49 U.S.C. § 44703
(b) Contents.—
(1) An airman certificate shall—
(c) Public Information.—
(d) Appeals.—
(1) An individual whose application for the issuance or renewal of an airman certificate has been denied may appeal the denial to the National Transportation Safety Board, except if the individual holds a certificate that—
(e) Restrictions and Prohibitions.— The Administrator of the Federal Aviation Administration may—
(f) Controlled Substance Violations.— The Administrator of the Federal Aviation Administration may not issue an airman certificate to an individual whose certificate is revoked under section 44710 of this title except—
(g) Modifications in System.—
(1) The Administrator of the Federal Aviation Administration shall make modifications in the system for issuing airman certificates necessary to make the system more effective in serving the needs of airmen and officials responsible for enforcing laws related to the regulation of controlled substances (as defined in section 102 of the Comprehensive Drug Abuse Prevention and Control Act of 1970 (21 U.S.C. 802)) and related to combating acts of terrorism. The modifications shall ensure positive and verifiable identification of each individual applying for or holding a certificate and shall address at least each of the following deficiencies in, and abuses of, the existing system:
(h) Records of Employment of Pilot Applicants.—
(1) In general.— Subject to paragraph (14), before allowing an individual to begin service as a pilot, an air carrier shall request and receive the following information:
(A) FAA records.— From the Administrator of the Federal Aviation Administration, records pertaining to the individual that are maintained by the Administrator concerning—
(B) Air carrier and other records.— From any air carrier or other person (except a branch of the United States Armed Forces, the National Guard, or a reserve component of the United States Armed Forces) that has employed the individual as a pilot of a civil or public aircraft at any time during the 5-year period preceding the date of the employment application of the individual, or from the trustee in bankruptcy for such air carrier or person—
(i) records pertaining to the individual that are maintained by an air carrier (other than records relating to flight time, duty time, or rest time) under regulations set forth in—
(ii) other records pertaining to the individual’s performance as a pilot that are maintained by the air carrier or person concerning—
(2) Written consent; release from liability.— An air carrier making a request for records under paragraph (1)—
(6) Right to receive notice and copy of any record furnished.— A person who receives a request for records under paragraph (1) shall provide to the individual who is the subject of the records—
(8) Standard forms.— The Administrator shall promulgate—
(B) standard forms that may be used by an air carrier to—
(ii) inform the individual of—
(12) Periodic review.— Not later than 18 months after the date of the enactment of the Pilot Records Improvement Act of 1996, and at least once every 3 years thereafter, the Administrator shall transmit to Congress a statement that contains, taking into account recent developments in the aviation industry—
(13) Regulations.— The Administrator shall prescribe such regulations as may be necessary—
(A) to protect—
(14) Special rules with respect to certain pilots.—
(i) FAA Pilot Records Database.—
(2) Pilot records database.— Not later than , the Administrator shall establish and make available for use an electronic database (in this subsection referred to as the “database”) containing the following records:
(A) FAA records.— From the Administrator—
(B) Air carrier and other records.— From any air carrier or other person (except a branch of the Armed Forces, the National Guard, or a reserve component of the Armed Forces) that has employed an individual as a pilot of a civil or public aircraft, or from the trustee in bankruptcy for the air carrier or person—
(i) records pertaining to the individual that are maintained by the air carrier (other than records relating to flight time, duty time, or rest time) or person, including records under regulations set forth in—
