Opinion
J. — In a bifurcated proceeding, the jury found that appellant’s action under the Federal Employers’ Liability Act (hereafter the FELA) (45 U.S.C. § 51 et seq.) to recover damages for his loss of hearing was barred by the three-year statute of limitations. The court subsequently entered judgment in favor of respondent, 1 and this appeal ensued.
Appellant complains that the trial court erred by bifurcating the statute of limitations issue, altering the order of proof, excluding evidence of equitable estoppel, instructing the jury, and dismissing his fraud cause of action. We find that no prejudicial errors were committed, and affirm the judgment.
Statement of Facts
Appellant began his employment with Southern Pacific in 1963, and worked thereafter as a switchman, brakeman, and conductor. During the course of his employment duties until 1990, appellant was regularly subjected to loud, irritating noises from the locomotive engine, wheels and train whistle. The intensity of the noise varied with appellant’s location on the train and the duties he performed. Southern Pacific never informed appellant that the “noise” he experienced would cause permanent harm to his hearing.
In 1984, Southern Pacific retained M.T.S. Associates (hereafter M.T.S.), a consulting company that provides “hearing conservation programs” to the railroad and other industries, to collect sound level survey information, *1201 “educate employees on the hazards of noises and what they could do to protect themselves,” and conduct hearing evaluations of Southern Pacific’s employees. The primary purpose of the educational aspect of the M.T.S. program implemented for respondent was to inform “railroad employees that certain levels of sound could damage their hearing.” Employees were also advised that when the decibel level reached the point that they were forced to “raise their voice” to be heard in conversation, they needed to use “ear protection.” The hearing evaluations were “strictly for monitoring purposes,” and did not diagnose the cause of hearing loss or notify employees that they had an “on-the-job related” injury.
Appellant became aware that he suffered from hearing loss in 1984, when he was directed by Southern Pacific to take a hearing test. According to a “test card” used by M.T.S., an audiogram performed upon appellant on May 25,1984, indicated that he suffered hearing impairment — that is an “increase in the decibel threshold” — in the left ear, while his right ear then tested “normal.” The audiogram result was consistent with appellant’s complaint to the technician of “hearing difficulty” in his left ear. Appellant was furnished with fitted earplugs by the technician following the 1984 test. Appellant acknowledged that he “had a concern” with his hearing in 1984, but felt it “was minor.”
Appellant’s hearing was tested again by M.T.S. on April 6, 1989. He then told the technician that he thought his hearing was “worse.” In regard to the state of his hearing in 1989, appellant testified at trial, “I knew I had a problem.” An audiogram taken in 1989 found no significant change in the left ear, but detected deterioration in the higher frequencies in the right ear. 2 The audiogram results revealed that appellant suffered from “high above normal range of hearing loss.” Due to the “change in hearing” in the right ear, the evaluator made a notation on the test card questioning appellant’s claim that he used hearing protection. A notation was also made that appellant was “put on the list for counseling” and further observation, and given the admonition, “strongly urge ear protection at all times in noise.” 3 He was again “fitted for earplugs” for use “in the field.” He was also scheduled for counseling during the next visit to the facility by M.T.S. late in 1989, but before then the contract with respondent was terminated. Appellant testified that he did not recall receiving earplugs in 1989, and did not wear hearing protection until he was directed to do so in 1992, although it was available to him earlier.
*1202 By no later than 1990, appellant suffered from “ringing” in his ears, which he actually described as “a sound of rushing air.” Prior to June 15, 1991, he learned “through the media” that exposure to loud noise may damage hearing, and related the noise and hearing loss to “where [he] worked at the time.” He also testified that “99 percent of the loud noises” to which he had been exposed were generated by the “railroad.” Appellant claimed, however, that the “first time” he was informed he “had a hearing problem” was in a letter from Audiometric Services dated May 27, 1992, which referred to the change in his hearing found in the 1989 test. Before that date, he only entertained “a suspicion” of hearing loss. The letter advised appellant to consult a physician. Appellant testified that upon receiving the letter he associated his hearing loss with the noise to which he had been exposed at work, and intended to make a claim with Southern Pacific.
