OPINION
Thе court of appeals denied special action relief in this case and we granted review to *298 consider an issue of first impression in this state: Does the National Traffic and Motor Vehicle Safety Act (the Safety Act) preempt a state law tort action against a car manufacturer that did not incorporate a lap belt in its passive restraint system?
We have jurisdiction under Ariz. Const, art. 6, § 5(3) and Ariz.R.P.Spec. Act. 8.
FACTS AND PROCEDURAL HISTORY
The operative facts are few and undisputed. On November 6, 1988, Amparo Hemandez-Gomez (Plaintiff) was riding in the right front seat of a 1981 Volkswagen Rabbit when the driver briefly took his eyеs off the road. Travelling between 30 and 35 miles per hour, the car veered off the road and ran down an embankment. It struck a drainage culvert, flipped over, and landed on its roof. Plaintiff’s head and shoulders smashed against the car’s roof causing a spinal cord injury that has left her paraplegic.
Plaintiff alleges that the design of the car’s safety restraint system failed to adequately protect her from a foreseeable rollover and actually enhanced her injuries. The restraint system consisted of a shoulder belt that automatically moved into place diagonаlly across the chest when the door was shut, a knee bolster, and a seat designed to prevent the occupant from submarining under the dashboard in a head-on collision. Because it was designed to be fully automated, the system did not include a manual lap belt that arguably would have prevented Plaintiff from being thrown against the roof of the car. Plaintiff claims that the absence of a lap belt made the car defective and unreasonably dangerous to its occupants.
On January 15,1993, Volkswagen of America and Volkswagenwerk Aktiengesellschaft (collectively VW) moved for рartial summary judgment, arguing that the car’s passive restraint system 1 complied with federal design and performance standards, which required no lap belt. So finding, and concluding that the Safety Act preempted state tort law so that compliance with the Act insulated the manufacturer from common-law liability, the trial judge granted partial summary judgment in VWs favor on March 16, 1993.
Seeking relief from the trial court’s order, Plaintiff brought a special action 2 before the court of appeals, which declined jurisdiction on April 20, 1993. This court then accepted review of the following issues:
1. Whether the trial court incorrectly interpreted and applied the principles of federal preemption set forth in the recent U.S. Supreme Court case of Cipollone so as to abrogate Plaintiff’s right to bring an action to recover damages for injuries resulting from negligent and/or defective design.
2. Whether common law product liability actions brought in Arizona are preempted by the Safety Act or [Federal Motor Vehicle Safety Standards].
The fundamental question is whether an automobile manufacturer can be liable under state tort law for a product design defect when that design meets Safety Act standards.
DISCUSSION
A. The Safety Act and Its Standards
Congress passed the Safety Act (15 U.S.C. § 1381 et seq.) in 1966 “to reduce traffic accidents and deaths and injuries to persons resulting from traffic accidents.” 3 Congress authorized the Secretary of Transportation to formulate safety standards to protect the motoring public against an unreasonable risk of injury due to “the design, construction or performance of motor vehicles____” 4 The Secretary of Transportation delegated the duty of writing Federal Motor Vehicle Safety Standards to the National Highway Transportation Safety Administration (Safety Administration). 49 C.F.R. § 1.50. The federal *299 safety standards appear at 49 C.F.R. §§ 571.1 to 571.302.
The relevant safety standards are “Oсcupant Crash Protection,” 49 C.F.R. § 571.208 (Standard 208), and “Seat Belt Assemblies,” 49 C.F.R. § 571.209. Since the inception of these standards, there has been a national controversy on the question of whether passive restraints such as airbags should be mandatory or optional. Standard 208 originally required nothing more than seatbelts in newly manufactured automobiles. The United States Supreme Court cited 32 Fed.Reg. 2415 as the primary source.
Motor Vehicle Mfrs. Ass’n v. State Farm Mut.,
The Safety Administration reviewed two kinds of passive restraint crash protection systems—airbags and automatic seatbelts. Keith C. Miller,
Deflating the Airbag Preemption Controversy,
37 Emory L.J. 897, 902 (1988). Over the next fifteen years, other passive restraint systems were proposed and rejected due to their unpopularity with the public or carmakers. In addition, changes in administrations and national priorities during these years brought a number of successors with different agendas to the position of Secretary of Transportation. As a result, about sixty rulemaking notices were issued that “imposed, amended, rescinded, reimposed, and now rеscinded again” the requirement for car manufacturers to install passive restraints.
