MEMORANDUM OPINION AND ORDER
This action arises from operations at the Rocky Flats Nuclear Weapons Plant (“Rocky Flats” or “Plant”), a former nuclear weapon manufacturing facility owned by the United States and once operated by Defendants Dow Chemical Company (“Dow”) and Rockwell International Corporation (“Rockwell”) under government contract. Plaintiffs are individuals and businesses who own land or interests in land and/or reside near Rocky Flats. Plaintiffs, on their own behalf and as representatives of a class of others similarly situated, assert claims for trespass, private nuisance, negligence, strict liability, outrageous conduct and exemplary damages against Dow and Rockwell.
The claims arise from allegations regarding actual or threatened releases of plutonium and other hazardous substances from the Plant. Plaintiffs allege these releases have caused and continue to cause damage to Plaintiffs’ and class properties and to create a risk of adverse health consequences. They seek compensatory *1179 damages relating to the properties, damages or injunctive relief to provide medical monitoring services, exemplary damages, permanent injunctive relief and attorney fees and costs.
A class has been certified as to the property-related claims,
see Cook v. Rockwell Int’l Corp. (“Cook IV”),
In connection with certain pretrial evi-dentiary motions and failed efforts to prepare a stipulated pretrial order, the parties have argued and extensively briefed their disagreements regarding various elements of the Property Class claims and the issues to be tried in the first phase of this action. 1 As set forth below, this memorandum opinion and order decides the issues raised by the parties and thus clarifies the scope of trial in the Property Class phase of this action.
1. Violation of Federal Nuclear Safety Standards as an Element of Plaintiffs’ Tort Claims
None dispute this is a “public liability action” arising under the Price-Anderson Act, 42 U.S.C. § 2210 (“Price-Anderson” or “Act”), because it is an action in which •Plaintiffs seek to impose liability arising out of or resulting from a “nuclear incident.” 2 See 42 U.S.C. § 2014(w), (hh). Section 2014(hh) of the Act directs that “the substantive rules for decision in such an action shall be derived from the law of the State in which the nuclear incident involved occurs, unless such law is inconsistent with the provisions of [the Price-Anderson Act].” 42 U.S.C. § 2014(hh). Defendants admit this statutory provision permits Plaintiffs to assert claims based on Colorado tort law in this action, but contend it nonetheless preempts the heart of these tort claims, which is imposition of a state law-based standard of care on Defendants’ conduct. Preemption is required under the Act, Defendants argue, because the strict liability and negligence standards of care that would govern Plaintiffs’ *1180 claims under Colorado law are inconsistent with federal nuclear safety standards for the release of plutonium in air and water. Defendants maintain, in turn, that these federal standards are part of Price-Anderson’s “regulatory scheme.” As a result, Defendants assert that under the Price-Anderson Act Plaintiffs must prove Defendants released plutonium in excess of federal nuclear safety standards in order to prevail on each of their otherwise state law-based tort claims.
Defendants’ authorities for this proposition are
In re TMI Litigation Cases Consol. II (“TMI II”),
A. Law of Federal Preemption
The law of federal preemption is founded in Congress’ power to preempt state law under Article VI of the Supremacy Clause, which provides that the laws of the United States are “the supreme Law of the Land; ... any Thing in the Constitution or the Laws of any state to the Contrary notwithstanding.” U.S. Const. Art. VI, cl. 2;
see United States v. Wagoner County Real Estate,
“Congress’ intent may be explicitly stated in the statute’s language or implicitly contained in its structure and purpose.”
Cipollone,
Congress’ intent to preempt state law may also be implied in two situations: (1) “where the state law regulates conduct in a field that Congress intended the Federal Government to occupy exclusively” (field preemption); and (2) where state law “actually conflicts with federal law” (conflict preemption) either because “it is impossible for a private party to comply with both state and federal requirements” or “state law stands as ah obstacle to the accomplishment and execution of the full purposes and objectives of Congress.”
English v. General Electric Co.,
Given these standards and authority, the question presented by Defendants’ contention regarding the applicable duty of care in this action is whether Congress expressly or impliedly intended to preempt state tort law standards of care from the state law that, pursuant to the Price-Anderson Act, provides the substantive rules for deciding public liability actions brought pursuant to this Act.
B. Relevant History of Price-Anderson Act
Defendants’ preemption argument is based on 42 U.S.C. § 2014(hh), which defines a “public liability action” under Price-Anderson and further provides:
A public liability action shall be deemed to be an action arising under section 2210 of this title [Price-Anderson Act], and the substantive rules for decision in such action shall be derived from the law of the State in which the nuclear incident involved occurs, unless such law is inconsistent with the provisions of such section.
Although section 2014(hh) was added to Price-Anderson in 1988, the history and law relevant to construing and applying this statutory provision begins nearly fifty years ago.
1. Atomic Energy Act of 1954
Congress enacted the Atomic Energy Act of 1954 (“AEA”) to enable the private sector to participate in what had been a federal monopoly in the use, control and ownership of nuclear technology.
3
Pub.L. No. 83-703, 68 Stat. 919 (1954) (codified as amended at 42 U.S.C. §§ 2011-2297h-13);
see Pac. Gas & Elec. Co. v. State Energy Res. Conservation & Dev. Comm’n,
Notwithstanding the allowances granted in the AEA, private industry was reluctant to enter the nuclear field unless it had protection from the potentially vast liability that would result from a significant accident at a nuclear power plant.
See Duke Power Co. v. Carolina Envtl. Study Group, Inc.,
2. 1957 Price-Anderson Act
Congress’ purpose in Price-Anderson was two-fold: “to remove the economic
impediments
in order to stimulate the private development of electric energy by nuclear power while simultaneously providing the public compensation in the event of a catastrophic nuclear incident.”
Duke Power,
The basic components of the Price-Anderson liability and compensation system as originally enacted were: (1) a cap on the aggregate liability arising out of or resulting from any single nuclear incident; (2) the requirement that federal nuclear licensees obtain private insurance or other financial protection up to a stated amount for such public liability; (3) the federal government’s agreement to indemnify licensees and other potentially liable persons for public liability in excess of this private financial protection up to the amount of the liability cap;
6
(4) “omnibus
*1183
coverage” that effectively channeled liability for a nuclear incident to federal licensees or contractors even though others would be liable under ordinary tort principles; and (5) provisions for the federal courts to determine if liability for a nuclear incident exceeds the statutory liability cap and, if it does, to manage and allocate the pool of available funds to those damaged as a result of the incident.
See
Pub.L. No. 85-256, § 4,
The Price-Anderson Act as enacted in 1957 and the insurance and indemnity system it created were not intended by Congress to create a federal cause of action or to preempt application of state tort law in public liability actions. Instead, as stated by the Joint Committee on Atomic Energy in 1957, one of the “basic principles” of the Price-Anderson system was its limited interference with State law:
Since the rights of third parties who are injured are established by State law, there is no interference with the State law until there is a likelihood that the damages exceed the amount of financial responsibility required together with the amount of the indemnity. At that point the Federal interference is limited to the prohibition of making payments through the State courts and to prorating the proceeds available.
