OPINION
A race car body fabricator sued his employer for overtime pay under the Fair Labor Standards Act (FLSA). The employer asserted that the employee was exempt from the overtime provisions of FLSA because he was a “loader” of a private motor carrier whose loading activities affected the safety of the carrier’s operation in interstate commerce. After a bench trial, the district court entered judgment for the employee, concluding that he was not a “loader” and so not exempt from the overtime provisions of FLSA.
Troutt v. Stavola Brothers, Inc.,
I.
From November 1990 to March 1994, Sta-vola Brothers, Incorporated employed Kenneth Troutt as a race car body fabricator. A fabricator forms raw sheet metal into a race ear body.
Stavola builds and races stock cars in NASCAR-sponsored races throughout the United States. In order to compete in races, Stavola transports two stock cars, along-with other equipment, in a “transporter,” a custom-built tractor trailer. The transporter is assigned a United States Department of Transportation number, which is displayed on its cab door.
After being rolled onto the tracks inside the transporter, Stavola’s stock cars are “chocked” and strapped into the tracks. “Chocking” refers to the practice of “the clamping of the race ear wheels into the tracks, through the use of a metal chock that
Troutt and other Stavola employees, including the transporter’s driver, testified that it was the driver’s responsibility to see that the cars and other equipment were secured when loading the transporter. Thus, the district court expressly found that the driver was the employee “responsible for ensuring that all equipment is secured and stowed in a proper manner.” Id. at 298-299. All Stavo-la employees, however, at one time or another, assisted in some way in packing the transporter. Troutt assisted primarily by moving equipment to the ramp at the end of the transporter and by pushing race cars onto the transporter. Id. at 299. Additionally, on two occasions, Troutt “chocked down” the wheels of a stock car on the track inside the transporter. Id. Troutt testified that other than these two instances of “chocking,” he never secured anything inside the transporter. Although a company witness disputed this, other employees generally confirmed Troutt’s testimony and the district court found that Stavola had not proved by a “preponderance of the evidence” that Troutt “took part in any other securing of equipment inside the transporter.” Id.
When Stavola originally hired Troutt, management agreed that he need not work overtime; he was paid for and worked a 40-hour work week. However, in July 1991, a new general manager required all employees to work significant amounts of overtime, including nights and weekends. Troutt received no additional compensation for any of the extra hours worked. Beginning in January 1992 Troutt contemporaneously recorded his overtime hours. He calculated that he worked more than 1400 overtime hours between January 1992 and March 1994.
After a two-day trial, the district court issued a memorandum opinion, including detailed findings of fact and conclusions of law. The court concluded that Troutt’s only loading activities “which could conceivably affect safety of operation fall into th[e] ‘de minimus’ [sic] category” and for this reason Troutt was not exempted from the overtime provisions of FLSA. Id. at 300. Although assessing it a “close question,” the district court further found that Troutt had failed to establish that Stavola willfully violated FLSA and so Troutt could only collect overtime pay for hours worked for two years prior to filing suit, i.e. not for the period prior to June 28,1992. Id. at 302. After examining week-by-week the overtime compensation claimed by Troutt and making adjustments consistent with Sta-vola’s records, the district court entered judgment for Troutt in the amount of $53,-091.36 — comprised of unpaid overtime compensation of $26,545.68 and an equal amount in liquidated damages. Id. at 308.
II.
On appeal, Stavola’s sole claim is that the district court erred in concluding that Troutt was not exempt from FLSA. Resolution of this question rests on the interaction of two federal statutes — the Motor Carrier Act and FLSA.
In 1935, Congress passed the Motor Carrier Act, ch. 498, 49 Stat. 543 (1935) (codified as amended at 49 Ü.S.C.A. §§ 502-507, 522-523, 525-526, 31502-31504 (West 1997)), authorizing the Interstate Commerce Commission (I.C.C.) to establish requirements with respect to qualification and maximum hours for employees of a common carrier, whose work affects the safety of the carrier. Although Congress later transferred these functions to the Secretary of Transportation, and revised some of the language in the statute, the statutory charge itself remains intact.