(ii) other records pertaining to the individual’s performance as a pilot that are maintained by the air carrier or person concerning—
(3) Written consent; release from liability.— An air carrier—
(4) Reporting.—
(B) Reporting by air carriers and other persons.—
(ii) Data to be reported.— Air carriers and other persons shall report, at a minimum, under clause (i) the following data described in paragraph (2)(B):
(5) Requirement to maintain records.— The Administrator—
(7) Right of pilot to review certain records and correct inaccuracies.— Notwithstanding any other provision of law or agreement, the Administrator, upon receipt of written request from an individual—
(8) Reasonable charges for processing requests and furnishing copies.—
(B) Crediting appropriations.— Funds received by the Administrator pursuant to this paragraph shall—
(9) Privacy protections.—
(B) Disclosure of information.—
(ii) Exceptions.— Clause (i) shall not apply to—
(10) Periodic review.— Not later than 18 months after the date of enactment of this paragraph, and at least once every 3 years thereafter, the Administrator shall transmit to Congress a statement that contains, taking into account recent developments in the aviation industry—
(11) Regulations for protection and security of records.— The Administrator shall prescribe such regulations as may be necessary—
(A) to protect and secure—
(12) Good faith exception.— Notwithstanding paragraph (1), an air carrier may allow an individual to begin service as a pilot, without first obtaining information described in paragraph (2)(B) from the database pertaining to the individual, if—
(13) Limitations on electronic access to records.—
(B) Terms.— The terms established by the Administrator under subparagraph (A) for allowing a designated individual to have electronic access to the database shall limit such access to instances in which information in the database is required by the designated individual in making a hiring decision concerning a pilot applicant and shall require that the designated individual provide assurances satisfactory to the Administrator that—
(15) Regulations.—
(C) Exceptions.— Notwithstanding subparagraph (B)—
(j) Limitations on Liability; Preemption of State Law.—
(1) Limitation on liability.— No action or proceeding may be brought by or on behalf of an individual who has applied for or is seeking a position with an air carrier as a pilot and who has signed a release from liability, as provided for under subsection (h)(2) or (i)(3), against—
in the nature of an action for defamation, invasion of privacy, negligence, interference with contract, or otherwise, or under any Federal or State law with respect to the furnishing or use of such records in accordance with subsection (h) or (i).
(3) Provision of knowingly false information.— Paragraphs (1) and (2) shall not apply with respect to a person who furnishes information in response to a request made under subsection (h)(1) or who furnished information to the database established under subsection (i)(2), that—
(4) Prohibition on actions and proceedings against air carriers.—
(Pub. L. 103–272, § 1(e), , 108 Stat. 1186; Pub. L. 106–181, title VII, § 715, , 114 Stat. 162; Pub. L. 107–71, title I, §§ 129, 138(b), 140(a), , 115 Stat. 633, 640, 641; Pub. L. 111–216, title II, § 203, , 124 Stat. 2352; Pub. L. 111–249, § 6(3), (4), , 124 Stat. 2629; Pub. L. 112–95, title III, §§ 301(a), 310(c), , 126 Stat. 56, 65; Pub. L. 112–153, § 2(c)(1), , 126 Stat. 1160; Pub. L. 114–125, title VIII, § 802(d)(2), , 130 Stat. 210; Pub. L. 114–190, title II, § 2101, , 130 Stat. 619.)
| Historical and Revision Notes | ||
|---|---|---|
| Revised Section | Source (U.S. Code) | Source (Statutes at Large) |
| 44703(a) | 49 App.:1422(b)(1) (1st sentence, 2d sentence words before 6th comma). | Aug. 23, 1958, Pub. L. 85–726, § 602(b)(1), 72 Stat. 776; Oct. 19, 1984, Pub. L. 98–499, § 3, 98 Stat. 2313; Aug. 26, 1992, Pub. L. 102–345, § 4, 106 Stat. 926. |
| 49 App.:1655(c)(1). | Oct. 15, 1966, Pub. L. 89–670, § 6(c)(1), 80 Stat. 938; Jan. 12, 1983, Pub. L. 97–449, § 7(b), 96 Stat. 2444. | |