S. Rep. 85-296,
reprinted in
1957 U.S.C.C.A.N. at 1810 (quoted in
Silkwood,
3. 1966 Price-Anderson Amendments Act
In 1966, Congress extensively considered the role of federal and state law in public liability actions as part of its reau-thorization and amendment of the Price-Anderson Act and system. See, e.g., S.Rep. No. 89-1605 (1966), reprinted in 1966 U.S.C.C.A.N. 3201. The comments of the Joint Committee on Atomic Energy on this amendment begin by reiterating that “[sjince its enactment by Congress in 1957 one of the cardinal attributes of the Price-Anderson Act has been its minimal interference with State law.” Id. at 3206. , The Committee reported this attribute reflected Congress’ “policy decision to refrain from establishing the basis of liability under the statute,” with the result that “[u]nder the Price-Anderson system, the claimant’s right to recover from the fund established by the act is left to the tort law of the various States.” Id.
By 1966, however, Congress and others were concerned that some aspects of state tort law might- interfere with Price-Anderson’s goal of providing speedy and equitable compensation to victims of nuclear incidents. In particular, Congress was concerned that the tort law of some states might not impose strict liability on defendants in the event of a nuclear incident, • which the Joint Committee on Atomic Energy reported was contrary to Congress’ assumptions and intent in establishing Price-Anderson’s compensation system. See id. at 3206-07 (policy decision not to establish statutory standard of liability based on knowledge of strict liability doctrine and belief that courts would “ignore legal niceties and impose liabilities upon someone on one ground or another in the event of a nuclear incident”); id. at 3209 (“existing Price-Anderson system rests on *1184 assumption” that courts would apply “legal principles akin to those of strict liability in the event of a serious nuclear incident”). Congress was also concerned the many state tort statutes of limitation were too short for the results of radiation exposure to be known and acted upon by those injured as a result of a nuclear incident. Id. at 3208, 3220-21. In both instances, Congress determined that reform was necessary, with the only question being “whether reform should be accomplished by State or Federal law.” Id. at 3208.
Congress took an intermediate approach to these issues. It opted not to enact a “new body of Federal tort law” and instead addressed its concerns by authorizing the AEC “to require participants in the nuclear industry to waive certain key defenses to liability that might otherwise be permissible under applicable State or Federal law.” S.Rep. No. 89-1605,
reprinted in
1966 U.S.C.C.A.N. at 3209;
see
Pub.L. No. 89-645, § 3, 80 Stat. 891, 892 (codified as amended at 42 U.S.C. § 2210(n)(l)). The defenses to be waived included any issue or defense based on the fault of the nuclear actor or the conduct of the injured party or any statute of limitations that would bar a suit filed within ten years of the nuclear incident and within three years of when the claimant knew or reasonably could have known of the injury and its cause.
Id.
Congress anticipated and intended that the effect of these waivers would be, among other things, to impose strict liability on affected defendants.
7
S.Rep. No. 89-1605,
reprinted in
1966 U.S.C.C.A.N. at 3209;
Duke Power,
Congress further limited the effect of the 1966 amendments on state tort law by applying the new defense waiver provision only to public liability actions arising from an “extraordinary nuclear occurrence” (“ENO”), defined as a nuclear incident the Commission finds is “substantial” and “has resulted or will probably result in substantial damages” to offsite persons or property.
See
Pub.L. No. 89-645, §§ 1(a)(2), 3,
Even as it reaffirmed the Price-Anderson system’s deference to state law in public liability actions, Congress also in 1966 for the first time provided a grant of federal jurisdiction for certain actions arising from nuclear incidents. Pub.L. No. 89-645, § 3,
4. Silkwood Decisions
It was against this backdrop that the Tenth Circuit had the opportunity in
Silkwood v. Kerr-McGee Corp.,
The Tenth Circuit began its analysis of this issue by reiterating the rule that “the determination whether the federal scheme precludes state rules is primarily a matter of the intent of Congress.” Id. Based on the legislative history of the Price-Anderson Act discussed above, the court found Congress intended for claims arising from nuclear incidents below the level of an ENO to be subject to state tort law, including standards of care such as strict liability. See id. at 921. Accordingly, the court rejected the defendant’s argument that federal nuclear safety regulations had preempted state tort standards of care and affirmed the jury’s property damage award under a state law strict liability standard. Id.
The Tenth Circuit did, however, find that federal law impliedly preempted any award of punitive damages under state law. The court based this holding on the AEA’s complete occupation of the field of nuclear safety regulation and precedent holding that this federal regulation preempted states from exercising regulatory authority over radiation hazards.
Id.
at 922 (citing
Northern States Power Co. v. Minnesota,
On appeal, the Supreme Court reversed the Tenth Circuit’s ruling that state authorized punitive damage awards were impliedly preempted by the federal government’s occupation of the field of nuclear safety.
8
Silkwood v. Kerr-McGee Corp.,
Based on a thorough examination of the substance and legislative history of the AEA and the Price-Anderson Act, however, the Court concluded there was “ample evidence that Congress had no intention of forbidding the states from providing such remedies,” even though Congress was fully aware of and intended for regulation of nuclear safety issues to be an exclusively federal matter.
Id.
at 251,
Given the Tenth Circuit’s and Supreme Court’s Silkwood decisions, there is no question that the AEA and the Price-Anderson Act as they existed at the time of the Supreme Court’s 1984 Silkwood decision did not expressly or impliedly preempt state tort law standards of care in *1187 favor of a federal standard of compliance with applicable federal safety regulations. Defendants essentially concede this point but argue that a change in the law since the Silkwood decisions compels a different result today. That change occurred in 1988 when once again Congress extended and amended the Price-Anderson Act.
5. 1988 Amendments Act
The focus of the 1988 Price-Anderson Amendments Act was on extending and increasing the pool of funds available to compensate victims of a nuclear incident and on extending, clarifying and in some cases expanding the reach of various aspects of the existing Price-Anderson system.
See, e.g.,
Pub.L. No. 100-408, 102 Stat. 1066 (1988); S.Rep. No. 100-218, at 4-13 (1987) (summarizing major provisions),
reprinted in
1988 U.S.C.C.A.N. 1476, 1479-1488. One of the issues considered by Congress in this process was whether to expand Price-Anderson’s grant of optional federal jurisdiction to include all actions asserting liability relating to a nuclear incident, rather than limiting it only to actions arising from ENOs as was provided in the 1966 amendments. Based on the difficulties encountered in consolidating the multitude of actions that arose from the 1979 accident at Three Mile Island, which the NRC did not designate an ENO,
9
Congress determined that “[t]he need for consolidation of claims to ensure equitable and uniform treatment of victims and the orderly distribution of funds is just as great whether the claims arise from a nuclear incident that ultimately is deemed not to be an extraordinary nuclear occurrence or from an incident that is.” H.R.Rep. No. 100-104(1), at 18;
see
S.Rep. No. 100-218, at 13,
reprinted in
1988 U.S.C.C.A.N. at 1488; H.R.Rep. No. 100-104(11), at 19 (1987);
El Paso Natural Gas Co. v. Neztsosie,
In so doing, Congress recognized that Article III of the Constitution limits the types of cases that federal courts may hear to those “arising under ... the Laws of the United States.”
