Phillip Alberty v. United States of America
No. 22-1872
United States Court of Appeals For the Eighth Circuit
Submitted: October 19, 2022 Filed: December 1, 2022
Appeal from United States District Court for the Southern District of Iowa - Central
Before LOKEN, GRUENDER, and GRASZ, Circuit Judges.
Phillip Alberty sued the United States of America for injuries sustained from a fall on federal property. The district court1 determined that Alberty‘s tort claim was barred by the discretionary-function exception to the Government‘s waiver of sovereign immunity for tort claims. The district court therefore dismissed Alberty‘s suit for lack of subject-matter jurisdiction. We affirm.
I.
In 2018, Alberty fell and suffered serious injuries as he was leaving the Neal Smith Federal Building in Des Moines, Iowa. Alberty is in his sixties and has a visual impairment.
The building‘s east exit, where Alberty fell, has concrete stairs leading down to a sidewalk. At the top of the stairs are four concrete bollards, each separated by a few feet of space. Running along either side of the stairs is a flat area, level with the top step. The parties refer to these areas as the “south walk” and the “north walk.” The walks meet the sidewalk at a twenty-six-inch vertical drop.
As Alberty left the building, he noticed the concrete bollards. He presumed they were meant to deter pedestrians from proceeding past them. So he went around them, along the south walk. When he reached the end of the south walk, he fell onto the sidewalk below, breaking his leg and elbow. The injuries
Alberty brought a tort claim against the Government, alleging that it was negligent in designing and maintaining the paved walkway outside the building. He claims that the Government failed to use reasonable care to anticipate the danger to visitors, particularly those with impairments or disabilities. He asserts that the failure to erect barriers or railings or to provide identifying marks, textural cues, or other safety features for the south walk caused his injuries. These failures, Alberty alleges, violated federal policy. Specifically, he points to the General Services Administration‘s (“GSA“) commitment to “making Federal buildings and facilities fully accessible to all people” and to “ensuring the full integration of individuals with disabilities who use [government] facilities.”2 He also asserts that the south-walk design violates the International Building Code (“IBC“) requirements for stairs. See IBC § 1009.7 (2012 ed.).
The Government moved to dismiss Alberty‘s claim for lack of subject-matter jurisdiction. The Government argued that the discretionary-function exception to the Federal Tort Claims Act (“FTCA“) bars Alberty‘s claim. See
II.
We review a dismissal for lack of subject-matter jurisdiction de novo. Metter v. United States, 785 F.3d 1227, 1231 (8th Cir. 2015). “The plaintiff bears the burden of proving the existence of subject matter jurisdiction.” Buckler v. United States, 919 F.3d 1038, 1044 (8th Cir. 2019) (internal quotation marks omitted). In conducting our review, we may look at materials outside the pleadings. Id.
The FTCA “serves as a limited waiver of sovereign immunity, opening the door to state-law liability claims against the federal government for harm caused by government employees.” Buckler, 919 F.3d at 1044. Specifically, it authorizes district courts to hear suits against the United States
for money damages . . . for . . . personal injury . . . caused by the negligent or wrongful act or omission of any employee of the Government while acting within the scope of his office or employment, under circumstances where the United States, if a private person, would be liable to the claimant in accordance with the law of the place where the act or omission occurred.
We follow a two-step analysis to determine whether the discretionary-function exception applies. Buckler, 919 F.3d at 1045. First, we ask whether the challenged conduct or omission was truly discretionary, that is, “whether it involves an element of judgment or choice instead of being controlled by mandatory statutes or regulations.” Id. (internal quotation marks omitted). Second, we ask “whether the government employee‘s judgment or choice was based on considerations of social, economic, and political policy.” Id. (internal quotation marks omitted). The discretionary decision need only be “susceptible to policy analysis,” regardless of whether the employee actually “engaged in conscious policy-balancing,” id., and regardless of “whether . . . the discretion involved [was] abused,”
A.
We first address whether the challenged conduct was truly discretionary. Alberty argues that it was not because federal rules and regulations mandated a safer walkway design. He alleges two constraints on the GSA‘s discretion. Neither is sufficient to overcome the jurisdictional bar.
