This appeal requires us to decide whether 42 U.S.C. § 233(a) establishes the Federal Tort Claims Act (FTCA) as the exclusive remedy for constitutional violations committed by officers and employees of the Public Health Service (PHS), precluding the cause of action recognized in
Bivens v. Six Unknown Named Agents of the Federal Bureau of Narcotics,
Factual and Procedural Background 1
A. Factual Background
Decedent Francisco Castaneda was imprisoned by the State of California following a December 6, 2005 criminal conviction and held in the custody of the California Department of Corrections (DOC) until his early release date, March 26, 2006. Several times during his approximately three- and-a-half-month incarceration, Castaneda met with DOC medical personnel regarding a white-and-yellow raised lesion, then measuring approximately two centimeters square, on the foreskin of his penis. Twice, in late December and late February, DOC medical providers recommended that Castaneda be referred to a urologist, and that he undergo a biopsy to rule out the possibility of squamous cell cancer. This referral never occurred during Castaneda’s detention by DOC, and on March 27, Castaneda was transferred to the custody of Immigration and Customs Enforcement (ICE) at the San Diego Correctional Facility (SDCF).
Immediately upon his transfer, Castaneda brought his condition to the attention of the SDCF medical personnel, members of the Division of Immigration Health Services (DIHS). 2 By this time, the lesion on his penis had become painful, growing in *685 size, bleeding, and exuding discharge. Castaneda met with PHS physician’s assistant Lieutenant Anthony Walker, 3 who recommended a urology consult and a biopsy “ASAP,” noting both Castaneda’s history of genital warts and his family history of cancer (his mother died at age 39 of pancreatic cancer). That consultation with an outside urologist, John R. Wilkinson, M.D., did not occur until June 7, 2006. Dr. Wilkinson “agree[d] that” Castaneda’s symptoms “require[d] urgent urologie assessment of biopsy and definitive treatment,” citing the potential for “considerable morbidity from even benign lesions which are not promptly and appropriately treated.” Although Dr. Wilkinson’s notes indicate that he “offered to admit [Castaneda] for a urologie consultation and biopsy,” DIHS physicians indicated their “wish to pursue outpatient biopsy which would be more cost effective.” That biopsy, however, did not occur. Instead, Plaintiffs allege that DIHS officials deemed the biopsy, a standard diagnostic procedure to detect a life-threatening disease, 4 to be an “elective outpatient procedure” and declined to approve it.
Castaneda’s symptoms grew worse and worse. On June 12, he filed a grievance report, asking for the surgery recommended by Dr. Wilkinson and stating that he was “in a considerable amount of pain and ... in desperate need of medical attention.” On June 23, he reported to Lt. Walker that his lesion was emitting a foul odor, continued to leak pus, and had increased in size, pressing further on his penis and increasing his discomfort. He complained of increased swelling, bleeding from the foreskin, and difficulty in urination. On July 13, instead of scheduling a biopsy, ICE brought Castaneda to the emergency room at Scripps Mercy Chula Vista. The emergency room physician noted the fungating lesion 5 on Castaneda’s *686 penis and referred Castaneda to urologist Daniel Hunting, M.D., who, following a brief examination, determined that the lesion was “probably condyloma,” or genital warts. Dr. Hunting referred Castaneda back to his “primary treating urologist” at DIHS. Four days later, Lt. Walker noted that the lesion continued to grow. On July 26, another physician’s assistant explained to Castaneda that “while a surgical procedure might be recommended long-term, that does not imply that the federal government is obligated to provide that surgery if the condition is not threatening to life, limb or eyesight.”
On August 22, Castaneda saw another urologist, Robert Masters, M.D. Dr. Masters concluded that Castaneda had genital warts and was in need of circumcision, which would both relieve the “ongoing medical side effects of the lesion including infection and bleeding” and provide a biopsy for further analysis. This treatment was again denied as “elective in nature.” The following month, Lt. Walker noticed “another condyloma type lesion [ ] forming and foul odor emitting from uncircumcised area with mushroomed wart.” On November 14, DIHS noted that Castaneda’s “symptoms have worsened. States he feels a constant pinching pain, especially at night. States he constantly has blood and discharge on his shorts.... Also complains of a swollen rectum which he states makes bowel movements hard.” Castaneda was prescribed laxatives. The following day, Castaneda complained that the lesion was growing, that he could not stand and urinate because the urine “sprays everywhere,” and that the lesion continued to leak blood and pus, continually staining his sheets and underwear. DIHS responded by increasing Castaneda’s weekly allotment of boxer shorts.