See
H.R.Rep. No. 100-104(1), at 18. To avoid any questions as to the constitutionality of federal jurisdiction over all actions arising from a nuclear incident, Congress added a new provision to the AEA defining a “public liability action” as used in the Price-Anderson Act, and stating that any such action “shall be deemed to be an action arising under” the Price-Anderson Act. Pub.L. No. 100-408, § 11(b),
C. Preemption Analysis
As stated earlier, the question presented here is whether Congress intended *1188 through the 1988 Amendments Act, expressly or by implication, to preempt state tort law standards of care from the state law that, pursuant to the section 2014(hh) of the Price-Anderson Act, provides the substantive rules for deciding Price-Anderson public liability actions. Each possibility is examined in turn.
1. Express preemption
The crucial language added to the Price-Anderson Act in 1988 as relevant here is Congress’ provision that “the substantive rules for decision in [a public liability action arising under 42 U.S.C. § 2210] shall be derived from the law of the State in which the nuclear incident involves occurs, unless such law is inconsistent with the provisions of such section.” Id. § 2014(hh) (emphasis added). Section 2210 sets out the system of insurance, indemnification, limited liability and compensation procedures established by the Price-Anderson Act, as - amended, to deal with personal injury or property loss resulting from a nuclear accident. See 42 U.S.C. § 2210 (codifying § 170 of the AEA as enacted in 1957 and subsequently amended).
In interpreting these statutory provisions, I begin, as always, with the plain language of the statute, as it necessarily contains the best evidence of Congress’ preemptive intent.
See CSX Transp., Inc.,
Defendants assert that the federal regulatory standards governing nuclear safety “are part of Priee-Anderson’s regulatory scheme” so that reliance on anything other than a federal standard of care would be “inconsistent with” section 2210 and thus barred by section 2014(hh). They fail to point to any language in section 2210 supporting this contention, however, and my review of this provision has revealed none. The Price-Anderson Act as amended and codified in section 2210 did not create a regulatory scheme addressing nuclear safety concerns, but rather established a system for insuring and managing the consequences of nuclear accidents. The federal nuclear safety regulations upon which Defendants rely were and are promulgated and imposed pursuant to other provisions of the AEA, see, e.g., 42 U.S.C. § 2201(b) (authorizing Commission to establish health, safety and other standards governing the possession and use of special nuclear, source and byproduct materials); id. §§ 2073, 2093, 2111, 2133, 2134 (granting Commission exclusive jurisdiction to license and regulate transfer, delivery, receipt, acquisition, possession and use of such materials), and are not referenced or otherwise incorporated in section 2210 or the insurance and compensation system it creates. Nothing in the plain language of section 2210, therefore, suggests there is any inconsistency between this section and the imposition of liability based on state tort law standards of care that differ from the standard set by federal nuclear safety regulations.
The plain language of section 2014(hh), providing as it does that “the substantive rules for decision in [public liability] actions shall be derived from state law ...,” also indicates Congress intended for state law, including state standards of care, to continue as the substantive law governing public liability actions brought under the Price-Anderson Act. Congress is pre
*1189
sumed to know the existing law pertinent to the legislation it enacts, see
e.g., Goodyear Atomic Corp.,
If Congress had intended to change this law and preempt state law relating to nuclear safety issues, it could have omitted the direction to apply state law in section 2014(hh), employed standard preemption language barring resort to state standards of care or at least provided that state law would govern unless inconsistent with “federal law.” It did none of these things. Instead Congress specifically provided in section 2014(hh) that public liability actions brought pursuant to Price-Anderson would remain subject to state law and carefully limited preemption of state law only to instances in which it conflicted with section 2210,
i.e.,
the Price-Anderson system.
10
Far from clearly manifesting an intent to change the existing law of non-preemption of state standards of care, therefore, the plain language of section 2014(hh) demonstrates Congress intended to preserve it.
Cf. Day v. NLO, Inc.,
An examination of the legislative history of the 1988 amendments, although unnecessary given the plain language of the relevant statutory provisions, also fails to reveal any evidence that Congress intended by these amendments to preempt state negligence or strict liability standards of care in favor of a federal standard. This history recounts, without a hint of criticism, that under the Price-Anderson system liability in case of a nuclear incident “is determined according to applicable state tort law,” H.R.Rep. No. 100-104(111), at 16 (1987); H.R.Rep. No. 100-104(1), at 5. Even more to the point, Congress stated in 1988 that claims regarding nuclear incidents not subject to the special defense waiver provisions for ENOs are determined under “the standard of proof specified by state tort law.” H.R.Rep. No. 100-104(111), at 15.
*1190 The various committee reports further indicate that. Congress’ sole reason for expanding federal jurisdiction under the Price-Anderson Act to all actions arising from a nuclear incident was to simplify and improve compensation procedures by allowing consolidation of these actions in a single federal court. See S.Rep. No. 100-218, at 13, reprinted in 1988 U.S.C.C.A.N. at 1488; H.R.Rep. No. 100-104(1), at 17-18; H.R.Rep. No. 100-104(11), at 19; H.R.Rep. No. 100-104(111), at 30. The committee reports also echo the plain language of section 2014(hh) that the substantive law of decision in these new federal actions is to be derived from the law of the state in which the nuclear incident occurred unless that law is inconsistent with the Price-Anderson Act. See S.Rep. No. 100-218, at 13 (1987), reprinted in 1988 U.S.C.C.A.N. at 1488; H.R. Rep. No. 100-104(1), at 17; H.R.Rep. No. 100-104(11), at 19; H.R.Rep. No. 100-104(111), at 30-31. Nothing in the legislative history of the 1988 amendments, therefore, suggests that Congress intended to change the existing law that public liability actions were to be determined under state tort law, including state standards of care.
2. Implied preemption
a. Field preemption
It was well-established even before the 1988 Amendments Act that the federal government completely occupies the field of nuclear safety regulation and has thereby preempted states from enforcing their own nuclear safety regulations.
See, e.g., Silkwood,
In
Silkwood,
the Supreme Court nonetheless expressly found that Congress did not intend for “traditional principles of state tort law,” including the prospect of punitive damage awards, to be preempted by the federal government’s occupation of the nuclear safety field.
No doubt there is tension between the conclusion that safety regulation is the exclusive concern of the federal law and the conclusion that a state may nevertheless award damages based on its own law of liability. But as we understand what was done over the years in the legislation concerning nuclear energy, Congress intended to stand by both concepts and to tolerate whatever tension there was between them. We can do no less. It may be that the award of damages based on the state law of negligence or strict liability is regulatory in the sense that a nuclear plant will be threatened with damages liability if it does not conform to state standards, but that regulatory consequence was something that Congress was quite willing to accept.
Id.
at 256,
*1191
Once again, there is nothing in the plain language or legislative history of the 1988 amendments suggesting Congress believed this analysis was in error or that it had a different preemptive intent when it enacted section 2014(hh) and the rest of the 1988 Amendments Act. This is particularly noteworthy because Congress specifically considered the Supreme Court’s
Silkwood
decision during its deliberations on the 1988 amendments. Some members of Congress were concerned that the' Supreme Court’s determination that punitive damages could be imposed under state tort law in public liability actions could, in some circumstances, result in the federal government becoming obligated to pay punitive damages and diminish the limited funds available to compensate actual injuries resulting from a nuclear incident. H.R.Rep. No. 100-104(1), at 19;
see
S.Rep. No. 100-218, at 12,
reprinted in
1988 U.S.C.C.A.N. at 1487. Congress ultimately resolved these concerns by amending Price-Anderson to prohibit courts from awarding punitive damages against any person “on behalf of whom the United States is obligated to make payments under an agreement of indemnification covering” the relevant nuclear incident.