Motor Vehicle Mfrs.,
In effect since 1973, Standard 208 allowed manufacturers to choose one of three options for ears made between 1973 and 1986. Passive protection need not be by airbag but must meet specific Standard 208 criteria. By giving carmakers a choice of safety restraint options, Congress hoped to stimulate research, development, and competition. 5. Rep. No. 1301, 89th Cong., 2d Sess. 1, 4 (1966),
reprinted in
1966 U.S.C.C.AN. 2709, 2712. The element of choice is considered a central feature of the Safety Act’s regulatory schemе.
See, e.g., Pokorny v. Ford Motor Co.,
The industry’s reluctance to install airbags has led to numerous lawsuits against carmakers by people injured in automobiles not equipped with airbags.
See, e.g., Wood v. General Motors Corp.,
*300 B. The Car’s Crash Protection System— Compliance with Standards
For this 1981 model car, VW attempted to comply with one of the available options by designing a belt-type passive restraint system for the front-seat occupants. The design used an automatic two-point shoulder belt with no lap belt. In its motion for summary judgment, VW offered evidence that this restraint system satisfied Standard 208 and that a lap belt was not required to comply with option two. Finding that Plaintiff did not produce evidence sufficient to raise a genuine issue of material fact on the question of compliance, the trial judge held that the car’s passive restraint system satisfied Standard 208. The court concluded, therefore, that the Safety Act preempted Plaintiff’s claim and granted VW’s motion for summary judgment. 7
For purposes of this opinion, we assume that the trial judge correctly decided that the design in question complied with option two. Thus we address only the preemption issue.
C. Preemption and Savings Clauses and Federal Preemption Doctrine
When this court accepted jurisdiction, the relevant sections of the Safety Act appeared at 15 U.S.C. § 1392(d) (1994 supp.) (preemption clause) and § 1397(k) (1994 supp.) (savings clause). Congress revised the language and recodified these subsections at 49 U.S.C. § 30103(b) and (e), respectively, effective July 5, 1994. Because the parties’ briefs referred to the prior sections and language, we use those citаtions. The original preemption clause provided in relevant part:
Whenever a Federal motor vehicle safety standard established under this subchapter is in effect, no State or political subdivision of a State shall have any authority either to establish, or to continue in effect, with respect to any motor vehicle or item of motor vehicle equipment any safety standard applicable to the same aspect of performance of such vehicle or item of equipment which is not identical to the Federal standard. Nothing in this section shall be construed as preventing any State from enforcing any safety standard which is identical to a Federal safety standard.
15 U.S.C. § 1392(d) (1992 supp.) (emphasis added). 8
The applicable savings clause provided:
Continuation of common law liability
Compliance with any Federal motor vehicle safety standard issued under this sub-chapter does not exempt any person from any liability under common law. 9
15 U.S.C. § 1397(k) (1992 supp.) (emphasis added).
The Supremacy Clause allows Congress to make laws that supersede state law.
10
Federal regulations may also preempt state law.
Hillsborough County v. Automated Medical Lab., Inc.,
[S]tart[s] with the assumption that the historic police powers of the States were not to be superseded by the Federal Act unless that was the clear and manifest purpose of Congress. This assumption provides assurance that the federal-state balance will not be disturbed unintentionally by Congress or unnecessarily by the courts. But when Congress has unmistakably ordained that its enactments alone are to regulate a part of commerce, state laws regulating that aspect of commerce must fall. This result is compelled whether Congress’ command is explicitly stated in the statute’s language or implicitly contained in its structure and purpose.
Jones v. Rath Packaging Co.,
Wherever possible we must divine intent from statutory text.
State ex rel. Corbin v. Pickrell,
However, unlike Hayes, we deal not with a state statute but with an act of Congress. Thus, federal rather than state law must govern. Further, this is 1994 and we do not write on a сlean slate. Since 1966, many courts have considered preemption under the Safely Act, often finding preemption on the issue before us. Although the United States Supreme Court has not decided the issue and we therefore are not constrained by binding authority, respect for federal circuit opinions interpreting a federal statute obviously compels us to consult federal authority.
Notwithstanding the language of the savings clause, a number of federal courts have found
implied preemption
of state common-law tort claims against carmakers for not installing airbags in their cars. They found the Safety Act’s preemption clause ambiguous because it did not expressly place such claims outside preemptive reach.