Appellant was subsequently examined by a Dr. Riordan. Appellant told Dr. Riordan that he had “been exposed to noise produced by locomotive [engines] without wearing hearing protection.” In Dr. Riordan’s report, dated August 17, 1992, appellant indicated during the examination that he began experiencing ringing in the ears, or “continuous non-pulsating bilateral tinnitus,” in 1988. 4 The “audiological evaluation” of appellant stated in the report was: “Bilateral high frequency sensorineural hearing loss consistent with exposure to noise and presbycusis.” According to appellant’s testimony at trial, he concluded that his “hearing loss was caused from work” only when he subsequently received Dr. Riordan’s report in 1992.
Larry Evans, who was also a conductor for Southern Pacific until he retired in 1993, was a witness for appellant. He testified that he became aware of the requirement for Southern Pacific employees to wear hearing protection. He was not permitted to give the date the use of hearing protection became mandatory or his personal practice before that time.
Discussion
I.-III. *
IV. The Statute of Limitations Instruction.
Appellant also submits that the statute of limitations instruction given by the trial court was an incorrect statement of law. Specifically, he *1203 complains of language in the verdict form that asked the jury to determine whether he knew “or should . . . have known that his hearing damage was potentially caused by his work at Southern Pacific?” (Italics added.) Appellant asserts that the “ ‘potentially work-related’ standard” expressed in the instructions is contrary to the test of accrual of a FELA cause of action, and “drastically reduced” the proof required to support a finding against him on the statute of limitations issue.
The FELA provides that, “No action shall be maintained under this chapter unless commenced within three years from the day the cause of action accrued.” (45 U.S.C. § 56.) Compliance with the three-year statute of limitations is a condition precedent for recovery in a FELA action.
(Emmons
v.
Southern Pacific Transp. Co.
(5th Cir. 1983)
We think the trial court’s use of the “potentially caused” language was in accord with existing law. Under the discovery rule, the test is an objective inquiry into whether the plaintiff knew or should have known, in the exercise of reasonable diligence, the essential facts of injury and cause.
(Albert
v.
Maine Cent. R. Co.
(1st Cir. 1990)
V. Preemption of Fraudulent Concealment Cause of Action. 7
The preponderance of appellant’s brief is devoted to the argument that the trial court erred by finding his cause of action under state law for fraudulent concealment was preempted by the FELA. Appellant insists that the FELA, which “creates liability only for negligence,” was not intended to “preempt state laws designed to prevent and deter intentional torts.”
The doctrine of federal preemption is derived from the supremacy clause of the United States Constitution (art. VI, cl. 2) and is designed to prevent the states from impinging on federal law and policy.
(Cipollone
v.
Liggett Group, Inc.
(1992)
“All preemption cases begin with the presumption that federal statutes do not supersede the historic police powers of the state unless Congress manifests a clear intent to do so.”
(Viad Corp.
v.
Superior Court
(1997)
Three forms of preemption may occur: (1) where Congress expressly specifies that its enactment preempts state law (express preemption); (2)
*1205
where the scheme of federal regulation is so pervasive that there is a reasonable inference Congress intended to dominate the field and state laws on the same subject are precluded (field preemption); and (3) where federal law actually conflicts with state law and it is impossible for a private party to comply with both requirements (conflict preemption).
(English
v.
General Electric Co.
(1990)
The FELA has been uniformly found to comprise “the exclusive remedy for injured railroad employees.
Wabash R.R. Co.
v.
Hayes,
In
Napier
v.
Atlantic Coast Line R. Co.
(1926)
To support his argument against preemption, appellant relies primarily on the opinion in
Viad Corp.
v.
Superior Court, supra,
The court in
Viad
acknowledged the venerable decision in
Napier,
but was influenced by “a number of other factors” and “two recent Supreme Court cases,”
Medtronic, Inc.
v.