11
Pub.L. No. 100-408, § 14,
The legislative history for this provision states that' the 1988 Amendments Act “does not otherwise affect current law regarding punitive damages,” S.Rep. No. 100-218, at 12,
reprinted in
. 1988 U.S.C.C.A.N. at 1488, and the Tenth Circuit and other courts that have considered the issue in any depth have concluded Congress did not intend for the 1988 Amendments Act to change the result or overturn the reasoning of the Supreme Court in
Silkwood. See, e.g., Farley,
Nor is there any question that this Supreme Court analysis compels the conclusion that Congress did not intend for federal occupation of the field of nuclear safety regulation to preempt state tort law standards of care. In
Silkwood,
the Court specifically found Congress intended to allow a state to “award damages based on its law of liability,” to permit “the award of damages based on the state law of negligence or strict liability,” and to make “state-law remedies, in whatever form they might take,” available “to those injured by nuclear incidents.”
Silkwood,
The Supreme Court’s subsequent characterization of its
Silkwood
decision bolsters this conclusion. In 1988, for example, the Court stated
Silkwood
stood for the proposition that “Congress was willing to accept [the] regulatory consequences of application of state tort law to radiation hazards even though direct state regulation of safety aspects ’ of nuclear energy was preempted.”
Goodyear Atomic Corp.,
*1192
b. Conflict preemption
As noted earlier, congressional intent to preempt state law may also be implied if state law actually conflicts with federal law because “it is impossible for a private party to comply with both state and federal requirements” or “state law stands as an obstacle to the accomplishment and execution of the full purposes and objectives of Congress.”
English,
The Supreme Court addressed the conflict preemption issue more directly in its
Silkwood
decision, holding that there was no conflict or frustration of congressional purpose in the application of state tort law to award punitive damages in a public liability action.
Congress’ enactment of the 1988 Amendments Act does not change this conclusion. First and most importantly, as described earlier, the plain language of the Amendments Act and its legislative history indicate Congress maintained its historic intent that state tort law, including state standards of care, govern actions seeking to impose liability for a nuclear incident.
*1193
As in all preemption analyses, this intent is determinative.
See Medtronic,
Nothing in the 1988 Amendments Act, its' legislative history or any other law, moreover, suggests it is physically impossible for a private party to comply with both federal nuclear safety requirements and state common laws standards of care.
Cf. Cleveland v. Piper Aircraft Corp.,
The conclusion that there is no frustration of congressional purpose in application of a state rather than federal regulatory standard of care is further demonstrated by Congress’ explicit intent to create, through waiver of affirmative defenses, what amounts to
de facto
strict liability for extraordinary nuclear occurrences.
See TMI II,
3. TMI II, O’Conner and their progeny
I am aware my holding that federal regulations do not preempt state standards of care in Price-Anderson public liability actions is contrary to the existing weight of authority on the issue. Virtually all of this authority relies, with little independent analysis, on two decisions:
In re TMI Litigation Cases Consol. II,
First, the courts in
TMI II
and
O’Conr ner
found that federal nuclear safety regulations preempt state standards of care under standard conflict preemption analysis: “[pjermitting the states to apply their own nuclear regulatory standards, in the form of the duty owed by nuclear defendants in tort, would ... frustrate the objectives of federal law” because “any state duty would infringe upon pervasive federal regulation in the field of nuclear safety, and would thus conflict with federal law.”
TMI II,
Just as importantly, this justification is directly contrary to the Supreme Court’s
Silkwood
decision. The Supreme Court found Congress intended to allow “a state [to] award damages based on its own law of liability,” notwithstanding the federal government’s exclusive authority to regulate nuclear safety matters and the consequent preemption of direct state regulation of such matters.
The majority opinion in
TMI
II
14
attempts to evade the force of the Supreme Court’s holding in
Silkwood
by seizing on the Court’s acknowledgment in that decision that there might be instances in which federal law would preempt the recovery of damages under state law based on “an irreconcilable conflict between the federal and state standards” or the conclusion that “the imposition of a state standard in a damages action would frustrate the objectives of the federal law.”
TMI II,
This rationale, however, is merely a repackaging of the field preemption argument the Supreme Court rejected in
Silk-wood
based on the undisputed legislative history that Congress had intended for state tort law rules, including “the state law of negligence or strict liability,” to apply in public liability actions notwithstanding the pervasive federal regulation of nuclear safety.
The second justification for preemption of state standards of care, asserted by the
O’Conner
court, invokes the 1988 Amendments Act. This justification concludes that use of state standards of care in public liability actions violates the 1988 Act’s provision, codified in section 2014(hh), that state law only applies as long as it is consistent with the Price-Anderson Act.
See O’Conner,
That both the Price-Anderson Act and federal nuclear safety regulations may serve the same broad purpose is not a basis for finding these regulations are part of the Price-Anderson Act and its statutory scheme.
16
As discussed earlier, the
O’Conner
court’s findings that federal safety regulations are part of the Price-Anderson Act and that they therefore preempt state law-based standards of care contradict the plain language of section 2014(hh) and section 2210, as well as the legislative history of the 1988 Amendments Act.
See supra
Section I.C.l. The
O’Conner
court’s further statement that “[imposing a standard of care other than the federal regulations would disturb the carefully crafted balance between private involvement and safety that Congress has achieved,”
Without acknowledging Congress’ historical intent that state tort law govern public liability actions, the
O’Conner
court attempts - to rebut the relevance of this history by reciting a single statement from one of the five committee reports on the 1988 Act: “the [pre-1988] Price-Anderson system, including the waiver of - defenses provisions, the omnibus coverage, and the predetermined sources of funding, provides persons seeking compensation for in
*1196
juries as a result of a nuclear incident with significant advantages over the procedures and standards for recovery that might otherwise be applicable under State tort law.”
Even when read in isolation, the quoted committee statement does not support the court’s conclusion, as the statement does no more than accurately report that the Price-Anderson system, both before and after the 1988 Amendments, provides less stringent federal standards (ie., de facto strict liability standard in some cases, omnibus coverage) and other advantages (guaranteed pool of funds to pay damages) than would be available to injured parties in the absence of this federal system. See, e.g., H.R.Rep. No. 100-104(111), at 14 (discussing how Price-Anderson’s “conscious departure[s] from ordinary tort law” benefit injured members of the public). Furthermore, the committee made this statement to justify its conclusion that the Price-Anderson system should be reauthorized, not that it should be changed in the fundamental manner asserted by the O’Conner court. See S.Rep. No. 100-218, at 4, reprinted in 1988 U.S.C.C.A.N. at 1479.
In deciding that federal regulatory standards preempt state common law standards in public liability actions, the
TMI II
and
O’Conner
courts also appear to have assumed to some degree that because Congress provided in 1988 that actions asserting liability for all nuclear incidents “arise under” the federal Price-Anderson Act and are thus subject to federal jurisdiction, it must also have intended to impose federal law, including federal standards of care, in these actions.
