a state actor under § 1983 by a federal actor under Bivens. Like § 1983 actions, the purposes of Bivens actions are best served through a uniform, easily applicable limitations period that is unlikely to discriminate against interests protected by the Constitution. Moreover, the rationale for applying the statute of limitations for personal inju *410 ry applies with even greater force to Bivens actions, which come solely from the provisions of the Constitution protecting personal rights.
We are further prompted to apply Wilson to claims invoking the Constitution directly by a practical concern. In some suits, as in the one at hand, a plaintiff may choose to sue certain defendants interchangeably under § 1983 or directly under the Constitution. As the Seventh Circuit stated in determining to apply Wilson to direct suits under the Constitution:
There is no reason to have a different period of limitations, and a strong reason not to: any difference would give the plaintiff an incentive to pick whichever jurisdiction provided the longer period, recreating the uncertainty that the Supreme Court sought to eliminate. We conclude, therefore, that there should be a single period of limitations for all suits in which the Constitution supplies the remedy.
Bieneman,
III.
We must next determine whether to apply retroactively our holding extending application of Wilson to Bivens actions. Appellants filed their suit more than three years after some pf their claims accrued. They contend, however, that, they believed that the proper statute of limitations to apply, as dictated by Marshall, was Oregon’s ten-year general catch-all provision. Accordingly, appellants argue that their claims should not be barred.
In
Usher v. City of Los Angeles,
First, we noted that Wilson interposed the one-year statute of limitations for personal injury claims in place of the circuit’s longstanding rule that § 1983 action filed in California were subject to a three-year statute of limitations. We held that it therefore marked a clear break from settled circuit authority. Second, we held that retroactive application would retard one of the purposes of the new rule, namely, the safeguarding of the rights of federal civil rights litigants. We further stated that it would neither further nor retard the other purposes of the Wilson rule as this circuit's clear enunciation of the previous rule had also served the goals of achieving certainty and uniformity in litigation. Third, we held that application of the final Chevron factor weighed against retroactive application, for it would yield substantial inequitable results to hold that the plaintiff “slept on his rights” where the plaintiff had no advance notice of the change announced in Wilson and such change did not unduly disadvantage the defendants. Id. at 560.
*411 Applying the Chevron analysis to the case at bar, we find that, taken as a whole, Usher counsels against retroactive application of the Wilson rule to Bivens actions. The application of the first Chevron factor clearly militates against retroactive application of the Wilson rule. Our decision in Marshall all but foreclosed the possibility that anything other than Oregon’s 10-year “catch-all” provision would be applied to appellants’ Bivens claims. Application of Wilson, then, clearly breaks with precedent and establishes a new principle of law.
Application of the second
Chevron
factor produces less clear results. On the one hand, as stated in
Usher,
retroactive application would retard the safeguarding of the rights of federal civil rights litigants, one of the articulated purposes of
Wilson.
Moreover, it would neither further nor retard Wilson’s goal of ease and uniformity in choosing a statute of limitations as this circuit’s approach to the statute-of-limitations question before application of
Wilson
was to search for a single, generic statute within each state and therefore to provide uniformity and certainty.
See Marshall v. Kleppe,
Consideration of the third
Chevron
factor — whether applying the new decision will produce substantial inequitable results — also militates against retroactive application in this case. “[I]t would yield ‘substantial inequitable results’ to hold that [appellants] ‘slept on [their] rights’ at a time when [they] could not have known the time limitation that the law imposed upon [them].”
Gibson,
Accordingly, as in
Usher,
the application of the
Chevron
factors weighs heavily against applying the
Wilson
rule retroactively to
Bivens
claims where the effect of that application would be to shorten the limitations period. Thus, Oregon litigants who filed
Bivens
claims before the date of this decision, March 5, 1991, are not time-barred for claims arising from injuries occurring within ten-years of the filing date. Litigants filing after the date of this decision must file within ten years of the injury or two years of the date of this decision, whichever came first.
See Usher,
REVERSED AND REMANDED.
Notes
. We recognized in
Gibson v. United States,
Similarly, in
Johnston v. Horne,
Moreover, no reason existed to address the application of
Wilson
in
Johnston
as the applica
*409
ble statute of limitations provision would have been the same under either the
Wilson
or
Marshall
rule. Under
Marshall,
the applicable statute of limitations provision is Wash.Rev.Code § 4.16.080(2).
See Johnston,
Thus, while in
Johnston,
.
See e.g. Wilson