| 44703(b) | 49 App.:1422(a) (11th–last words). | Aug. 23, 1958, Pub. L. 85–726, § 602(a) (9th–last words), (c), 72 Stat. 776. |
| 49 App.:1422(b)(1) (2d sentence words after 6th comma), (c). | ||
| 49 App.:1655(c)(1). | ||
| 44703(c)(1) | 49 App.:1422(b)(1) (3d sentence). | |
| 44703(c)(2) | 49 App.:1422(b)(1) (4th, 5th sentences, last sentence words before proviso). | |
| 49 App.:1655(c)(1). | ||
| 44703(d) | 49 App.:1422(b)(1) (last sentence proviso). | |
| 49 App.:1655(c)(1). | ||
| 44703(e) | 49 App.:1422(b)(2)(A), (B). | Aug. 23, 1958, Pub. L. 85–726, 72 Stat. 731, § 602(b)(2)(A), (B); added Oct. 19, 1984, Pub. L. 98–499, § 3, 98 Stat. 2313; restated Nov. 18, 1988, Pub. L. 100–690, § 7204(a), 102 Stat. 4425. |
| 44703(f)(1) | 49 App.:1422(d). | Aug. 23, 1958, Pub. L. 85–726, 72 Stat. 731, § 602(d); added Nov. 18, 1988, Pub. L. 100–690, § 7205(a), 102 Stat. 4426. |
| 44703(f)(2) | 49 App.:1401 (note). | Nov. 18, 1988, Pub. L. 100–690, § 7207(a) (1st sentence), (b), 102 Stat. 4427. |
In subsections (a)–(d), the word “Administrator” in section 602(a), (b)(1), and (c) of the Federal Aviation Act of 1958 (Public Law 85–726, 72 Stat. 776) is retained on authority of 49:106(g).
In subsection (a), the text of 49 App.:1422(b) (1st sentence) is omitted as surplus. The words “is qualified” are substituted for “possesses proper qualifications” to eliminate unnecessary words. The words “to be authorized by the certificate” are substituted for “for which the airman certificate is sought” for clarity.
In subsection (b)(1)(C), the words “conditions, and limitations” are omitted as being included in “terms”.
In subsection (b)(1)(E), the word “designate” is substituted for “be entitled with the designation of” to eliminate unnecessary words.
In subsection (c)(1), before clause (A), the words “may appeal . . . to” are substituted for “may file with . . . a petition for review of the Secretary of Transportation’s action” for consistency with section 1109 of the revised title. The words “the individual holds a certificate that” are substituted for “persons whose certificates” for clarity.
In subsection (c)(2), the words “conduct a hearing on the appeal” are substituted for “thereupon assign such petition for hearing” for consistency. The words “In the conduct of such hearing and in determining whether the airman meets the pertinent rules, regulations, or standards” are omitted as surplus. The word “Administrator” is substituted for “Federal Aviation Administration” because of 49:106(b) and (g). The words “meets the applicable regulations” are substituted for “meets the pertinent rules, regulations” because “rules” and “regulations” are synonymous and for consistency in the revised title.
In subsection (d), before clause (1), the words “in his discretion” are omitted as surplus. In clause (2), the words “the terms of” and “entered into” are omitted as surplus. The words “government of a foreign country” are substituted for “foreign governments” for consistency in the revised title and with other titles of the United States Code.
In subsection (f)(1), before clause (A), the words “established under this chapter” and “to pilots” are omitted as surplus.
In subsection (f)(2), the words “Not later than ” and “final” are omitted as obsolete. The words “Administrator of Drug Enforcement” are substituted for “Drug Enforcement Administration of the Department of Justice” because of section 5(a) of Reorganization Plan No. 2 of 1973 (eff. , 87 Stat. 1092). The words “Commissioner of Customs” are substituted for “United States Customs Service” because of 19:2071.
The date of the enactment of the Wendell H. Ford Aviation Investment and Reform Act for the 21st Century, referred to in subsec. (c)(1), (3), is the date of enactment of Pub. L. 106–181, which was approved .
The date of the enactment of the Pilot Records Improvement Act of 1996, referred to in subsec. (h)(12), is the date of enactment of Pub. L. 104–264, which was approved .
The date of enactment of this paragraph, referred to in subsec. (i)(4)(B)(ii), (10), (15)(C), is the date of enactment of Pub. L. 111–216, which was approved .
