Noise from O’Hare Airport is the subject of this case. Lawrence C. Bieneman, who bought a parcel of land near O’Hare in 1967 and has become a frequent filer, commenced this suit as a class action on behalf of all other residents of northern Illinois adversely affected by noise. 1 Bieneman contended that the City of Chicago (which operates O’Hare) and the airlines using O’Hare intentionally reduced the value of his land by propagating noise and the chemicals in aircraft exhaust. Two counts of the complaint alleged a deprivation of property without due process, a third alleged a taking, and other counts made claims under state tort law.
Decisions by three district judges have left Bieneman empty-handed. Judge Decker dismissed the claims alleging deprivations of property without due process on the ground that entitlements to be free from nuisances and related torts are not “property” within the meaning of the Due Process Clause. Judge Duff, to whom the case was transferred, dismissed the remaining claims.
I
Bieneman contests the district court’s refusal to certify the case as a class action. Unless the district court abused its discretion, we must respect its decision.
Patterson v. General Motors Corp.,
Conceding this, Bieneman insists that the district court should have certified a class for purposes of legal questions only, such as preemption and the length of the statute of limitations. Such a class could prevent inconsistent outcomes in multifarious cases, achieving the objective of Fed.R.Civ.P. 23(b)(1). Maybe so; some courts have given class treatment to questions of law while reserving issues of fact for individual resolution.
Sterling v. Velsicol Chemical Corp.,
Bieneman filed this case as a class action yet pursued it for more than three years without asking the district court to certify a class; he appealed, leaving the class behind, and recovered his zeal to serve as representative only on learning that disposition of the class claim was essential to his
*466
own claim. We suggested on the first appeal that “a class representative who has lost on the merits may have a duty to the class to oppose certification, to avoid the preclusive effect of the judgment”.
II
Bieneman alleges that noise and noxious gasses emanating from O’Hare Airport deprive him of property without due process of law, and so allow a remedy under 42 U.S.C. § 1983. The contention is fundamentally that O’Hare is a nuisance, traditionally a subject of state law. Judge Decker believed that maintaining a nuisance does not deprive anyone of “liberty or property” within the meaning of the Due Process Clause. The desire to prosecute a nuisance suit is not based on either liberty or property, the judge held in reliance on
Brown v. Brienen,
The state is the aggressor in our case, however. The complaint alleges that state actors manage O’Hare Airport so as to inflict injury on private persons. This formally states a constitutional claim. The immediate hurdle for Bieneman, however, is the principle that negligent conduct does not violate the Due Process Clause,
Daniels v. Williams,
No one supposes that the City of Chicago set out to aggravate Mr. Bieneman by jacking up the levels of noise at O’Hare Airport. He is not a member of some prostrate group; owners of land near O’Hare are among the wealthiest and most influential people in Illinois; noise injures without regard to race, religion, and political beliefs. To show “intent” (or at least recklessness), Bieneman maintains that Chicago knows the effect of noise and exhaust gasses, yet does nothing to aid their victims. Put in this way, however, the argument is no different from the one in
*467
Personnel Administrator of Massachusetts v. Feeney,
Chicago intends to operate O’Hare Airport, knowing that noise and pollution occur. But it does not operate O’Hare because this is the best way to create noise and fumes. These are unwelcome byproducts. A good way to put the intent question is: “If the consequence at issue were smaller, or its effect were reversed, would the actor find the activity less attractive?” If planes made less noise, would Chicago curtail the size and hours of operation of O’Hare? To put the question this way is to show that Bieneman cannot establish intent.
Recklessness is a proxy for intent, and Bieneman fares no better with the claim that Chicago gratuitously subjects him to noise and pollution. He might say that a government acts recklessly toward something if the government accords it no weight — in prison cases, for example, we say the guards act recklessly if they accord the interests of prisoners no weight and so disdain cries of distress. One might ask from this perspective whether the City would operate O’Hare differently if it owned all of the surrounding land. Cf. William F. Baxter & Lillian R. Altree, Legal Aspects of Airport Noise, 15 J.L. & Econ. 1 (1972). If Chicago would behave no differently, then it must be holding property owners’ interests as dear as its own, the pole away from recklessness. Bieneman’s complaint does not allege that the City allows O’Hare to be noisier or dirtier than it would if the government owned the surrounding land, and at oral argument Bieneman’s counsel denied that it does. This aspect of the case therefore stands or falls on the proposition to know of an adverse consequence, and to do nothing to palliate things, is to “intend” that consequence. Under Feeney, the contention fails.