On November 17, Castaneda was transferred from San Diego to ICE’s San Pedro Service Processing Center. The “Medical Summary of Federal Prisoner/Alien in Transit” filed in connection with this transfer listed no “current medical problems.” Nevertheless, an examination at the Los Angeles/ Santa Ana Staging area noted the presence of “other penile anomalies.”
In early December, Castaneda’s counsel from the ACLU became involved in his case, sending multiple letters notifying ICE and Health Service Administration officials of Castaneda’s medical problems and urging that he receive the biopsy he had been prescribed almost a year earlier. Apparently in response, Castaneda was sent to yet another urologist, Lawrence S. Greenberg, M.D, on December 14. Dr. Greenberg described Castaneda’s penis as a “mess,” and stated that he required surgery. The ACLU continued to demand treatment, to no apparent avail. Forty-one days later, January 25, 2007, Castaneda was seen by Asghar Askari, M.D., who diagnosed a fungating penile lesion that was “most likely penile cancer” and, once again, ordered a biopsy.
On February 5, rather than provide the biopsy prescribed by Doctors Wilkinson, Masters, Greenberg, and Askari, ICE instead released Castaneda, who then proceeded on his own to the emergency room of Harbor-UCLA Hospital in Los Angeles. He was scheduled for a biopsy on February 12, which confirmed that Castaneda was suffering from squamous cell carcinoma of the penis. On February 14, Castaneda’s penis was amputated, leaving only a two-centimeter stump.
The amputation did not occur in time to save Castaneda’s life. In addition to creating a 4.5 centimeter-deep tumor in his penis, the cancer had metastasized to his lymph nodes and throughout his body. Castaneda received chemotherapy throughout 2007, but the treatment was ultimately unsuccessful. Francisco Cas *687 taneda died February 16, 2008. He was thirty-six years old.
B. Procedural Background
This action began November 2, 2007, as a suit brought by Castaneda against the United States and a number of state and federal officials and medical personnel. Castaneda alleged inadequate medical care while in DOC and ICE custody that amounted to malpractice, and a violation of his constitutional rights. He asserted various malpractice and negligence claims against the United States under the FTCA and against the individual defendants under California law, and asserted constitutional claims (violations of the Fifth, Eighth, and Fourteenth Amendments) against the individual defendants under Bivens and 42 U.S.C. § 1983. He sought compensatory and punitive damages and declaratory relief. Following Castaneda’s death, Plaintiffs-Appellants Yanira Castaneda, Castaneda’s sister and his estate’s personal representative, and Vanessa Castaneda, Castaneda’s daughter and sole heir, filed an amended complaint, substituting themselves as plaintiffs and adding various claims under California’s Wrongful Death Statute, CaLCode Civ. Proc. § 377.60 et seq., and Survival Statute, Cal. Code Civ. Proc. § 377.20 et seq.
On January 14, 2008, Defendants-Appellants Commander Chris Henneford, Captain Eugene A. Migliaccio, and Commander Stephen Gonsalves, all commissioned officers of the PHS, and Defendants-Appellants Timothy Shack, M.D., and Esther Hui, M.D., both civilian employees of PHS (collectively, PHS Defendants), moved to dismiss the case for lack of subject matter jurisdiction under Federal Rule of Civil Procedure 12(b)(1). The PHS Defendants argued that they had absolute immunity from Bivens actions because 42 U.S.C. § 233(a) provides that an FTCA suit against the United States is the exclusive remedy for tortious acts committed by PHS officers and employees in the course of their medical duties.
On March 11, the district court denied the motion to dismiss, holding that the plain language of § 233(a) “express[ly] presences]” plaintiffs’ constitutional claims.