The text of section 44936(f) to (h) of this title, which was transferred to the end of this section, redesignated as subsecs. (h) to (j), respectively, and amended by Pub. L. 107–71, §§ 138(b), 140(a), was based on Pub. L. 104–264, title V, § 502(a), , 110 Stat. 3259; amended Pub. L. 105–102, § 2(25), , 111 Stat. 2205; Pub. L. 105–142, § 1, , 111 Stat. 2650; Pub. L. 106–181, title V, § 508(b), , 114 Stat. 140.
2016—Subsec. (i)(2). Pub. L. 114–190 substituted “Not later than , the Administrator shall establish and make available for use” for “The Administrator shall establish”.
2012—Subsec. (d)(2). Pub. L. 112–153 struck out “but is bound by all validly adopted interpretations of laws and regulations the Administrator carries out unless the Board finds an interpretation is arbitrary, capricious, or otherwise not according to law” after “Federal Aviation Administration”.
Subsec. (d)(3). Pub. L. 112–95, § 301(a), added par. (3).
Subsec. (i)(9)(B)(i). Pub. L. 112–95, § 310(c), substituted “section 552(b)(3)(B) of title 5” for “section 552 of title 5”.
2010—Subsec. (h)(16). Pub. L. 111–216, § 203(a), added par. (16).
Subsec. (i). Pub. L. 111–216, § 203(b)(2), added subsec. (i). Former subsec. (i) redesignated (j).
Subsec. (j). Pub. L. 111–216, § 203(c)(1)(A), as amended by Pub. L. 111–249, § 6(3), substituted “Limitations” for “Limitation” in heading.
Pub. L. 111–216, § 203(b)(1), redesignated subsec. (i) as (j). Former subsec. (j) redesignated (k).
Subsec. (j)(1). Pub. L. 111–216, § 203(c)(1)(B)(i), (iii), as amended by Pub. L. 111–249, § 6(3), substituted “subsection (h)(2) or (i)(3)” for “paragraph (2)” in introductory provisions and “subsection (h) or (i)” for “subsection (h)” in concluding provisions.
Subsec. (j)(1)(A). Pub. L. 111–216, § 203(c)(1)(B)(ii), as amended by Pub. L. 111–249, § 6(3), inserted “or accessing the records of that individual under subsection (i)(1)” before semicolon.
Subsec. (j)(2). Pub. L. 111–216, § 203(c)(1)(C), as amended by Pub. L. 111–249, § 6(3), substituted “subsection (h) or (i)” for “subsection (h)”.
Subsec. (j)(3). Pub. L. 111–216, § 203(c)(1)(D), as amended by Pub. L. 111–249, § 6(3), inserted “or who furnished information to the database established under subsection (i)(2)” after “subsection (h)(1)” in introductory provisions.
Subsec. (j)(4). Pub. L. 111–216, § 203(c)(1)(E), as amended by Pub. L. 111–249, § 6(3), added par. (4).
Subsec. (k). Pub. L. 111–216, § 203(c)(2), as amended by Pub. L. 111–249, § 6(4), substituted “subsection (h) or (i)” for “subsection (h)”.
Pub. L. 111–216, § 203(b)(1), redesignated subsec. (j) as (k).
2001—Subsec. (g)(1). Pub. L. 107–71, § 129(1), in first sentence, substituted “needs of airmen” for “needs of pilots” and inserted “and related to combating acts of terrorism” before period at end.
Subsec. (g)(3), (4). Pub. L. 107–71, § 129(2), added pars. (3) and (4).
Subsecs. (h) to (j). Pub. L. 107–71, §§ 138(b), 140(a), amended section identically, redesignating subsecs. (f) to (h) of section 44936 of this title as subsecs. (h) to (j), respectively, of this section, and substituting “subsection (h)” for “subsection (f)” wherever appearing in subsecs. (i) and (j). See Codification note above.
2000—Subsecs. (c) to (g). Pub. L. 106–181 added subsec. (c) and redesignated former subsecs. (c) to (f) as (d) to (g), respectively.
“Commissioner of U.S. Customs and Border Protection” substituted for “Commissioner of Customs” in subsec. (g)(2) on authority of section 802(d)(2) of Pub. L. 114–125, set out as a note under section 211 of Title 6, Domestic Security.