See, e.g., TMI II,
Finally, the context in which the standard of care question arose appears to have influenced the
TMI II
and
O’Conner
courts in their decisions. In both cases, the sole or primary question before the courts was not the standard of care in a public liability action arising under the Price-Anderson Act, but rather whether Congress had exceeded its constitutional authority in conferring federal subject matter jurisdiction over such actions.
See TMI II,
The Supreme Court has held that “pure jurisdictional statutes” that “seek ‘to do nothing more that grant jurisdiction over a particular class of cases’ cannot support Article III ‘arising under jurisdiction.’ ”
Mesa v. California,
The difficulty with these courts’ reliance on this factor to determine the constitutionality of Congress’ jurisdictional grant is at least three-fold. First, as detailed above, the courts disregarded Congress’ intent that state law supply the standard of care in public liability actions. Second, they apparently assumed that Congress may
only
extend federal jurisdiction to a category of cases if
all
such cases necessarily will involve application of a substantive body of federal law. As the Supreme Court made clear in
Verlinden,
however, this is not the case: “Congress may confer on the federal courts jurisdiction over any case or controversy that
might
call for the application of federal law.”
Third, the constitutional analysis of the
TMI II
and
O’Conner
courts fails to recognize that Congress’' grant of federal jurisdiction in the Price-Anderson Act may be upheld without reference to a federal standard of care. This was the conclusion of Judge Sciriea in a thoughtful concurrence in the
TMI II
action, in which, among other things, he criticized the majority’s conclusion that Congress intended to preempt state standards of care that do not conform to federal regulation.
I also offer an additional rationale for the constitutionality of Congress’ decision to establish federal jurisdiction over Price-Anderson public liability actions. The existence of a federal question is implicit in every public liability action because every such action by definition arises out of or results from source, special nuclear or byproduct material.
See
42 U.S.C. § 2014(q), (w), (hh). Use and possession of these nuclear materials was originally the exclusive province of the federal government, and while the AEA of 1954 authorized non-federal actors to participate in this monopoly, it did so only as to actors who obtained an appropriate federal license or contract.
See, e.g., Duke Power,
Perhaps motivated by a desire for a sure basis on which to uphold the constitutionality of Congress’ conferral of federal jurisdiction over cases such as this, the
TMI II
*1199
and
O’Conner
courts ignored the principle that is at the heart of any preemption analysis: congressional intent.
See, e.g., Medtronic,
II. Trespass Claim
The elements of the tort of trespass under Colorado law
19
are “a physical intrusion upon property of another without the proper permission from the person legally entitled to possession of that property.”
In re Hoery v. United States,
The tort of trespass is predicated upon and intended to protect the plaintiffs right to exclusive possession of its property.
See
W. Page Keeton et al., Prosser and Keeton on the Law of Torts § 13, at 67, 70 (5th ed.1984); Restatement (Second) of Torts § 163 cmt. d (1965). Intentionally entering or causing a person or thing to enter land in the possession of another infringes on this right, and renders a defendant.liable for trespass irre
*1200
spective of whether the defendant’s intrusion causes actual harm to the land or its possessor.
See, e.g.,
Restatement, §§ 158, 163; Prosser and Keeton § 13, at 70-71;
Gill v. LDI,
This rule was developed, and is readily applied, in the context of persons or things physically entering onto the property of another,
see, e.g.,
Prosser and Keeton § 13, at 70-71, and there is no question Colorado follows the traditional rule in such cases.
See, e.g., Hoery,
Some of the courts recognizing “intangible trespass” have extended the concept of intangible intrusions triggering the requirement to prove actual damages to cases involving the deposition of contaminants on a property. These courts reason that the presence of such contaminants is not perceptible and therefore does not infringe on the right to exclusive possession of property, so actual damages must be shown.
See Bradley,
In
Public Service Co. of Colorado v. Van Wyk,
Despite its potentially expansive definition of an “intangible intrusion” in
Van Wyk,
the Colorado Supreme Court recently clarified in
In re Hoery
that the migration and presence of contaminants upon another’s property constitutes a physical invasion that is actionable under the traditional rule of trespass.
22
See Hoery,
III. Private Nuisance Claim
A. Health Risk as an Element of the Claim
Private nuisance is a tort against land predicated on the right of an individual to use and enjoy his property.
See Hoery,
Under Colorado law, whether the defendant has unreasonably and substantially interfered with the plaintiffs use and enjoyment of his property is a factual question to be decided by the trier of fact.
Van Wyk,
Plaintiffs assert Defendants have substantially and unreasonably interfered with their use and enjoyment of their properties by: (1) conducting activities at Rocky Flats that have resulted in actual contamination of the class area with plutonium from the Plant, which in turn has created measurable toxicological risks for Plaintiffs and resulted in rationally grounded apprehension regarding known and potential risks associated with this contamination; (2) improperly burying and storing hazardous waste at the Plant, giving rise to ongoing contamination of class properties and a reasonable concern these conditions will lead to additional offsite releases and risks; and (3) misleading the community as to these conditions and activities, thus increasing Plaintiffs’ uncertainty and apprehension. Defendants’ position is that the only relevant factor cited by Plaintiffs is the alleged current contamination of their properties and that this circumstance, as a matter of law, only constitutes a substantial interference with the use and enjoyment of property if the contamination poses a measurable and verifiable health risk.
I disagree. As previously established in this case, under the law of nuisance there are countless ways in which a defendant can substantially interfere with a plaintiffs
*1203
use and enjoyment of land, ‘“including interference with the physical condition of the land itself, disturbance in the comfort or conveniences of the occupant including his peace of mind, and threat of future injury that is a present menace and interference with enjoyment.’ ”
Id.
(quoting
Adkins v. Thomas Solvent Co.,
I am also not persuaded that verifiable health risk is required to prove nuisance in cases involving a physical intrusion or detrimental change to the property resulting from the presence of contamination there. First, the Colorado Supreme Court’s recent decision in
Hoery
strongly suggests that proof of health risk is not an element of such a claim. In that case, the Colorado court held that the ongoing presence of the chemical TCE in groundwater and soil beneath the plaintiffs property as a result of the migration of TCE-contaminated groundwater from the defendant’s property constituted a continuing nuisance under Colorado law.
See
This conclusion is also consistent with relevant statements of law in the Restatement of Torts and Prosser and Keeton on the Law of Torts, both of which are ire-quently relied upon by the Colorado courts in deciding questions of nuisance law.
See, e.g., Hoery,
The Tenth Circuit in dicta has questioned whether the Colorado Supreme Court or any court would follow the Restatement rule allowing nuisance liability to be premised on a landowner’s unfounded fear of risks associated with a neighboring property.
See Boughton v. Cotter Corp.,
I read the Michigan court’s discussion as suggesting that the result would have been different if the
Adkins
plaintiffs had alleged actual contamination of their properties as a result of the defendant’s actions or that the defendant’s actions had caused them personal fear, annoyance or discomfort.