Castaneda v. United States,
Jurisdiction and Standard of Review
District court orders denying absolute immunity constitute “final decisions” for the purposes of 28 U.S.C. § 1291, granting us jurisdiction over this interlocutory appeal.
Mitchell v. Forsyth,
Discussion
In Bivens, the Supreme Court established that victims of constitutional violations by federal agents have a cause of action under the Constitution to recover damages. As the Supreme Court later clarified, however, this remedy has limits:
*688 Such a cause of action may be defeated in a particular case, however, in two situations. The first is when defendants demonstrate “special factors counselling hesitation in the absence of affirmative action by Congress.” The second is when defendants show that Congress has provided an alternative remedy which it explicitly declared to be a substitute for recovery directly under the Constitution and viewed as equally effective.
Carlson v. Green,
Carlson
provides the starting point for our analysis in this case. The facts and posture of
Carlson
closely resembled those here: in
Carlson,
the plaintiff, the mother of a deceased federal prisoner, brought suit against federal prison officials on behalf of her son’s estate, alleging Eighth Amendment violations. Specifically, she alleged that the federal officials’ deliberate indifference to his serious medical needs, amounting to an Eighth Amendment violation, caused the decedent, a chronic asthmatic, to die of respiratory failure.
Id.
at 16 & n. 1,
In this case, too, we have an individual who has died, allegedly due to the deliberate indifference of the federal officials charged with his health and safety. Once again, the decedent’s survivors bring a Bivens action, alleging Fifth and Eighth Amendment violations. 6 And, once again, *689 the officials argue that the FTCA preempts any Bivens remedy. The difference is that this time, they do so on the basis of 42 U.S.C. § 233(a), which provides a remedy under the FTCA, rather than on the basis of the FTCA itself.
42 U.S.C. § 233(a) provides:
The remedy against the United States provided by sections 1346(b) and 2672 of Title 28 ... for damage for personal injury, including death, resulting from the performance of medical, surgical, dental, or related functions ... by any commissioned officer or employee of the Public Health Service while acting within the scope of his office or employment, shall be exclusive of any other civil action or proceeding by reason of the same subject-matter against the officer or employee ... whose act or omission gave rise to the claim.
There is no dispute that the PHS Defendants were, during all relevant times, commissioned officers or employees of the Public Health Service, and were acting within the scope of their offices or employment. The PHS Defendants claim that the exclusivity provision in § 233(a) acts either to expressly substitute the FTCA for a Bivens remedy, or as a “special factor” that would preclude the Bivens remedy. We examine each of these arguments in turn.
A. Does § 233(a) Expressly Establish the FTCA as a Substitute Remedy for Bivens?
As noted above,
Carlson
established a two-part test for express
Bivens
preemption: Congress must provide an alternative remedy that is “explicitly declared to be a
substitute
for”
Bivens
(rather than a complement to it)
and
Congress must view that remedy as “equally effective.”
1. “Viewed as Equally Effective”
The alternative remedy in Carlson, like the remedy here, was the FTCA. In Carlson, the Supreme Court held that Congress does not view the FTCA as providing relief that is “equally effective” as Bivens relief. There is no basis here on which to distinguish that holding from the ease before us; if anything, the FTCA is a less effective remedy now than it was when Carlson was decided.
Carlson
enumerated four factors, “each suggesting that the
Bivens
remedy is more effective than the FTCA remedy.”
None of the factors listed by the Supreme Court is any less present in the case before us. The FTCA would be no more a deterrent here than it was in Carlson, because FTCA damages remain recoverable only against the United States and because punitive damages remain unavailable. 28 U.S.C. § 2674. Likewise, an FTCA plaintiff still cannot demand a jury trial. 28 U.S.C. § 2402. Moreover, the FTCA remedy continues to depend on the “law of the place where the act or omission occurred.” 28 U.S.C. § 1346(b)(1).
Nowhere does this reliance on state law present a greater threat to uniformity of remedy than in actions “for damage for personal injury, including death, resulting from the performance of medical, surgical, dental, or related functions.” 42 U.S.C. § 233(a). Since
Carlson
was decided in 1980, the United States has witnessed a revolution in state tort law, focusing on medical malpractice in particular. Reacting to a “crisis” in medical malpractice insurance costs and availability, many states began in the mid-1980s to enact legislative changes designed both to deter frivolous lawsuits and to limit the size of damage awards even in meritorious ones.