Pub. L. 111–249, § 6, , 124 Stat. 2628, provided that the amendments made by section 6 of Pub. L. 111–249 are effective as of , and as if included in Pub. L. 111–216 as enacted.
Amendment by Pub. L. 106–181 applicable only to fiscal years beginning after , see section 3 of Pub. L. 106–181, set out as a note under section 106 of this title.
For transfer of functions, personnel, assets, and liabilities of the United States Customs Service of the Department of the Treasury, including functions of the Secretary of the Treasury relating thereto, to the Secretary of Homeland Security, and for treatment of related references, see sections 203(1), 551(d), 552(d), and 557 of Title 6, Domestic Security, and the Department of Homeland Security Reorganization Plan of , as modified, set out as a note under section 542 of Title 6. For establishment of U.S. Customs and Border Protection in the Department of Homeland Security, treated as if included in Pub. L. 107–296 as of , see section 211 of Title 6, as amended generally by Pub. L. 114–125, and section 802(b) of Pub. L. 114–125, set out as a note under section 211 of Title 6.
General references to “this title” deemed to refer also to chapters 509 and 511 of Title 51, National and Commercial Space Programs, see section 4(d)(8) of Pub. L. 111–314, set out as a note under section 101 of this title.
Pub. L. 114–190, title II, § 2307, , 130 Stat. 641, provided that:
“(a) In General.— Not later than 180 days after the date of enactment of this Act [], the Administrator of the Federal Aviation Administration shall issue or revise regulations to ensure that an individual may operate as pilot in command of a covered aircraft if—
- “(1) the individual possesses a valid driver’s license issued by a State, territory, or possession of the United States and complies with all medical requirements or restrictions associated with that license;
- “(2) the individual holds a medical certificate issued by the Federal Aviation Administration on the date of enactment of this Act, held such a certificate at any point during the 10-year period preceding such date of enactment, or obtains such a certificate after such date of enactment;
“(3) the most recent medical certificate issued by the Federal Aviation Administration to the individual—
- “(A) indicates whether the certificate is first, second, or third class;
- “(B) may include authorization for special issuance;
- “(C) may be expired;
- “(D) cannot have been revoked or suspended; and
- “(E) cannot have been withdrawn;
- “(4) the most recent application for airman medical certification submitted to the Federal Aviation Administration by the individual cannot have been completed and denied;
- “(5) the individual has completed a medical education course described in subsection (c) during the 24 calendar months before acting as pilot in command of a covered aircraft and demonstrates proof of completion of the course;
- “(6) the individual, when serving as a pilot in command, is under the care and treatment of a physician if the individual has been diagnosed with any medical condition that may impact the ability of the individual to fly;
“(7) the individual has received a comprehensive medical examination from a State-licensed physician during the previous 48 months and—
“(A) prior to the examination, the individual—
- “(i) completed the individual’s section of the checklist described in subsection (b); and
- “(ii) provided the completed checklist to the physician performing the examination; and
- “(B) the physician conducted the comprehensive medical examination in accordance with the checklist described in subsection (b), checking each item specified during the examination and addressing, as medically appropriate, every medical condition listed, and any medications the individual is taking; and
“(8) the individual is operating in accordance with the following conditions:
- “(A) The covered aircraft is carrying not more than 5 passengers.
- “(B) The individual is operating the covered aircraft under visual flight rules or instrument flight rules.
“(C) The flight, including each portion of that flight, is not carried out—
- “(i) for compensation or hire, including that no passenger or property on the flight is being carried for compensation or hire;
- “(ii) at an altitude that is more than 18,000 feet above mean sea level;
- “(iii) outside the United States, unless authorized by the country in which the flight is conducted; or
- “(iv) at an indicated air speed exceeding 250 knots.
“(b) Comprehensive Medical Examination.—
- “(1) In general.— Not later than 180 days after the date of enactment of this Act [], the Administrator shall develop a checklist for an individual to complete and provide to the physician performing the comprehensive medical examination required in subsection (a)(7).