One is from the GSA‘s website. Alberty alleges that the GSA holds itself out to be committed to “making Federal buildings and facilities fully accessible to all people” and “ensuring the full integration of individuals
The second is the IBC. Alberty alleges that the south walk‘s vertical drop constitutes a “stair” in violation of IBC § 1009.7, which has to do with stairstep height. According to Alberty, the IBC applies to the south walk through
[e]ach building constructed or altered by the [GSA] . . . shall be constructed or altered, to the maximum extent feasible as determined by the Administrator . . ., in compliance with one of the nationally recognized model building codes and with other applicable nationally recognized codes, including electrical codes, fire and life safety codes, and plumbing codes, as the Administrator decides is appropriate.
The district court determined that
Section 3312(b) is couched in discretion. “[T]o remove discretion from government employees, a regulation must be mandatory and it must clearly and specifically define what the employees are supposed to do.” See C.R.S v. United States, 11 F.3d 791, 799 (8th Cir. 1993). But compliance with building codes is required only “to the maximum extent feasible as determined by the Administrator.”
B.
Alberty can still prevail if he shows that the GSA‘s discretion was not “susceptible to policy analysis.” See Buckler, 919 F.3d at 1045. He has failed to do so.
The design of the walkway—an integral component of the building‘s east exit and facade—is susceptible to policy analysis. It involves social, economic, and political policy considerations like public safety, cost of design and materials, and aesthetics. See Metter, 785 F.3d at 1232-33 (holding that the decision whether to install guardrails near a fishing area was susceptible to policy analysis); see also Fothergill v. United States, 566 F.3d 248, 253 (1st Cir. 2009) (holding that whether to install curbs or barriers in a post-office parking lot and how to array them were choices susceptible to policy analysis). Indeed, the GSA report that Alberty cites to show that the building‘s exterior was renovated in 2003 expressly states some of the policy considerations behind the decision. See U.S. General Services Administration Office of the Chief Architect Center for Historic Buildings, Growth, Efficiency, and Modernism, 74 (2005) (discussing the building‘s renovation).4 The GSA sought “to remedy [water] leaks while also addressing aesthetic deficiencies in the building.” Id. It solicited input from a local architectural review board and the broader community, with the goal of designing “a solution that would provide the necessary weather barrier and simultaneously provide a sleek new exterior form.” See id.; see also Cope, 45 F.3d at 449 (“Evidence of the actual decision may be helpful in understanding whether the ‘nature’ of the decision implicated policy judgments . . . .“).
As for the Government‘s decision not to place warnings for the south walk, it too is susceptible to policy analysis for similar reasons. We have repeatedly characterized discretion over safety warnings “as susceptible to policy choice due to the need to balance safety against governmental efforts and costs and the need for professionals on the ground to adapt to the conditions they face in determining how to expend limited resources in the efforts to identify dangers.” Buckler, 919 F.3d at 1052; see Metter, 785 F.3d at 1232-33; Demery v. U.S. Dep‘t of Interior, 357 F.3d 830, 834 (8th Cir. 2004) (holding that the decisions of whether and how to warn about open-water portions of a frozen lake were susceptible to policy analysis).
Alberty argues that the decision not to warn about the south walk‘s danger involved only an “isolated, single location hazard” and therefore did not implicate public policy. He relies on Andrulonis v. United States, 952 F.2d 652, 655 (2d Cir. 1991), which involved the failure of a government scientist to warn another researcher about known dangers in their experiment. But Andrulonis is factually inapposite, just as it was in two of our earlier cases distinguishing it. In C.R.S., for instance, we described the Military Blood Program Office‘s discretionary decision not to identify and warn thousands of military personnel across the country about HIV risks from past blood transfusions as “a far cry from the isolated need for a single warning [in Andrulonis].” 11 F.3d at 802. And in Layton v. United States, 984 F.2d 1496, 1504-05 (8th Cir. 1993), we contrasted the lack of competing policy considerations at play in Andrulonis with the ample policy considerations underlying the Forest Service‘s decision to implement only certain safety measures
III.
For the foregoing reasons, we affirm the district court‘s dismissal for lack of subject-matter jurisdiction.5