See generally
Cong. Budget Office, U.S.
*691
Cong.,
The Effects of Tort Reform: Evidence from the States
2-3 (2004),
available at
http://www.cbo.gov/ftpdocs/55xx/doc 5549/Report.pdf. Twenty-four states, for example, have abolished the collateral-source rule, often permitting collateral-source payments to offset damage awards. Am. Tort Reform Ass’n,
Tort Reform Rec-od'd
14-18 (July 1, 2008),
available at
http://www.atra.org/fnes.cgi/8291_Record_ 07-08.pdf. Similarly, twenty-three states have placed statutory limits on non-economic damages, many limiting medical malpractice awards in particular.
Id.
at 32-39,
The Supreme Court has never revisited its conclusion that the FTCA’s dependence on “the vagaries of the laws of the several States” prevents it from serving as an equally effective remedy for constitutional violations.
Carlson,
2. “Explicitly Declared To Be a Substitute”
A careful analysis of the first prong of the
Carlson
“explicit[ ] ... substitute
*692
... and ... equally effective [remedy]” standard,
Carlson,
a. Text
The plain text alone of § 233 makes it clear that Congress did not explicitly declare § 233(a) to be a substitute for a
Bivens
action. The section does not mention the Constitution or recovery thereunder, let alone “explicitly declare! ]” itself to be a “substitute for recovery directly under the Constitution.”
Carlson,
Moreover, § 233(a) cannot be read as an expression of Congress’s desire to substitute the FTCA in place of
Bivens
relief for the simple reason that
Bivens
relief did not exist when § 233(a) was enacted.
See
Emergency Health Personnel Act of 1970, Pub.L. No. 91-623, 84 Stat. 1868 (1970);
Bivens,
b. History
Our conclusion that § 233(a) does not constitute an explicit declaration that the FTCA is a substitute for Bivens actions is supported by the history of the legislation in question. That history demonstrates that the exclusivity provision of § 233(a) was intended to preempt a particular set of tort law claims related to medical malpractice.
Although codification can produce the illusion of a timeless, unitary law, statutes are passed in particular historic and legal contexts and their language must be read and interpreted with that context in mind. “[0]ur evaluation of congressional action in 197[0] must take into account its contemporary legal context.”
9
Cannon v. Univ. of Chicago,
As the Court noted in
Carlson,
the FTCA was enacted long before
Bivens
recognized a right of action under the Constitution.
This understanding is borne out by the legislative history of § 233(a), which reveals that Congress’s exclusive concern was with common law malpractice liability. The only two statements on the floor of either house of Congress respecting the bill mentioned only medical malpractice, with nothing being said about constitutional violations.
See
91 Cong. Rec. H42,543 (1970) (statement of Rep. Staggers) (“So they have asked, if in the event there is a suit against a PHS doctor alleging malpractice, the Attorney General of the United States would defend them in whatever suit may arise.”); 91 Cong. Rec. S42,977 (1970) (statement of Sen. Javits) (“I am pleased to support ... the provision for the defense of certain malpractice and negligence suits by the Attorney General.”). Representative Staggers noted that the Surgeon General had requested the amendment because PHS physicians “just cannot afford to take out the customary liability insurance as most doctors do.” 91 Cong. Rec. H42,543. The section itself was titled in the Statutes at Large
11
“Defense of Certain Malpractice and Negligence Suits.”
Subsequent congressional action has revealed no inclination to make the FTCA a substitute remedy for
Bivens
actions.
See Brown & Williamson,
What is more, the legislative history of the LRTCA makes it clear that Congress viewed the general grant of immunity it was extending to all employees, which expressly exempted constitutional claims, to be identical to the immunity it had already extended to PHS officers and employees sixteen years earlier. 14 The House Report, in discussing the effect of the LRTCA, noted:
There is substantial precedent for providing an exclusive remedy against the United States for the actions of Federal employees. Such an exclusive remedy has already been enacted to cover the activities of certain Federal employees, including ...