“(2) Requirements.— The checklist shall contain—
“(A) a section, for the individual to complete that contains—
- “(i) boxes 3 through 13 and boxes 16 through 19 of the Federal Aviation Administration Form 8500–8 (3–99); and
“(ii) a signature line for the individual to affirm that—
- “(I) the answers provided by the individual on that checklist, including the individual’s answers regarding medical history, are true and complete;
- “(II) the individual understands that he or she is prohibited under Federal Aviation Administration regulations from acting as pilot in command, or any other capacity as a required flight crew member, if he or she knows or has reason to know of any medical deficiency or medically disqualifying condition that would make the individual unable to operate the aircraft in a safe manner; and
- “(III) the individual is aware of the regulations pertaining to the prohibition on operations during medical deficiency and has no medically disqualifying conditions in accordance with applicable law;
- “(B) a section with instructions for the individual to provide the completed checklist to the physician performing the comprehensive medical examination required in subsection (a)(7); and
“(C) a section, for the physician to complete, that instructs the physician—
“(i) to perform a clinical examination of—
- “(I) head, face, neck, and scalp;
- “(II) nose, sinuses, mouth, and throat;
- “(III) ears, general (internal and external canals), and eardrums (perforation);
- “(IV) eyes (general), ophthalmoscopic, pupils (equality and reaction), and ocular motility (associated parallel movement, nystagmus);
- “(V) lungs and chest (not including breast examination);
- “(VI) heart (precordial activity, rhythm, sounds, and murmurs);
- “(VII) vascular system (pulse, amplitude, and character, and arms, legs, and others);
- “(VIII) abdomen and viscera (including hernia);
- “(IX) anus (not including digital examination);
- “(X) skin;
- “(XI) G–U system (not including pelvic examination);
- “(XII) upper and lower extremities (strength and range of motion);
- “(XIII) spine and other musculoskeletal;
- “(XIV) identifying body marks, scars, and tattoos (size and location);
- “(XV) lymphatics;
- “(XVI) neurologic (tendon reflexes, equilibrium, senses, cranial nerves, and coordination, etc.);
- “(XVII) psychiatric (appearance, behavior, mood, communication, and memory);
- “(XVIII) general systemic;
- “(XIX) hearing;
- “(XX) vision (distant, near, and intermediate vision, field of vision, color vision, and ocular alignment);
- “(XXI) blood pressure and pulse; and
- “(XXII) anything else the physician, in his or her medical judgment, considers necessary;
- “(ii) to exercise medical discretion to address, as medically appropriate, any medical conditions identified, and to exercise medical discretion in determining whether any medical tests are warranted as part of the comprehensive medical examination;
- “(iii) to discuss all drugs the individual reports taking (prescription and nonprescription) and their potential to interfere with the safe operation of an aircraft or motor vehicle;
- “(iv) to sign the checklist, stating: ‘I certify that I discussed all items on this checklist with the individual during my examination, discussed any medications the individual is taking that could interfere with their ability to safely operate an aircraft or motor vehicle, and performed an examination that included all of the items on this checklist. I certify that I am not aware of any medical condition that, as presently treated, could interfere with the individual’s ability to safely operate an aircraft.’; and
- “(v) to provide the date the comprehensive medical examination was completed, and the physician’s full name, address, telephone number, and State medical license number.
- “(3) Logbook.— The completed checklist shall be retained in the individual’s logbook and made available on request.