Wood,
Each of these courts concluded that the Savings Clause does not preserve common law damage actions that would subvert federal objectives and methods. One district judge concluded that “courts have declared,
*302
almost with one voice, that the Safety Act
impliedly
preempts [conflicting common-law] liability,
even though its express preemption clause may be insufficient to accomplish the task.” Gills v. Ford Motor Co.,
Thus, consulting federal decisions in the years following enactment of the Safety Act, we might have been constrained to adopt the view оf the federal courts and find implied preemption of a class of state common-law actions, notwithstanding our reading of the text and consequent reluctance to do so.
Hayes,
In
Cipollone,
the plaintiff sued a cigarette manufacturer for wrongM death of his mother. He claimed that the manufacturer breached express warranties contained in advertising, failed to warn consumers about the hazards of cigarette smoking, fraudulently misrepresented the hazards of smoking, and conspired to withhold from the public medical informatiоn about smoking. — U.S. at -,
The Supreme Court partly reversed the lower court’s ruling that the Labeling Act preempted the state law claims.
Id.
at-,
When Congress has considered the issue of preemption and has included in the enacted legislation a provision explicitly addressing that issue, and when that provision provides a reliable indicium of congressional intent with respect to state authority, there is no need to infer congressional intent to pre-empt state laws from the substantive provisions____ Therefore, we need only identify the domain expressly pre-empted by each of these sections.
Id.
at-,
In the wake of
Cipollone,
courts have narrowed their evaluation of a statute’s preemptive reach. Almost all the federal circuits have addressed federal preemption since
Cipollone
and now consider expression of preemption in a statute’s text the “reliable indicium of congressional intent,” no longer divining implied preemption.
See Myrick v. Fruehauf Corp.,
Significantly, since
Cipollone,
at least one circuit court has reevaluated its previous holding. In
Taylor,
a
pre-CipoUone
case acknowledging no express common-law preemption, the Eleventh Circuit held that a common-law tort claim based on a defect in a design complying with the Safety Act’s standards was impliedly barred. After
Cipollone
a different panel of the same court ruled to the contrary in
Myrick,
a case concerning a liability claim against truck and trailer manufacturers for failing to install anti-lock brakes.
Not all post-Cipollone no-airbag cases agree that these claims survive. One federal district court stated that:
The mere presence of express preemption language does not necessarily prohibit an implied preemption analysis under the Cipollone rule____ A court may ... search a statute for impliеd preemptive intent if that statute’s express language fails to provide a “reliable indicium” of the legislature’s preemptive wishes.
Gills,
Another district court has concluded that the preemption clause
“expressly
preempts] all state tort claims that are ‘applicable to the same aspect of performance of such vehicle or item of equipment which is not identical to the Federal standard.’”
Montag v. Honda Motor Co., Ltd.,
Like those
pre-Cipollone
opinions that ignored the explicit language of federal statutes while searching for unarticulated congressional motives, we believe the district court analyses in
Gills
and
Montag
are incorrect.
Cipollone
commands courts to follow a textual path in ascertaining a statute’s meaning, making it unnecessary either to search for unarticulated legislative intent or engage in a balancing process that may result in a conclusion of implied preemption. As we read Justice Stevens’ words in
Cipollone,
in
*304
which Congress addressed the preemption question, as in the Safety Act, preemptive reach is determined not by a search for unexpressed congressional intent but by the words of the text itself. Thus, the text provides “the reliable indicium of congressional intent” to preempt state authority.
Cipollone,
— U.S. at -,
For what it is worth, we believe that this rule is by far the best policy. If a legislative body wishes to preempt, it knows the language that will accomplish that result.
Taylor,
D. Resolution
With the Cipollone rule in mind, we turn to the preemption issue before us. We find the Safety Act’s text clear enough. The preemption clause itself indicates that Congress considered the issue of preemption. The text expressly precludes any state from establishing, or prescribing, a safety standard not identical to the same aspect of performance targeted by a federal standard. 15 U.S.C. § 1392(d), now 49 U.S.C. § 30103(b). A state can set a standard neither more nor less exacting. Arizona, of course, has not set any standard, let alone one that conflicts with the federal standard. Standing alone, § 1392(d) might not show a legislative intent to preempt only state-enacted regulatory safety standards. Arguably, it could have been construed to prohibit any form of state authority from interfering with the options permitted by federal law. 16
Congress’ inclusion of the savings clause unquestionably rеmoves any doubt. The text of the savings clause explicitly shelters common-law claims from preemption, expansively providing that compliance with federal regulations “does not exempt [one] from
any
liability under common law.” 15 U.S.C. § 1397(k) (codified as amended at 49 U.S.C. § 30103(e) (emphasis added). We find these words a reliably clear congressional mandate. The inescapable conclusion is that Congress considered the preemption issue, addressed it in the text of the legislation, and rejected preemption of state law tort claims like the one in this case. Finding preemption of this claim would violate the command of
Cipollone. See
— U.S. at-,
Thus, this case does not tempt us to speculate on unstated congressional intent or the
*305
Safety Act’s implied preemptive reach. We conclude that common-law damage judgments are not preempted because (1) the text of the preemption clause addresses regulatory standards and does not reach or include common-law tort claims, and (2) the savings clause explicitly manifests a congressional intent to preserve common-law tort claims.