3. Medical Personnel. — The FTCA is the exclusive remedy for medical or dental malpractice on the part of the medical personnel of most federal employees.
H.R.Rep. No. 100-700, at 4 (1988), reprinted in 1988 U.S.C.C.A.N. 5945, 5948 (citing 42 U.S.C. § 233). The same Report noted the “sharp distinction between common law torts and constitutional or Bivens torts” and suggested that a constitutional tort involves “a more serious intrusion of the rights of an individual that merits special attention.” Id. at 6, 1988 U.S.C.C.A.N. at 5950. The Report emphasized that the “ ‘exclusive remedy’ provision ... [was] intended to substitute the United States as the sole[ ] permissible defendant in all common law tort actions,” id., but declared that the provision “expressly does not extend to ... constitutional torts,” id. at 5949.
Testifying before the House Committee on the Judiciary, a senior Justice Department official stated:
[T]he exclusive remedy provision [of § 2679(b)(1) ] is based on a very well-established precedent. Seven such exclusive remedy provisions already exist. They apply to drivers of vehicles, to physicians employed by various agencies, and to Department of Defense attorneys.
[The LRTCA] simply extends those provisions to all Federal employees. Because of this precedent, we have considerable experience with such exclusive remedy provisions. They work well and *696 fairly, have been widely accepted, and are not controversial.
Legislation To Amend the Federal Tort Claims Act: Hearing Before the Sub-comm. on Administrative Law and Government Relations of the H. Comm, on the Judiciary, 100th Cong. 58 (1988) (testimony of Robert L. Willmore, Deputy Assistant Attorney General) (hereinafter Will-more Testimony). In the very next breath, however, the Deputy Assistant Attorney General agreed that “we want to avoid the constitutional torts issue.” Id.; see also id. at 76 (statement of Willmore) (“H.R. 4358 would do nothing more than extend the protection now enjoyed by doctors, drivers, and [Defense Department] attorneys to all federal employees.”), 78-79 (describing legislation to make the FTCA exclusive of Bivens claims as “controversial”).
The PHS Defendants argue that to construe § 233(a) to preempt only common law and statutory tort actions would render it superfluous, since, post-LRTCA, PHS officers and employees are already immune from those actions under § 2679(b)(1). Even if § 233 were now superfluous because of the subsequent enactment of the LRTCA some 18 years later, it unquestionably was not superfluous at the time it was enacted.
We would certainly hesitate to read a statute in a manner that would leave an entire subsection superfluous, and we do not do so here.
See Christensen v. Comm’r,
In any event, we disagree that our reading makes the text of § 233(a) superfluous, post-LRTCA. A review of the rest of § 233 reveals why: subsection (a) remains the lynchpin of the entire balance of the section.
See Dolan v. United States Postal Serv.,
c. Context
In addition to historical context, individual statutes are located within a greater statutory and remedial context. We must “find that interpretation which can most fairly be said to be imbedded in the statute, in the sense of being most harmonious with its scheme and with the general purposes that Congress manifested.”
United States v. Alghazouli,
PHS Defendants and
amicus
the United States, however, have provided no explanation for why Congress would want to provide these persons with the privilege, shared with no other federal employees, to
violate the Constitution
without consequence.
See Malesko,
The LRTCA was passed to abolish such arbitrary distinctions. In his written statement to Congress, the Deputy Assistant Attorney General noted the absurdity of treating doctors, drivers, and Defense Department lawyers differently from all other federal employees. “For example, lawyers involved in Department of Commerce contracting should be protected from personal liability for their professional advice, just like their counterparts in the Department of Defense.” Willmore Testimony at 76. Yet twenty years later, his successors at the Justice Department would have us re-introduce the exact same disparity in miniature, immunizing one set of doctors and lawyers from Bivens liability, and leaving the rest on the hook.
Had Congress intended this result, it surely would have said so — in the statute itself, in its title, or in the legislative history. Instead, the statute is silent as to the Constitution, and both the title and contemporary and subsequent legislative history suggest that Congress intended to preclude only common law malpractice claims. This cannot be what the Supreme Court meant by an explicitly declared substitute. We therefore hold that § 233(a) does not explicitly declare the FTCA to be a substitute remedy for Bivens actions against PHS officers and employees.
