CSX TRANSPORTATION, INC. v. EASTERWOOD
No. 91-790
Supreme Court of the United States
Argued January 12, 1993—Decided April 21, 1993
507 U.S. 658
*Together with No. 91-1206, Easterwood v. CSX Transportation, Inc., also on certiorari to the same court.
Howard J. Trienens argued the cause for petitioner in No. 91-790 and respondent in No. 91-1206. With him on the briefs were Carter G. Phillips, Mark E. Haddad, Jack H. Senterfitt, and Richard T. Fulton.
Tambra Pannell Colston argued the cause pro hac vice for respondent in No. 91-790 and petitioner in No. 91-1206. With her on the brief were James I. Parker and William L. Lundy.
Deputy Solicitor General Mahoney argued the cause for the United States urging affirmance in both cases. With her on the brief were Solicitor General Starr, Assistant Attorney General Gerson, William Kanter, Paul M. Geier, and Dale C. Andrews.†
†Briefs of amici curiae urging affirmance were filed for the State of Ohio et al. by Lee Fisher, Attorney General of Ohio, and Nancy J. Miller, Deputy Chief Counsel, and by the Attorneys General for their respective jurisdictions as follows: Winston Bryant of Arkansas, Richard Blumenthal of Connecticut, Charles M. Oberly III of Delaware, Robert A. Butterworth of Florida, Ronald W. Burris of Illinois, Bonnie J. Campbell of Iowa, Scott Harshbarger of Massachusetts, Hubert H. Humphrey III of Minnesota, Marc Racicot of Montana, Frankie Sue Del Papa of Nevada, Tom Udall of New Mexico, Ernest D. Preate, Jr., of Pennsylvania, Dan Morales of Texas, and Joseph B. Meyer of Wyoming; for the American Automobile Association by Paul R. Verkuil; for the Railway Labor Executives’ Association by Lawrence M. Mann; and for Cynthia Wilson Pryor by J. N. Raines.
Briefs of amici curiae were filed for the Association of American Railroads by John H. Broadley, Donald B. Verrilli, Jr., John B. Morris, Jr., and Robert W. Blanchette; for the Association of Trial Lawyers of America et al. by Dale Haralson, Roxanne Barton Conlin, Jeffrey Robert White, and Arthur H. Bryant; for the American Trucking Associations, Inc., et al. by Daniel R. Barney, David A. Strauss, Richard A. Allen, and Charles A. Webb; for the National Conference of State Legislatures et al. by Richard Ruda and Scott L. Nelson; for the National Railroad Passenger Corp. by Paul F. Mickey, Jr., Alvin Dunn, and Stephen C. Rogers; and for the Texas Class I Railroads et al. by Paul A. Cunningham, Gerald P. Norton, Carolyn F. Corwin, and Robert Brian Burns, Jr.
Thomas Easterwood was killed on February 24, 1988 when a train owned and operated by petitioner and cross-respondent CSX Transportation, Inc., collided with the truck he was driving at the Cook Street crossing in Cartersville, Georgia. His widow, respondent and cross-petitioner Lizzie Easterwood, brought this diversity wrongful-death action, which alleges, inter alia, that CSX was negligent under Georgia law for failing to maintain adequate warning devices at the crossing and for operating the train at an excessive speed. The issue before the Court is the extent to which the Federal Railroad Safety Act of 1970 (FRSA), 84 Stat. 971, as amended,
The District Court for the Northern District of Georgia granted summary judgment for CSX on the ground that both claims were pre-empted. 742 F. Supp. 676, 678 (1990). The Court of Appeals for the Eleventh Circuit affirmed in part and reversed in part, holding that respondent‘s allegation of negligence based on the train‘s speed was pre-empted, but that the claim based on the absence of proper warning devices was not. 933 F. 2d 1548, 1553-1556 (1991). Because Courts of Appeals have differed over the pre-emptive effect of FRSA on negligence suits against railroads, we granted the petitions of both parties. 505 U. S. 1217 (1992).1 We now affirm.