30
See Lewis,
*1206
A concern about “anachronistic” results in nuisance suits should also be ameliorated by the legal principle, incorporated in the Restatement and followed in Colorado, that substantial interference with the plaintiffs use and enjoyment of property is measured by the reaction of a normal member of the community facing the same or similar conditions as the plaintiff. Restatement § 821F & cmt. d;
Van Wyk,
Defendants also cite the Tenth Circuit’s decision in
Boughton
as establishing a rule that nuisance and trespass claims require scientific proof of real harm or current risk. The legal issue considered and decided by the Tenth Circuit in
Boughton,
however, was whether an unfounded fear of contracting a disease is compensable under Colorado law as an item of “annoyance and discomfort” damages in a nuisance or trespass action.
33
Defendants also rely on authority from other jurisdictions for the proposition that proof of actual health risk is required to establish substantial interference with the use and enjoyment of property in environmental contamination cases. These decisions, however, either: set out no authority or rationale for this holding,
see In re Wildewood Litig.,
Finally, a rule requiring Plaintiffs to prove an actual or verifiable health risk in order to prove contamination substantially interferes with the use and enjoyment of property would also be inconsistent with Colorado law assigning the jury the task of making this determination based on the reaction of a normal community member to the contamination.
See, e.g., Van Wyk,
B. Other Alleged Limitations on Nuisance Claim
Defendants also complain that Plaintiffs in this case impermissibly seek recovery in nuisance based on the mere proximity of their properties to Rocky Flats. I concur that Colorado law does not permit a finding of substantial interference with the use and enjoyment of property based solely on the existence of a neighboring facility that causes property values to diminish.
See, e.g., Staley v. Sagel,
Defendants next seek to limit Plaintiffs’ nuisance claim by asserting that Colorado law does not permit recovery in nuisance based on a threat of future harm. As noted above, however, it is already established in this case and recognized in other courts that a threat of future harm caused by a defendant’s activities may be properly considered and relied upon by a jury if these circumstances cause plaintiffs fear or anxiety that substantially interferes with their use and enjoyment of property.
36
See, e.g., Cook VIII,
Defendants’ primary authority for a departure from this general rule is
Green v. Castle Concrete Co.,
*1209
Finally, the parties directly and indirectly debate the role that Plaintiffs’ proof of decreased property values has with respect to their nuisance claim. As suggested earlier, a decrease in the value of Plaintiffs’ properties is not, in and of itself, an interference with the Plaintiffs’ use and enjoyment of these properties.
See Adkins,
Evidence that the affected property’s value has depreciated may be evidence, however, that actual contamination or other claimed factors of interference are substantial and unreasonable enough to give rise to nuisance liability. See Prosser and Keeton § 88, at 627-28. This conclusion flows again from the rule that the reaction of a normal member of the affected community is the measure of whether a claimed interference is substantial and unreasonable. See id. So long as the “market” on which the property values are based has substantially the same general characteristics and information base as the affected community, the reaction of the market to the claimed interference, as demonstrated by the value it places on the property, is also evidence of the normal community member’s reaction to the claimed interference and whether the member would view the interference as substantial and unreasonable. 38
V. Determination and Measure of Damages
A. Compensatory Damages
Defendants have also assailed Plaintiffs’ theory and evidence regarding compensatory damages on a number of legal and other grounds. Many of these issues were addressed but not finally resolved by Judge Matsch at the June 25, 1999 Status Hearing in this action.
One such issue is Defendants’ contention that Colorado law requires Plaintiffs to prove a diminution in property values before and after a specific event in order to prevail on their trespass and nuisance claims. The specific event Defendants have in mind is the June, 1989 FBI raid on Rocky Flats that establishes the date for membership in the Property Class. Plaintiffs retort that Colorado law is not as rigid as Defendants contend and allows it to prove damages caused by Defendants’ conduct by demonstrating the value class properties would have “but for” Defendants’ alleged nuisance and trespass.
At the Status Conference, Judge Matsch rejected Defendants’ attempt to limit potential damages to any decrease in the value of class properties immediately before and after the FBI raid. In Judge Matsch’s view, this damages approach is not appropriate in a continuing trespass *1210 and nuisance case such as this one. The proper approach, he suggested, is that stated in section 930 of the Restatement (Second) of Torts, which provides that the decrease in the value of land caused by a continuing tortious invasion of land is measured “at the time when the injurious situation became complete and comparatively enduring.” Id. § 930(3).
I agree with Judge Matseh’s preliminary assessment and therefore hold the approach set forth in Restatement section 930(3), rather than the before-and-after model advocated by Defendants, is the proper method for measuring Plaintiffs’ diminution in value damages (if any) in this action. This conclusion is consistent with the Colorado Supreme Court’s decision in
Board of County Commissioners v. Slovek,
Defendants have also complained repeatedly that Plaintiffs’ “but for” model for measuring decreased property values must be rejected because it does not prove that Defendants’ alleged trespass and/or nuisance, rather than mere proximity to Rocky Flats, caused the claimed diminution in value. I disagree. Evidence that class properties have a lower value than comparable properties not in proximity to Rocky Flats, coupled with evidence of Defendants’ alleged contamination of these properties and mismanagement of Rocky Flats, is sufficient to allow the jury to infer that diminution in the value of class properties is the result of Defendants’ activities and not the result solely of the proximity of these properties to the Plant. 39
Defendants also argue Plaintiffs are precluded as a matter of law from recovering damages for diminution in property value under their trespass and nuisance claims because their claims are for continuing trespass and nuisance as opposed to permanent trespass and nuisance.
40
This is so because, under the traditional rule, a continuing trespass or nuisance is defined as a harm that can be abated, making any damages suffered as a result of the continuing tort temporary in nature.
See, e.g., Miller v. Cudahy Co.,
As a result of the Colorado Supreme Court’s recent decision in
Hoery,
there is no longer any question that the continuing presence of contamination on a plaintiffs property is a continuing trespass and nuisance.
See
As acknowledged by Defendants, section 930 of the Restatement provides such a departure from the ordinary rule by allowing a party injured by continuing tortious invasions on its property to elect to recover damages for both past and future invasions, including diminution in property value, so as to avoid the necessity of having to bring successive actions as the invasions continue. Restatement § 930(1) & cmt. b. I agree with Judge Matsch that this approach to measuring damages is appropriate under the circumstances of this case to compensate Plaintiffs and class members for losses they claim to have suffered as a result of Defendants’ alleged trespass and nuisance.
B. Exemplary Damages
Defendants have also renewed their contention that Plaintiffs are precluded by section 2210(s) of the Pri.ce-Anderson Act from seeking exemplary or punitive damages in this action. This section provides: “No court may award punitive damages in any action with respect to a nuclear incident ... against a person on behalf of whom the United States is obligated to make payments under an agreement of indemnification covering such incident....” 42 U.S.C. §2210(s). This provision only applies, however, “with respect to nuclear incidents occurring on or after” August 20, 1988, its date of enactment. Pub.L. No. 100-408, § 20(a),
This issue was previously addressed in
Cook v. Rockwell Int’l Corp. (“Cook.I”),
C. Class-wide Damages
Finally, Defendants continue to insist that a class-wide trial on damages is not possible because of individual issues such as exposure, dose, notice, property valuation and notice. Plaintiffs respond that damages can and should be decided in a class-wide trial in which they will present an aggregate damage theory in percentage and perhaps dollar amount, which (if accepted by the jury) would be applied or allocated after trial under a plan or formula approved by the court.