See
49 U.S.C.A. § 31502(b)(2) (West 1997) (Secretary of Transportation may prescribe requirements for “qualifications and maximum hours of service of employees of ... a motor private carrier, when needed to promote safety of operation”). A “motor private carrier” subject to regulation by the Secretary of Transportation is one that provides transportation on public highways between two states.
See
49 U.S.C.A. § 18102(13) and § 13501 (West 1997). Thus, under the Motor Carrier Act the Secretary of Transportation has the authority to regu
late
Three years after the passage of the Motor Carrier Act, FLSA was enacted. See ch. 676, 52 Stat. 1060 (1938) (codified as amended at 29 U.S.C.A. §§ 201-219 (West, WEST-LAW through Nov. 12,1996)). FLSA generally empowers the Secretary of Labor to regulate the hours of certain employees. However, Congress expressly exempted from the overtime provisions of FLSA any motor carrier employee over whom the I.C.C. (now the Secretary of Transportation) had the “power to establish qualifications and maximum hours of service” under the Motor Carrier Act. See ch. 676, § 13, 52 Stat. 1067 (1938) (codified as amended at 49 U.S.C.A. § 31502(b)(2) (West 1997)). This motor carrier exemption from FLSA, like the authority granted under the Motor Carrier Act itself, has never been limited, and so survives in all material respects in current law. See 29 U.S.C.A. § 213(b)(1) (West, WESTLAW through Nov. 12,1996).
The Supreme Court has examined the interaction between FLSA and the Motor Carrier Act on several occasions. The Court has mandated that the critical consideration in determining whether the Motor Carrier Act governs a motor carrier employee and so exempts him from FLSA is whether that employee’s activities “affect safety of operation.”
United States v. American Trucking Assn’s,
The Court has held that, in view of Congress’s determination that safety is paramount, it is the agency’s power under the Motor Carrier Act to regulate “qualifications and maximum hours” that determines whether that statute applies, not whether the agency has exercised its power.
Id.
at 673,
Such employees need not devote all or even the majority of their time to safety-affecting activities in order to be covered by the Motor Carrier Act.
Id.
at 674,
III.
Stavola’s principal argument on appeal is that a court must find an employee is covered by the Motor Carrier Act, and so exempt from the FLSA, if he is “a member of
a class of employees
that regularly en
gaged
Stavola’s argument fails because its analysis is incomplete. Stavola is correct that an employee’s class of work plays an important role in the determination. This is so because the Secretary of Transportation’s— and prior to the Secretary, the I.C.C.’s— jurisdiction comprises only certain classes of motor carrier employees — truck drivers, loaders, mechanics, and helpers; only if an employee falls within one of these classes does the Motor Carrier Act govern him.
Pyramid,
But what Stavola ignores is that the Supreme Court has been equally clear that when there is a factual question as to whether a particular employee is within one of these covered classifications that question is decided in the judicial process and on an
individual
basis. Thus, in
Pyramid
after noting that the I.C.C. had “done its work” by “defin[ing] its jurisdiction” in establishing the above classifications, the Supreme Court remanded the case for the district court to determine whether “the activities of
each
respondent, either as a whole or in substantial part, come within the Commission’s definition of the work of a ‘loader.’ ”
The Supreme Court further instructed that “the District Court shall not be concluded by the name which may have been given to [an employee’s] position,” but “shall give particular attention to whether or not the activities of the respective respondents included that kind of ‘loading
1
which is held by the Commission to affect safety of operation.”
Id.
at 707-08,
Morris v. McComb,
Contrary to Stavola’s suggestion,
Morris
did not thereby overrule
Pyramid’s
command (issued only a few months earlier), that in determining if an employee’s work affected the “safety of operation” a court is to examine the work of the individual employee or
Pyramid’s
directive that an individual employee’s loading activities may be so “limited,” “trivial,” “casual,” or “occasional” as to be
de minimis
and so not affect “safety of operation.”