3. Cuoco v. Moritsugu
We recognize that our holding in this case conflicts with the Second Circuit’s decision in
Cuoco v. Moritsugu,
is buttressed by the significant fact that Congress follows the practice of explicitly stating when it means to make FTCA an exclusive remedy. See 38 U.S.C. § 4116(a), 12 U.S.C. § 233(a), 42 U.S.C. § 2458a, 10 U.S.C. § 1089(a), and 22 U.S.C. § 817(a) (malpractice by certain Government health personnel); 28 U.S.C. § 2679(b) (operation of motor vehicles by federal employees); and 42 U.S.C. § 247b(k) (manufacturers of swine flu vaccine).
Cuoco also failed to discuss whether Congress viewed the remedies provided under the FTCA as “equally effective” as those provided under Bivens, a question that the Carlson Court explicitly answered in the negative. Because, under Carlson, compliance with its “equally effective” prong is a necessary pre-condition for holding a statutory remedy to be a substitute for a Bivens cause of action, Cuoco’s failure to address that prong or the answer provided by Carlson is contrary to governing Supreme Court precedent. Accordingly, we cannot agree with the Second Circuit’s analysis or application of Carlson.
B. Do “Special Factors” Exist Here Warranting a Finding of Implicit Preemption?
Both the Supreme Court and this court have recognized that even where Congress fails to explicitly declare a remedy to be a substitute for recovery directly under the Constitution or to provide a remedy that is as effective a remedy for a constitutional tort, a
Bivens
action may still be precluded. As
Carlson
noted, a
Bivens
action will not lie “when defendants demonstrate ‘special factors counselling hesitation in the absence of affirmative action by Congress.’ ”
Neither Cmdr. Henneford nor any other PHS Defendant appears to have raised any argument based on the presence of “special factors” before the district court. “Generally, in order for an argument to be considered on appeal, the argument must have been raised sufficiently for the trial court to rule on it.”
A-1 Ambulance Serv., Inc. v. County of Monterey,
In any case, we reject this argument as well. First, while the Supreme Court and this court have subsequently found various other remedial schemes to be “special factors” precluding
Bivens
relief,
see, e.g., Chilicky,
Second,
“Chilicky
and
Kotarski
hold that courts should not create a
Bivens
remedy where the complexity of a federal program, including a comprehensive remedial scheme, shows that Congress has considered the universe of harms that could be committed in the program’s administration and has provided what Congress believes to be adequate remedies.”
Adams,
Conclusion
We agree with the district court that § 233(a) does not entitle the PHS Defendants to absolute immunity from constitu *702 tional torts. 26
AFFIRMED.
Notes
. All facts, unless otherwise indicated, are drawn from Plaintiffs’ Third Amended Complaint. On a motion to dismiss under Federal Rule of Civil Procedure 12(b)(1), we assume the truth of all allegations in the complaint.
Savage v. Glendale Union High Sch., Dist. No. 205,
. DIHS, a division of the Department of Health and Human Services, “is responsible for provision of direct primary health care at all ICE Service Processing Centers and selected contract detention facilities throughout the Nation.” Statement of Organization, Functions and Delegations of Authority, 69 Fed. Reg. 56,433, 56,436 (Sept. 21, 2004).
. The Public Health Service is one of the seven uniformed services of the United States. 42 U.S.C. § 201(p). Organized along military lines, the PHS is staffed by commissioned officers who maintain a statutorily defined military rank equivalent. 42 U.S.C. § 207. Although the statute defines PHS rank by equivalent U.S. Army rank (from Second Lieutenant to Major General for the Surgeon General), id.., PHS commissioned officers are referred to by their equivalent U.S. Navy rank (from Ensign to Vice Admiral for the Surgeon General), and wear the corresponding Navy uniform and insignia. See U.S. Public Health Service Commissioned Corps, U.S. Dep't of Health & Human Serv., About the Commissioned Corps: Uniforms (June 24, 2008), http://www.usphs.gov/AboutUs/uniforms.aspx (last accessed August 18, 2008). Although ordinarily a part of the Department of Health and Human Services, the PHS, like the Coast Guard, may be called into military service in times of war or national emergency, whereupon its personnel become subject to the Uniform Code of Military Justice. 42 U.S.C. § 217.