I
FRSA was enacted in 1970 “to promote safety in all areas of railroad operations and to reduce railroad-related accidents, and to reduce deaths and injuries to persons . . . .”
In 1971, the Secretary, acting through the Federal Railroad Administration (FRA), promulgated regulations under FRSA setting maximum train speeds for different classes of track. See
Where a state statute conflicts with, or frustrates, federal law, the former must give way.
According to
II
After filing an answer denying the allegations of negligence with respect to the warning devices at Cook Street and with respect to the train‘s speed, petitioner moved for summary judgment on the ground that these claims were pre-empted. As the litigation comes to us, petitioner does not assert that the complaint fails to state a claim under Georgia law. The sole issue here is pre-emption, which depends on whether the regulations issued by the Secretary cover the subject matter of the two allegations, each of which we may assume states a valid cause of action.5
As indicated above, the Secretary of Transportation has addressed grade crossing safety through a series of regulations. Each State receiving federal aid is required to establish a “highway safety improvement program” that establishes priorities for addressing all manner of highway hazards and guides the implementation and evaluation of
States are subject to further regulations governing the use of particular warning devices. For all projects, they must employ devices that conform to standards set out in FHWA‘s Manual on Uniform Traffic Control Devices for Streets and Highways (MUTCD or Manual).7
Notes
The regulations of
to include automatic gates with flashing light signals when one or more of the following conditions exist: “(A) Multiple main line railroad tracks. “(B) Multiple tracks at or in the vicinity of the crossing which may be occupied by a train or locomotive so as to obscure the movement of another train approaching the crossing. “(C) High Speed train operation combined with limited sight distance at either single or multiple track crossings. “(D) A combination of high speeds and moderately high volumes of highway and railroad traffic. “(E) Either a high volume of vehicular traffic, high number of train movements, substantial numbers of schoolbuses or trucks carrying hazardous materials, unusually restricted sight distance, continuing accident occurrences, or any combination of these conditions. “(F) A diagnostic team recommends them. “(ii) In individual cases where a diagnostic team justifies that gates are not appropriate, FHWA may find that the above requirements are not applicable.” For the definition of “diagnostic team,” see
23 CFR § 646.204(g) (1992) .
Likewise, the requirement that the States comply with the MUTCD does not cover the subject matter of the tort law of grade crossings. Petitioner‘s contrary reading rests primarily on language that appears in Part VIII of the Manual, entitled “Traffic Control Systems for Railroad-Highway Grade Crossings“:
“[T]he highway agency and the railroad company are entitled to jointly occupy the right-of-way in the conduct of their assigned duties. This requires joint responsibility in the traffic control function between the public agency and the railroad. The determination of need and selection of devices at a grade crossing is made by the public agency with jurisdictional authority. Subject to such determination and selection, the design, installa-
tion and operation shall be in accordance with the national standards contained herein.” Manual, at 8A-1.9
According to petitioner, the third sentence of this paragraph, combined with the directive in
Petitioner‘s argument suffers from an initial implausibility: It asserts that established state negligence law has been implicitly displaced by means of an elliptical reference in a Government Manual otherwise devoted to describing for the benefit of state employees the proper size, color, and shape of traffic signs and signals. Not surprisingly, the Manual itself disavows any such pretensions: “It is the intent that the provisions of this Manual be standards for traffic control devices installation, but not a legal requirement for installation.” Manual, at 1A-4. The language on which petitioner relies undermines rather than supports its claim by acknowledging that the States must approve the installation of any protective device even as the railroads maintain “joint responsibility” for traffic safety at crossings. As is made clear in the FHWA‘s guide to the Manual, the MUTCD provides a description of, rather than a prescription for, the allocation of responsibility for grade crossing safety between the Federal and State Governments and between States and railroads:
“8A-6 Grade-Crossing Responsibility “Jurisdiction “Jurisdiction over railroad-highway crossings resides almost exclusively in the States. Within some States, responsibility is frequently divided among several public agencies and the railroad.” U. S. Dept. of Transportation, Federal Highway Administration, Traffic Control Devices Handbook (1983).