As a result of the Colorado Supreme Court’s Hoery decision and the scope of trial issues resolved in this decision, many of the individualized determinations posited by Defendants are no longer a part of this case. The class-wide damages approach advocated by Plaintiffs is consistent with the general practice in mass tort and other class actions. See Albe Conte and Herbert B. Newberg, Newberg on Class Actions chs. 10, 17 (4th ed.2002). Accordingly, Plaintiffs may present evidence, consistent with evidentiary standards, and attempt to prove aggregate damages that fairly represent the collective value of the claims of individual class members in the same trial in which Defendants’ liability, if any,'to the Property Class is determined. Assuming Plaintiffs’ compensatory damages are based solely on diminution in property value, such damages may be expressed as either a percentage reduction in the value of class members’ properties caused by Defendants’ allegedly tortious conduct or as an aggregate lump sum representing the total decrease in the value of class properties.
If class-wide liability and damages are found by the jury, the court will then, with the assistance of counsel, determine appropriate principles and procedures for distributing the compensatory and any exemplary damages awarded. These principles and procedures will address, at a minimum, the division of damages among Property Class members, the disposition of any unclaimed funds and the measure and method of payment of attorney fees due to class counsel.
See Strey v. Hunt Int’l Res. Corp.,
VI. Conclusion
In summary, for the reasons stated above I rule as follows:
1. The Price-Anderson Act does not require that Plaintiffs prove Defendants violated federal regulatory standards as an element of their tort claims.
*1213 2. Colorado law does not require that Plaintiffs prove contamination on their properties poses a health risk or otherwise caused actual or substantial damage to their properties as an element of their trespass claim.
3. Colorado law does not require that Plaintiffs prove contamination on their properties poses an actual or verifiable health risk as an element of their private nuisance claim.
4. Under Colorado law, a facility does not constitute a nuisance solely because its proximity to neighboring properties causes their value to decline, but may be a nuisance if actions at the facility result in a substantial and unreasonable interference with the use and enjoyment of neighboring properties.
5. That Plaintiffs’ and class properties have decreased in value is not an interference with Plaintiffs’ and class members’ use and enjoyment of their properties. Evidence that these properties have decreased in value, however, may be relevant to the jury’s determination of whether any legitimate factors of interference are substantial and unreasonable enough to constitute a nuisance and to its determination of damages if it finds liability for nuisance and/or trespass.
6. Under the circumstances of this case, Colorado law permits recovery in nuisance based on a threat of future harm.
7. Compensatory damages, if any, in this case will be determined in accordance with section 930 of the Restatement (Second) of Torts.
8. Plaintiffs may seek punitive damages, to the extent available under Colorado law, with respect to releases of plutonium and other occurrences they prove took place before August 20,1988.
9.Defendants’ liability to the Property Class on the Property Class claims and related damages, if any, will be tried and determined in a single trial.
The parties will be contacted shortly to schedule a conference at which a trial date will be set.
Notes
. The parties' arguments regarding the issues addressed in this memorandum opinion and order were set forth in connection with all or some of the following proceedings: briefing and oral argument regarding Defendants’ Motion to Strike Plaintiffs’ Experts, filed August 29, 1997; the June 25, 1999 hearing before Judge Matsch and pre- and post-hearing submissions filed in May and July, 1999; the February 28, 2001 status conference; the parties’ proposed pretrial plans and Class Plaintiffs’ Response to Defendants’ Report Concerning Opinion Testimony Pertinent to Trial Issues, filed March 21, 2001. In some instances, the parties and the court also addressed these issues in whole or in part in connection with dispositive motions filed earlier in this action.
. A "nuclear incident” is "any occurrence, including an extraordinary nuclear occurrence, within the United States causing, within or outside the United States, bodily injury, sickness, disease, or death, or loss of or damage to property, or loss of use of property, arising out of or resulting from the radioactive, toxic, explosive, or other hazardous properties of source, special nuclear, or byproduct material 42 U.S.C. § 2014(q).
. The AEA of 1954 amended the original Atomic Energy Act, enacted in 1946, which had granted the federal government exclusive authority over the possession and use of nuclear materials. See Pub.L. No. 79-585, 60 Stat. 755 (1946).
. Congress abolished the AEC in 1974 and transferred most of its functions to the Nuclear Regulatory Commission ("NRC”). See Pub.L. No. 93-438, § 104, 88 Stat. 1233, 1237 (1974) (codified as amended at 42 U.S.C. § 5814). Both are referred to herein as "the Commission."
. See Pub.L. No. 85-256, § 3, 71 Stat. 576 (1957) (codified as amended at 42 U.S.C. § 2014(q)); supra n. 2.
. Congress phased out the federal indemnity for nuclear incidents at commercial facilities as part of its 1975 amendment and extension of the Price-Anderson scheme. See Pub.L. No. 94-197, 89 Stat. 1111 (1975); S.Rep. No. 100-70, at 15 (1987), reprinted in 1988 U.S.C.C.A.N. at 1428; see generally Dan M. Berkowitz, Price-Anderson Act: Model Compensation Legislation? The Sixty-Three Million Dollar Question, 13 Harv. Envtl. L.Rev. 1, 14-16 (1989). This second-tier of Price-Anderson financial protection was replaced by an industry-funded self-insurance pool consisting of "retrospective premiums" paid by NRC licensees in the event of an accident exceeding the coverage available from private insurance. See Pub.L. No. 94-197, 89 Stat. 1111 (1975); S.Rep. No. 100-70, at 15 (1987), reprinted in 1988 U.S.C.C.A.N. at 1428.
. Congress also intended the statute of limitations defense waiver would effectively supplant any state statutes of limitation that were more restrictive than the limitations period stated in Price-Anderson. See S.Rep. No. 89-1605, reprinted in 1966 U.S.C.C.A.N. at 3220-21.
. The Tenth Circuit's decision on the applicable standard of care was not before the Supreme Court, but, as discussed infra, the Court’s analysis of the punitive damages preemption issue is fully consistent with and supportive of the Tenth Circuit's decision on this issue.
. Neither the AEC before its demise nor the NRC has designated a nuclear incident as an ENO.
. There are undoubtedly attributes of the Price-Anderson system that are or might be inconsistent with state law and thus could preempt conflicting state law pursuant to section 2014(hh). One obvious example is Price-Anderson’s limit on damage awards from a single nuclear incident.
See
42 U.S.C. § 2210(e). Other possible conflicts between Price-Anderson and state tort law include application of Price-Anderson's limits on the availability of fault-based and other defenses in some instances, on who may be held liable for a nuclear incident and on when an injured party may recover evacuation costs or be awarded punitive damages. See John F. McNett, “Nuclear Indemnity for Government Contractors Under the Price-Anderson Act: 1988 Amendments,” 19 Pub. Cont. L.J. 1, 6 (Fall 1989) (citing 42 U.S.C. § 2210(q), (s), (r), (d)(l)(B)(i)(II)). The Ninth Circuit has also applied section 2014(hh) to hold that Washington law permitting a claim for emotional distress without bodily injury is inconsistent with the Price-Anderson Act and preempted by it because bodily injury is a jurisdictional prerequisite to a public liability action under the Act.