. In 2008, an estimated 1250 men in the United States will develop penile cancer and 290 men will die of it. Am. Cancer Soc’y, Cancer Facts & Figures: 2008, available at http://www.cancer.org/downloads/STT/2008 CAFFflnalsecured.pdf. Most penile cancers are, like Castaneda's, "squamous cell carcinomas (cancer that begins in flat cells lining the penis),” Nat’l Cancer Inst., U.S. Nat’l Inst, of Health, Penile Cancer, http://www.cancer.gov/ cancertopics/types/penile (last accessed August 18, 2008), which are typically diagnosed via one of several types of skin biopsy, Am. Cancer Soc'y, Skin Cancer — Basal and Squamous Cell: How Is Squamous and Basal Cell Skin Cancer Diagnosed? (June 10, 2008), http://www.cancer.org/docroo1/CRI/contenl/ CRI_2_4_3X_How_is_skin_cancer_diagnosed_ 51.asp (last accessed August 18, 2008).
.See Nat'l Cancer Inst., U.S. Nat’l Inst, of Health, Dictionary of Cancer Terms, http:// www.cancer.gov/templates/db_alpha.aspx? CdrID=367427 (last accessed August 18, 2008) (defining "fungating lesion” as a “type of skin lesion that is marked by ulcerations (breaks on the skin or surface of an organ) and necrosis (death of living tissue) and that usually has a bad smell”).
. Unlike the prisoner in
Carlson,
Castaneda was an immigration detainee, not a criminal convict. The argument below framed the issue in terms of a violation of the Eighth Amendment,
Castaneda,
Plaintiffs additionally claim a violation of the equal protection component of the Due Process Clause of the Fifth Amendment, alleging that Castaneda was invidiously denied medical care due to his immigration status and without a rational basis.
Carlson,
too, involved an equal protection claim: "that petitioners!]’] ... indifference was in part attrib
*689
utable to racial prejudice.”
. In particular, Indiana law provided that a personal injury claim did not survive where the acts complained of caused the victim’s death. Ind.Code § 34-1-1-1 (1976). Moreover, where the decedent was not survived by a spouse or dependent next of kin, Indiana’s wrongful death statute limited recovery to those expenses incurred in connection with the death itself. Ind.Code § 34-1-1-2 (1976). Indeed, the district court held that, because of the limitations in those two statutes, the plaintiff (the decedent’s mother) could not even meet the amount-in-controversy then required by 28 U.S.C. § 1331(a), and dismissed the case for lack of subject matter jurisdiction.
Carlson,
. We express no opinion here as to whether or how these or similar procedural requirements would apply in an FTCA suit against the United States, although we note that several district courts have found certain of these statutes to apply to FTCA actions. See,
e.g., Stanley v. United States,
. Public context is especially important in examining "Congress's enactment (or reenactment) of ... verbatim statutory text.”
Alexander v. Sandoval,
. At oral argument,
amicus
the United States noted that while the Supreme Court had not decided
Bivens
when § 233(a) was passed, it had already granted
certiorari
in the case the previous June.
See 399
U.S. 905,
. When § 233 was codified in the United States Code, it was given the title "Exclusiveness of Remedy.”
See
42 U.S.C. § 233. Title 42 of the U.S.C., however, has not been enacted into positive law.
See
1 U.S.C. § 204 note. To the extent title or heading can affect our reading of otherwise ambiguous statutory language, then, it is the Statutes at Large that provide us with the "legal evidence of [the] law[].”
U.S. Nat’l Bank of Oreg.
v.
Indep. Ins. Agents of Am., Inc.,
. We disagree with PHS Defendants' and
amicus
the United States' contention that "malpractice” here encompasses cruel and unusual punishment or violations of due process under the Eighth or Fifth Amendments, respectively. As we have noted, it certainly did not in 1970. The term
malpractice,
in ordinary speech, even now connotes negligence or incompetence in performing one's professional duties.