Ill
Protests about “deprivations” without due process sound tinny when the state is free to take what it wants — with or without process — so long as it is prepared to pay. A state may take property outright or may condemn an easement for noise, and sometimes under the Constitution it must do so, see
Causby,
although airport noise rarely requires compensation,
Griggs v. Allegheny County,
A suit under 42 U.S.C. § 1983 must be filed within the time allowed by state law for personal injury actions.
Wilson v. Garcia,
The line of argument works only if three things hold: first, that state rather than federal law supplies the period of limitations for a claim arising directly under the Constitution; second, that the period for adverse possession is the most analogous period of state law; third, that the existence of a claim directly under the Constitution cancels the holding of
Garcia
that the period of limitations applicable to personal injuries governs all constitutional torts, even though state law might use different periods for different wrongs. Each is questionable.
Agency Holding Corp. v. Malley-Duff & Associates, Inc.,
Garcia and Goodman, which established the periods of limitations applicable under § 1983 and § 1981, resolved two questions: where to get the period of limitations, and which period to use. The answer to the first of these questions, based on 42 U.S.C. *469 § 1988, was “state law”. Section 1988 does not apply to a case in which the Constitution rather than a civil rights statute supplies the remedy, although the Eules of Decision Act, 28 U.S.C. § 1652, might have the same effect for other federal litigation. The second question has two parts: (a) shall there be a single period of limitations for all §§ 1981 and 1983 cases, or should different periods be used for different patterns (some analogized to contracts, some to intentional torts, some to negligent torts, some left to the catch-all statute)?, and (b) if one period is to be used, which? Garcia and Goodman concluded that only one period should be borrowed from state law, the one generally applicable to personal injuries. 4
These decisions — whether to have a single period, and which period to use — do not depend on § 1988. Nothing in the text or history of that statute speaks to the questions. The Court had to devise its own rule, and it made a practical choice for compelling reasons:
The experience of the courts that have predicated their choice of the correct statute of limitations on an analysis of the particular facts of each claim demonstrates that their approach inevitably breeds uncertainty and time-consuming litigation that is foreign to the central purposes of § 1983. Almost every § 1983 claim can be favorably analogized to more than one of the ancient common-law forms of action, each of which may be governed by a different statute of limitations_ If the choice of the statute of limitations were to depend upon the particular facts or the precise legal theory of each claim, counsel could almost always argue, with considerable force, that two or more periods of limitations should apply to each § 1983 claim_ The simplicity of the admonition in § 1988 [to use state law] is consistent with the assumption that Congress intended the identification of the appropriate statute of limitations to be an uncomplicated task for judges, lawyers, and litigants, rather than a source of uncertainty, and unproductive and ev-erincreasing litigation. Moreover, the legislative purpose to create an effective remedy for the enforcement of federal civil rights is obstructed by uncertainty in the applicable statute of limitations, for scarce resources must be dissipated by useless litigation on collateral matters.
Garcia,
These considerations apply with equal force to claims invoking the Constitution directly. Actions under § 1983 and those under the principal fount of direct suits,
Bivens v. Six Unknown Named Agents,
Harmonizing the “direct” suit with the § 1983 suit requires us to go the rest of the way with Wilson v. Garcia. The Supreme Court applied the period for personal injuries to all § 1983 cases, recognizing that *470 § 1983 covers many wrongs that states, for domestic purposes, would classify under different statutes. To avoid enervating litigation, the period for direct actions must be the same as the period for § 1983 actions. So pleading this case as a claim directly under the Takings Clause leaves Bieneman exactly where pleading it under § 1983 would have left him: with five years from the wrong, or two years from Wilson, whichever is less, to file the complaint. Bieneman missed the time by three years, and the district court properly granted summary judgment for the defendants.
IV
There remain questions of Illinois law, laid under the pendent jurisdiction. “[I]f the federal claims are dismissed before trial, even though not insubstantial in a jurisdictional sense, the state claims should be dismissed as well.”
United Mine Workers v. Gibbs,
The dictum given unqualified in
Gibbs
has been qualified in practice. See
Rosado v. Wyman,
Luedtke
offered this analysis, which we quote in full: “Since the federal laws and regulations have preempted local control of aircraft flights,
Burbank [v. Lockheed Air Terminal, Inc.,
We must decide whether to maintain a go-it-alone position. Three things persuade us that Luedtke is incorrect and that we should fess up to the error.
1. Preemption of state law depends on either a comprehensive federal regimen (“occupation of the field”), usually established by express statutory declaration, or a clash between state and federal norms (a fight that the federal rules win under the Supremacy Clause).
Silkwood v. Kerr-McGee Corp.,
2.