Rather than establishing an alternative scheme of duties incompatible with existing Georgia negligence law, the Manual disavows any claim to cover the subject matter of that body of law.
The remaining potential sources of pre-emption are the provisions of
As discussed supra, at 666-667, under
The remaining question with respect to respondent‘s grade crossing claim is whether the preconditions for the application of either regulation have been met. A review of the record reveals that they have not. Petitioner relies on an affidavit from an engineer for the Georgia Department of Transportation (DOT) which was submitted in support of its motion for summary judgment. The affidavit indicates that, in 1979-1980, the DOT decided to install a crossing gate at the West Avenue crossing in Cartersville. That gate could not be installed, however, without placing motion-detection devices at four adjacent crossings, including Cook Street. App. 16. The DOT therefore installed new circuitry at each crossing, and subsequently installed gates at West Avenue and each of the adjacent crossings except Cook Street. Although a gate was also planned for Cook Street and funds set aside for the project, no other devices were installed because the street‘s width required the construction of a traffic
These facts do not establish that federal funds “partici-pate[d] in the installation of the [warning] devices” at Cook Street. The only equipment installed was the motion-detection circuitry. Such circuitry does not meet the definition of warning devices provided in
III
Federal regulations issued by the Secretary pursuant to FRSA and codified at
Because the conduct of the automobile driver is the major variable in grade crossing accidents, and because trains offer far fewer opportunities for regulatory control, the safety regulations established by the Secretary concentrate on providing clear and accurate warnings of the approach of oncoming trains to drivers.14 Accordingly, the Secretary‘s regulations focus on providing appropriate warnings given variations in train speed. The MUTCD, for example, requires the installation at grade crossings of signaling devices that provide uniform periods of advance notice regardless of train speed. Manual, at 8C-7. Likewise, as discussed supra, at 666, automatic gates are required for federally funded projects affecting crossings over which trains travel at high speeds.
Read against this background,
IV
We hold that, under the FRSA, federal regulations adopted by the Secretary of Transportation pre-empt respondent‘s negligence action only insofar as it asserts that petitioner‘s train was traveling at an excessive speed. Accordingly, the judgment of the Court of Appeals is
Affirmed.
JUSTICE THOMAS, with whom JUSTICE SOUTER joins, concurring in part and dissenting in part.
I believe that the Federal Railroad Safety Act and the Secretary of Transportation‘s implementing regulations pre-empt neither of respondent/cross-petitioner Easterwood‘s state-law tort claims. I therefore concur in Parts I and II of the Court‘s opinion but dissent from the remainder.
In Part III of its opinion, the Court holds that the Secretary‘s regulation setting “maximum allowable operating speeds for all freight and passenger trains” pre-empts Easterwood‘s claim that CSX “breached its common-law duty to operate its train at a moderate and safe rate of speed” below the federally specified maximum speed at the Cook Street crossing. Ante, at 673 (citing
The Secretary‘s own explanation of his train speed regulation confirms my view that the federal speed standard does not pre-empt state regulation of train speed as a method of ensuring crossing safety. When the Secretary promulgated his speed regulation in conjunction with a set of track safety standards, he declined to consider “variable factors such as population density near the track” because these matters fell “beyond the scope of the notice of proposed rule making.” 36 Fed. Reg. 20336 (1971). See also id., at 11974 (notice of proposed rulemaking).² By contrast, the state law support-
ing Easterwood‘s excessive speed claim would impose liability on CSX for “operating [a] train at a speed that was greater than reasonable and safe” at a crossing “adjacent to a busily traveled thoroughfare.” App. 4-5. Because the Secretary has not even considered how train speed affects crossing safety, much less “adopted a rule, regulation, order, or standard covering [that] subject matter,” Georgia remains free to “continue in force any law” regulating train speed for this purpose.
Only by invoking a broad regulatory “background” can the Court conclude that ”
I would uphold Easterwood‘s right to pursue both of the common-law tort claims at issue. Accordingly, I respectfully dissent from the Court‘s conclusion that the excessive speed claim is pre-empted.