Indeed, to the extent
Morris
considered the safety issue, it followed the same approach articulated in
Pyramid.
Noting that “nothing in the record [showed] the extent to which the respective garagemen and laborers devoted themselves to” the kinds of work which affected safety, the
Morris
court observed that if this were a case “to recover overtime for individual employees, it would be necessary to determine that fact.”
In sum, the district court did not commit any legal error in focusing upon Troutt’s actual loading activities.
IV.
Stavola’s only remaining challenge is to two portions of the district court’s factual findings with respect to the nature of Troutt’s actual loading activities.
The district court found:
[T]he only activity involving the securing of equipment by Plaintiff proven by a preponderance of the evidence is that Plaintiff on two occasions chocked down the wheels of race cars inside the transporter. This activity falls within the “de minimus” [sic] exception discussed by the Supreme Court in Pyramid Motor Freight The evidence established that the chocks are only a preliminary securing device, to be used in conjunction with the nylon straps to secure the car inside the transporter. No evidence establishes that Plaintiff ever secured the nylon straps around the wheels of the cars, or in any other way secured any other item inside the transporter. Furthermore, Plaintiff secured chocks only two times during the approximate three year span he was employed by Defendant.
Troutt,
Stavola does not assert that the district court’s critical finding that Troutt only chocked down the wheels twice in a three year span is clearly erroneous. The company does claim that the district court erred with regard to its finding as to the evidence as to Troutt’s securing of “any other item inside the transporter.” Brief for Appellant at 22. Stavola asserts that because a company witness testified that Troutt did secure other items, it was error to conclude that there was “no evidence” of this. Stavola misreads the district court’s finding. The court did not find that no evidence “exists” as to whether Troutt secured other items but rather, that no evidence “establishes” this fact; the district court had twice expressly explained that the company had not established this fact “by a preponderance of the evidence.”
Troutt,
Stavola’s remaining attack on the district court’s factual findings concerns the nature of the chocks. The company maintains that no evidence supports the district court’s finding that the chocks are “a preliminary securing device.” In this instance, Stavola misreads the record. The truck driver himself testified:
[Y]ou had wheel chocks that went under the wheels that you placed in a certain spot_ — the ones we used were metal, and they were bolted down. Once you placed them where they went, a bolt held them to the floor. Then, there is what we call ratchet straps. It’s something like a cargo strap. You take four straps per ear and strap the car to the floor also, so it can’t move in case the chock moves.
From this testimony, a factfinder could conclude that chocks were, indeed, a “preliminary securing device.” Thus, there was no error. Moreover, even if the evidence did demonstrate that the chocks constituted more than a “preliminary securing device,” our holding would remain unchanged; Troutt’s use of the chocks on two occasions in more than three years of employment dearly falls within Pyramid’s “de minimis ” exception.
V.
The district court neither employed an improper legal analysis nor made erroneous factual findings in concluding that Troutt was covered by FLSA. Accordingly, the judgment of the district court is
AFFIRMED.
Notes
. In defining its jurisdiction the I.C.C. briefly described the work of loaders as those "whose sole duties are to load and unload motor vehicles and transfer freight between motor vehicles and between the vehicles and the warehouse."
MC-2,
28 M.C.C. at 134. In
Levinson
and
Pyramid,
the Supreme Court elaborated on this description.
Levinson,
. It is undisputed that Stavola is a “motor private carrier” that provides transportation on public highways between two states. 49 U.S.C.A. § 13102(13) and § 13501 (West 1997).
. In the fifty years since
Morris
and
Pyramid
were issued, no court has held
Morris
overruled
Pyramid.
Rather, we and several of our sister circuits have expressly recognized that
Pyramid
remains good law.
See, e.g., Blankenship v. Thurston Motor Lines, Inc.,