Lohr
(1996)
We do not agree with
Viad
that the
Napier
analysis of the broad preemptive reach of the BIA and the FELA has been undermined by the decisions in
Medtronic
and
Silkwood.
First,
Medtronic
was not a field preemption case, but rather focused upon an express preemption provision in the MDA and accompanying regulations, which, in contrast to the BIA, the court found did not evince a legislative intent to foreclose established state tort remedies absent a direct threat of interference with a specific, articulated federal interest.
(Medtronic, supra,
The Ninth Circuit reached the opposite conclusion of
Viad
in
Law
v.
General Motors Corp.
(9th Cir. 1997)
We agree with the reasoning of
Law,
but are presented with an additional issue not directly confronted in that opinion; whether a cause of action for the
intentional
tort of fraudulent concealment falls within the comprehensive preemptive reach of the FELA. That the exclusive remedy provided by FELA preempts state law in actions by railroad employees predicated upon the
negligence
of their employers is well settled.
(Dice
v.
Akron, C. & Y. R. Co.
(1952)
Although appellant’s action for intentional misrepresentations is not premised upon principles of negligence, it nevertheless falls within the scope of an actionable claim under the FELA. The provisions of the FELA make the railroad directly liable for “the negligence of any of the officers,
*1210
agents, or employees of such carrier . . . .” (45 U.S.C. § 51.)
10
The definition of “negligence” for purposes of the FELA is an expansive one, however, encompassing “any intentional tort which inflicts bodily injury upon the employee.”
(Slaughter
v.
Atlantic Coast Line Railroad Company
(D.C.Cir. 1962)
Further, appellant seeks recovery for compensable physical injuries under the FELA. Thus is his case distinguishable from an intentional tort action for merely
emotional harm,
which is excluded from the coverage of the FELA, and was for that reason found
not
preempted by the federal statute in
Pikop
v.
Burlington Northern R. Co., supra,
390 N.W.2d at pages 753-755. (See also
Cavanaugh
v.
Burlington Northern R. Co.
(D.Minn. 1996)
Disposition
Accordingly, the judgment is affirmed.
Strankman, P. J., and Marchiano, J., concurred.
Appellant’s petition for review by the Supreme Court was denied July 21, 1999. Mosk, J., was of the opinion that the petition should be granted.
Notes
We will hereafter refer to respondent Southern Pacific Transportation Company as respondent or Southern Pacific.
An otologist for respondent testified that hearing loss is typically manifested first in the “high frequencies,” then progresses “toward the speech frequency.”
According to M.T.S. protocol, employees with hearing loss were sent follow-up “notification letters” recommending use of ear protection and perhaps consultation with a physician. Due to computer error, appellant may not have received his letter.
At trial, appellant denied giving Dr. Riordan that date as the onset of ringing in his ears.
See footnote, ante, page 1197.
The issue of federal preemption of state tort claims under the Safety Appliance Act (49 U.S.C. §§ 20301-20306) and the Federal Railroad Safety Act (49 U.S.C. § 20101 et seq.) is pending before the California Supreme Court. (Carrillo v. ACF Industries, Inc. * (Cal.App.) review granted Sept. 2, 1998 (S072065).)
For Supreme Court opinion see
“[I]t has been held consistently that the [BIA] supplements the [FELA] by imposing on interstate railroads ‘an absolute and continuing duty’ to provide safe equipment. [Citations.]” (
Medtronic, supra,
In
Silkwood, supra,
The elements of a FELA case are: (1) the injury occurred while the plaintiff was working within the scope of his or her employment with the railroad; (2) the employment was in furtherance of the railroad’s interstate transportation business; (3) the employer railroad was negligent; and (4) the employer’s negligence played some part in causing the injury for which compensation is sought under the Act.
(Smelser
v.
Norfolk Southern Ry. Co.
(6th Cir. 1997)
In
Cavanaugh
and
Pikop,
actions for intentional infliction of emotional distress were found to lie “outside the scope” of FELA and were not preempted by it. In
Abate
v.
Southern
*1211
Pacific Transp. Co.
(5th Cir. 1993)