17
In addition, speculating that § 1392(d) might preclude confliсting common-law standards would effectively nullify the mandate that the Safety Act preempts no common-law liability.
United States v. Menasche,
Thus, our analysis of preemption by the Safety Act ends with a reading of the text of the preemption clause and its companion, the savings clause. The two clauses act harmoniously to forbid states from enacting conflicting standards while allowing common-law tort actions. 18 We believe Cipollone requires this result and are secure in the knowledge that our construction of this federal statute is not the last word.
CONCLUSION
The Safety Act does not preempt Plaintiff’s action for defective design of a federally approved restraint system. The Safety Act’s savings clause expresses Congress’ intent to allow state common-law claims against automobile manufacturers whose safety restraint systems comply with federal minimum performance standards but are unreasonably dangerous to consumers. Thus, the trial court erred in granting VWs motion for partial summary judgment. We vacate the order granting the motion and remand this case for further proceedings consistent with this opinion.
Notes
. A passive restraint system protects the occupant "by means that require no action by vehicle occupants...." 49 C.F.R. § 571.208 S4.1.2.2(b) (1988).
. In Arizona, relief formerly obtained by writs of prohibition, mandamus, or certiorari is now obtained by "special action.” Ariz.R.P.Spec. Act. 1.
. Former 15 U.S.C. § 1381.
. Former 15 U.S.C. § 1391(1). See text.
. The issue in
Motor Vehicle Mfrs.
concerned whether the Safety Administration’s rescission of the passive restraint requirement was arbitrary and capricious and violated the Safety Act. By failing to consider an airbag-only option, the Court suspected the agency was acquiescing to an industry preference for the automatic seatbelt design.
.
Motor Vehicle Mfrs.,
. An identical claim was made against VW in
O’Bryan v. Volkswagen of America, Inc.,
. We note two obvious effects of the revised language in 49 U.S.C. § 30103(b). First, whereas the old provision was phrased to prohibit states from continuing or enacting nonidentical regulatory standards, the new provision permits states to enact standards only if they are identical to the federal standards. And second, subordinate clauses have been rearranged in the new preemption clause to make the text more readable. We do not consider these changes substantively significant.
. Because federal doctrine generally avoids establishing a federal common law, we take the phrase "common law” in the 1966 statute as a reference to state common law.
See Texas Indus, v. Radcliff Materials,
. U.S. Const, art. VI, cl. 2 states:
This Constitution, and the Laws of the United States ... shall be the supreme Law of the Land; ... any Thing in the Constitution or Laws of any State to the Contrary notwithstanding.
.
See also Pokorny,
. This act was succeeded by the Public Health Cigarette Smoking Act of 1969, 15 U.S.C. §§ 1331-1340.
.
Draper v. Chiapuzio,
. Presumably Gills ’ rationale would not recognize preemption of the claim asserted in the present case.
. As noted in
Taylor,
. Even considering only the preemption clause, we do not believe such an analysis could survive Cipollone. Our reading of the preemption clause leads us to conclude that the legislative intent was to prohibit states from enacting any regulation that would conflict with the federal standards. It does not expressly preempt state courts from awarding tort damages for unreasonably defective designs, and therefore it would not preempt common-law tort claims.
. We reject the proposition that because thе preemption clause makes no explicit reference to common-law claims, we are free to conclude that Congress meant to preempt them. On the contrary, the absence of a reference to common-law claims indicates that Congress did
not
intend preemption. We acknowledge that past decisions by the Supreme Court "have recognized the phrase 'state law’ to include common law as well as statutes and regulations.”
Cipollone,
— U.S. at-,
. Nor is such a result so unusual that one must conclude Congress could not have intended it. Indeed, it is the general rule of tort law that a design defect action is not precluded merely because the manufacturer complied with regulations. See W. Page Keeton, et al., Prosser and Keeton on the Law of Torts § 36, at 233 (5th ed. 1984) ("While compliance with a statutory standard is evidence of due care, it is not conclusive on the issue.”).