See Black’s Law Dictionary
978 (8th ed.2004) (defining "malpractice” as synonymous with "professional negligence” and "medical malpractice” as a "doctor’s failure to exercise the degree of care and skill that a physician or surgeon of the same medical specialty would use under similar circumstances”). In
Estelle v. Gamble,
the Supreme Court stressed the difference between malpractice and an Eighth Amendment violation: "Medical malpractice does not become a constitutional violation merely because the victim is a prisoner. In order to state a cognizable claim, a prisoner must allege acts or omissions sufficiently harmful to evidence deliberate indifference to serious medical needs.”
While the acts giving rise to a constitutional action might also give rise to one for malpractice, the two are nonetheless quite distinct. In
Bivens,
the Supreme Court rejected a view of "the relationship between a citizen and a federal agent unconstitutionally exercising his authority as no different from the relationship between two private citizens,” noting that an "agent acting — albeit unconstitutionally — in the name of the United States possesses a far greater capacity for harm than an individual trespasser exercising no authority other than his own.”
. In
Westfall,
the Supreme Court held that "absolute immunity does not shield official functions from state-law tort liability unless the challenged conduct is within the outer perimeter of an official’s duties and is discretionary in nature.”
.
Cf. Carlson,
.
See Gennain,
.In
Smith,
the pre-LRTCA immunity in question was the Gonzalez Act, 10 U.S.C. § 1089(a), which, like § 233(a), provides that the FTCA is the exclusive remedy for personal injury caused by armed forces physicians. Below, this court, joining the Eleventh Circuit, held that § 1089(a) granted immunity only for torts occurring in the United States.
See Smith v. Marshall,
Smith thus presented the opposite question from that posed here: in Smith, the pre-LRTCA immunity statute purportedly contained an exception to immunity not present in the LRTCA; in our case, PHS Defendants argue that the LRTCA contains an exception to immunity not in the pre-LRTCA immunity statute. Because we hold that § 233(a) does not provide an immunity for Bivens torts, Smith is of little relevance to us here beyond the proposition for which we cite it in the text above.
. See § 233(g) (operators of health centers receiving federal funds under 42 U.S.C. § 254(b), (j)) (officers, employees, or contractors of health center operators), (m) (managed care plans entering into contracts with health centers), (o) (health professionals volunteering at free clinics), (p) (professionals carrying out smallpox countermeasures in the event of “bioterrorist incident” or other emergency).
. See, e.g., § 233(h) (qualifications for designation under subsection (g)), (k) (estimation of annual claims and establishment of fund), (n) (reports to Congress detailing United States' risk exposure by virtue of deemed employees).
. Notably, all the above statutes were passed well before the LRTCA gave a general grant of immunity to federal employees, with the exception of 38 U.S.C. § 7316, which was added in 1991. Department of Veterans Affairs Health-Care Personnel Act of 1991, Pub.L. No. 102-40, 105 Stat. 187 (1991).
. See Willmore Testimony at 76 (describing pre-LRTCA immunities as allowing "the United States ... to develop a consistent and uniform approach to medical malpractice and automobile tort litigation — two of the most common types of common law torts").
.Military personnel themselves are generally unable to bring
Bivens
actions for injuries that " 'arise out of or are in the course of activity incident to service.' ”
United States v. Stanley,
. Cuoco found this express limitation in § 4116(a)'s modern successor, 38 U.S.C. § 7316(a)(1), to be meaningful for interpreting § 233(a).
Because § 7316(a)(1) mentions “malpractice or negligence,” and § 233(a) does not, the Second Circuit held that § 233(a)’s reach extended to constitutional torts as well.
. For this reason, we will not pass on Cmdr. Henneford’s assertion in his opening brief that the complaint does not aver sufficient facts to establish his personal involvement in the alleged constitutional deprivation.
. For the same reason, our decision does not extend
Bivens
into a new context.
Cf. Correctional Serv. Corp. v. Malesko,
. Defendants point to no other special factors counseling hesitation in the present case. This is to be expected, because Castaneda "seek[s] a cause of action against an individual officer, otherwise lacking, as in
Carlson.” Malesko,
. Because Carlson requires us to affirm, as discussed throughout this opinion, we need not reach the issues of statutory construction which underlie the district court's opinion.