Burbank,
on which we relied in
Luedtke,
was a different kind of problem altogether. The City of Burbank had enacted a curfew, forbidding departures of jet aircraft from a privately-owned airport between 11 p.m. and 7 a.m. This directly regulated the airport’s operations, interfering with the Federal Aviation Administration’s contrary judgment. The Supreme Court distinguished in
Burbank
between the state’s role as a regulator and its role as a proprietor of airports, observing that it was not questioning the ability of a governmental body to determine how it would run its own airports.
So Illinois has some role notwithstanding
Burbank
in governing the amount of noise and pollution that escapes from O’Hare. We need not and do not say just what the role is, although other courts have read
Burbank
as allowing a state to exclude certain kinds of aircraft in order to reduce noise. E.g.,
British Airways Board v. Port Authority of New York,
3. Burbank dealt with regulation: the city enacted a substantive rule. Bieneman wants damages, not regulation. Perhaps this is a distinction without a difference. An award of damages is compensatory from Bieneman’s perspective, but from O’Hare’s it is no different from regulation. The airport and the air carriers see the award of damages as a signal to stop doing whatever led to the decision, just as the monetary penalty for violating an express substantive rule would lead them to desist. Damages for disobeying an acknowledged rule discourage that disobedience and also induce potential defendants to steer clear of the danger zone, to discontinue conduct that in fact complies with the rule but could be mistaken for noncompliance. It is hard (and costly) to determine facts, and the errors inevitable in litigation may discourage beneficial conduct. So too, excessive awards might discourage conduct that is questionable under existing rules but beneficial on balance (and therefore goes unchallenged by the agency with control of the substantive doctrines).
The identity of common law damages and penalties for disobedience to substantive rules could lead to a conclusion that where a state is forbidden to alter the substantive rule, it is forbidden to award damages.
Silkwood v. Kerr-McGee
rejects this equation, however. The Court held in
Pacific Gas & Electric Co. v. State Energy Conservation & Development Comm’n,
Luedtke did not mention any of these considerations, and its holding cannot be maintained in the face of them. We overrule Luedtke to the extent it holds that all common law remedies for airport noise and pollution have been preempted by federal law. 6
A word on what this means. Bieneman wants common law remedies, but these must be remedies for wrongs, as in Silkwood, or for those aspects of airport operation within the state’s control as proprietor under Burbank. Federal law governs much of the conduct of O’Hare and its carriers. See 14 C.F.R. Part 36 (noise characteristics of aircraft), Part 150 (noise abatement procedures at airports). A state court could not award damages against O’Hare or its users for conduct required by these regulations, or for not engaging in noise-abatement procedures that the Feder *473 al Aviation Administration considered but rejected as unsafe. Bieneman’s complaint suggests that damages should be awarded because there are too many flights per hour, or because the aircraft are older models not fitted with high-bypass turbofan engines, or because the planes do not climb at a sufficiently steep rate after takeoff. These subjects are governed by federal law, and a state may not use common law procedures to question federal decisions or extract money from those who abide by them. There may be, on the other hand, aspects of O’Hare’s operations that offend federal law, or that federal norms do not govern. Perhaps, as Bieneman insists, the airport does not use adequate noise baffles around the perimeter of the airport, or perhaps it has built more runways than federal law requires (to the detriment of those under the new ones), or is out of compliance with the governing federal rules. The essential point is that the state may employ damages remedies only to enforce federal requirements (as in Silk-wood) or to regulate aspects of airport operation over which the state has discretionary authority.
This disposes of the federal defense to the claims under state law. Remaining questions about the common law of Illinois are more appropriately resolved in state court, since no ground of federal jurisdiction survives. We therefore affirm the district court’s judgment to the extent it rejects all of Bieneman’s claims under the Constitution, vacate the judgment to the extent it holds that claims under state law are preempted, and remand with directions that the court relinquish jurisdiction under Gibbs, so that Bieneman may pursue his state-law contentions in state court.
Notes
. Bieneman became Mayor of Bensenville, Illinois, and that village, joined by three others, filed suit in state court seeking an injunction against the expansion of O’Hare. The villages lost.
Village of Bensenville v. City of Chicago,
. Whether there is such an animal as "substantive due process" when the state affects property that it could choose to take outright is a subject we need not pursue. See
Coniston Corp.
v.
Village of Hoffman Estates,
. The 12-year period in the Quiet Title Act, 28 U.S.C. § 2409a(f), might be an alternative benchmark, but this statute applies only when the government claims an interest in land. See
United States
v.
Mottaz,
. The Court has heard oral argument in
Okure v. Owens,
. Bryski v. City of Chicago,
. Because this opinion overrules a portion of the decision in Luedtke, it was circulated to all judges in regular active service under Circuit Rule 40(f). No judge requested that the case be heard en banc.