In re Berg Litigation,
. This limitation only applies "with respect to nuclear incidents occurring on or after Aug. 20, 1988.” 42 U.S.C. § 2210 note (1988) (effective date of 1988 Amendments Act); see supra Section V.B.
. The Supreme Court has also recognized in the years since
Silkwood
that there are legitimate reasons for Congress to preserve state tort law claims, including their jury-imposed standards of care, in the face of federal regulation of the relevant field. It has stated, for example, that it is "perfectly rational for Congress not to pre-empt [state] common-law claims, which-unlike most administrative and legislative regulations-necessarily perform an important remedial role in compensating accident victims.”
Sprietsma,
. The Third Circuit’s decision in
TMI II also
ignores its own prior authority that the Price-Anderson Act's legislative history is “replete with indications that Congress never intended to displace state tort law with respect to the issues of liability and recoverable damages for nuclear accidents.”
Kiick v. Metropolitan Edison Co.,
. Judge Scirica did not join the majority's determination of the preemption issue.
See TMI II,
. The
TMI II
court tries to distinguish the Supreme Court’s decision on conflict preemption by stating it was based on the Court’s conclusion that an award of punitive damages would not impede Congress’ goal of promoting nuclear safety.
. The court’s apparent rationale also ignores that the two federal regimes actually serve quite different purposes, as federal nuclear safety regulations are intended to protect the public at large by preventing the occurrence of a nuclear incident, while the Price-Anderson Act and system are intended to protect members of the public injured as a result of such an incident by ensuring that they receive compensation for their injuries. Compare 42 U.S.C. § 2201(b) (authorizing NRC to promulgate regulations "to protect health or to minimize danger to life and property") with id. § 2210 (establishing indemnification and compensation system in case of nuclear incident).
. Article III “arising under” jurisdiction is distinct from and broader than statutory "arising under” jurisdiction pursuant to 28 U.S.C. § 1331, the statute granting district courts general federal question jurisdiction over any case that "arises under" the laws of the United States.
See Verlinden,
. The Supreme Court was fully aware that this statement of Article III "arising jurisdiction” was so broad as to raise questions about the precise boundaries of Congress' constitutional authority, but found it unnecessary to decide the issue because the suit before them, and the federal statute on which it was based, necessarily and in all instances "raised questions of substantive federal law at the very outset, and hence clearly 'arises under federal law, as that term is used in Article III.” Id.
. As Plaintiffs' tort claims are governed by Colorado law, my task is to ascertain and apply Colorado law so that the result obtained in federal court is the same as would be reached in a Colorado court.
See Adams-Arapahoe School Dist. No. 28-J
v.
GAF Corp.,
. In
Cook VIII,
I denied summary judgment on Plaintiffs’ trespass claim on the ground that genuine issues of fact exist as to the actual physical invasion of Plaintiffs’ land through contamination emanating from Rocky Flats.
. In these jurisdictions, the tort of "intangible trespass” more closely resembles the tort of nuisance than traditional trespass.
See, e.g.,
Prosser and Keeton § 13, at 71-72;
Adams,
. The Colorado Supreme Court issued
Hoery
earlier this year in response to the Tenth Circuit’s certification to it of unresolved questions of Colorado law that controlled a 2001 appeal of an environmental contamination action from this court.
See Hoery,
. The TCE was detected in groundwater underlying plaintiff Hoery’s property at a concentration of 20 micrograms per liter.
. Defendants previously made this argument in a motion for summary judgment that was denied because of genuine issues of fact regarding Plant-related contamination and its effects.
See Cook VIII,
. Others have stated distinct standards for unreasonable and substantial interference: substantial interference means significant harm to the plaintiff as measured by the reaction of a normal member of the community, Prosser and Keeton § 88, at 626; Restatement § 82IF; and unreasonable interference means it would be unreasonable to permit the .defendant to.cause such an amount of harm without compensating for it. Prosser and Keeton § 88, at 626; see Restatement § 826 cmt. b.
. This standard is intended to prevent a finding of nuisance for property owners who are hypersensitive to the allegedly offending conditions and to allow nuisance to be found even where the property owners have, by continued exposure, become inured to the conditions. See Restatement, § 82IF cmt. d.
. Actual contamination that does not pose a demonstrable health risk to property occupants might also substantially interfere with the use and enjoyment of property in other ways, such as by causing government authorities to place restrictions on the property's use and sale,
see, e.g., Exxon Corp. v. Yarema, 69
Md.App. 124,
.The use of the term "anachronistic” in the 1995 Boughton and 1992 Adkins decisions to describe the Restatement rule approving reliance on unfounded fears of landowners is itself questionable given that the rule had been stated and endorsed in the Restatement and Prosser and Keeton a relatively few years before these decisions were issued. See Restatement, § 821F cmt. f (published 1979); Prosser and Keeton § 87, at 620, § 88, at 629 (published 1984).
. The
Adkins
court did recognize that property depreciation is generally a proper element of damages in a nuisance action to be considered when and if liability for nuisance is otherwise established by proof that defendant's activities substantially interfered with the property owner’s use and enjoyment of property.
. For example, the
Adkins
court criticized the proposed rule that nuisance liability could be established based solely on decreased property value caused by third party fear of contamination because it would permit recovery "even if the polluted groundwater had neither strayed from defendants' own property nor disturbed a plaintiff's enjoyment by fear that it would do so."
. Other courts have also allowed nuisance claims based on environmental contamination to proceed even where there was no evidence that the plaintiffs' property was in fact contaminated.
DeSario v. Industrial Excess Landfill, Inc.,
. The community to be considered is the community in which the affected property is located, rather than a community encompassing the general public as a whole. See Restatement, § 82IF cmt. e.
. Under Colorado law, annoyance and discomfort damages are a separate element of damages compensating the plaintiff for personal injury suffered as a result of injury to plaintiff's property.
Board of County Commrs. v. Slovek,
.The court's different treatment of these damage elements likely reflects that the interest in being free from discomfort and annoyance in the use of land is in the nature of a property interest and hence receives greater legal protection than a plaintiff's personal interest in being free from discomfort and annoyance. See Restatement § 82ID cmt. b;
cf. Slovek,
. Defendants' proposed rule also ignores other factors of interference that contamination might cause a property owner, such as legal and practical limitations on the use of the property. See supra n. 27.
. Some courts do not recognize a private nuisance based solely on the plaintiffs fear of future injury.
See Koll-Irvine Ctr. Prop. Owners Ass'n v. County of Orange,
. Defendants' reliance on
Adams-Arapahoe School Dist. No. 28-J v. GAF Corp.,
. As discussed in the following section, evidence regarding a diminution in the value of class properties is also relevant to determining the damages to be awarded if the jury finds Defendants liable for nuisance.
. Defendants are, of course, entitled to argue and present evidence challenging Plaintiffs’ assertion that any decrease in the value of their properties was caused by Defendants' alleged trespass and nuisance, rather than by mere proximity to the Plant or other factors.
. Whether the claimed trespass and nuisance are permanent or continuing in character also has implications for when these claims are deemed to accrue under Colorado law.
See, e.g., Hoery,