“(c) Medical Education Course Requirements.— The medical education course described in this subsection shall—
- “(1) be available on the Internet free of charge;
- “(2) be developed and periodically updated in coordination with representatives of relevant nonprofit and not-for-profit general aviation stakeholder groups;
- “(3) educate pilots on conducting medical self-assessments;
- “(4) advise pilots on identifying warning signs of potential serious medical conditions;
- “(5) identify risk mitigation strategies for medical conditions;
- “(6) increase awareness of the impacts of potentially impairing over-the-counter and prescription drug medications;
- “(7) encourage regular medical examinations and consultations with primary care physicians;
- “(8) inform pilots of the regulations pertaining to the prohibition on operations during medical deficiency and medically disqualifying conditions;
- “(9) provide the checklist developed by the Federal Aviation Administration in accordance with subsection (b); and
“(10) upon successful completion of the course, electronically provide to the individual and transmit to the Federal Aviation Administration—
- “(A) a certification of completion of the medical education course, which shall be printed and retained in the individual’s logbook and made available upon request, and shall contain the individual’s name, address, and airman certificate number;
- “(B) subject to subsection (d), a release authorizing the National Driver Register through a designated State Department of Motor Vehicles to furnish to the Federal Aviation Administration information pertaining to the individual’s driving record;
- “(C) a certification by the individual that the individual is under the care and treatment of a physician if the individual has been diagnosed with any medical condition that may impact the ability of the individual to fly, as required under subsection (a)(6);
“(D) a form that includes—
- “(i) the name, address, telephone number, and airman certificate number of the individual;
- “(ii) the name, address, telephone number, and State medical license number of the physician performing the comprehensive medical examination required in subsection (a)(7);
- “(iii) the date of the comprehensive medical examination required in subsection (a)(7); and
- “(iv) a certification by the individual that the checklist described in subsection (b) was followed and signed by the physician in the comprehensive medical examination required in subsection (a)(7); and
- “(E) a statement, which shall be printed, and signed by the individual certifying that the individual understands the existing prohibition on operations during medical deficiency by stating: ‘I understand that I cannot act as pilot in command, or any other capacity as a required flight crew member, if I know or have reason to know of any medical condition that would make me unable to operate the aircraft in a safe manner.’.
- “(d) National Driver Register.— The authorization under subsection (c)(10)(B) shall be an authorization for a single access to the information contained in the National Driver Register.
“(e) Special Issuance Process.—
“(1) In general.— An individual who has qualified for the third-class medical certificate exemption under subsection (a) and is seeking to serve as a pilot in command of a covered aircraft shall be required to have completed the process for obtaining an Authorization for Special Issuance of a Medical Certificate for each of the following:
“(A) A mental health disorder, limited to an established medical history or clinical diagnosis of—
- “(i) personality disorder that is severe enough to have repeatedly manifested itself by overt acts;
“(ii) psychosis, defined as a case in which an individual—
- “(I) has manifested delusions, hallucinations, grossly bizarre or disorganized behavior, or other commonly accepted symptoms of psychosis; or
- “(II) may reasonably be expected to manifest delusions, hallucinations, grossly bizarre or disorganized behavior, or other commonly accepted symptoms of psychosis;
- “(iii) bipolar disorder; or
- “(iv) substance dependence within the previous 2 years, as defined in section 67.307(a)(4) of title 14, Code of Federal Regulations.
“(B) A neurological disorder, limited to an established medical history or clinical diagnosis of any of the following:
- “(i) Epilepsy.
- “(ii) Disturbance of consciousness without satisfactory medical explanation of the cause.
- “(iii) A transient loss of control of nervous system functions without satisfactory medical explanation of the cause.
“(C) A cardiovascular condition, limited to a one-time special issuance for each diagnosis of the following:
- “(i) Myocardial infraction [sic].
- “(ii) Coronary heart disease that has required treatment.
- “(iii) Cardiac valve replacement.
- “(iv) Heart replacement.
- “(2) Special rule for cardiovascular conditions.— In the case of an individual with a cardiovascular condition, the process for obtaining an Authorization for Special Issuance of a Medical Certificate shall be satisfied with the successful completion of an appropriate clinical evaluation without a mandatory wait period.
“(3) Special rule for mental health conditions.—
“(A) In general.— In the case of an individual with a clinically diagnosed mental health condition, the third-class medical certificate exemption under subsection (a) shall not apply if—
“(i) in the judgment of the individual’s State-licensed medical specialist, the condition—
- “(I) renders the individual unable to safely perform the duties or exercise the airman privileges described in subsection (a)(8); or
- “(II) may reasonably be expected to make the individual unable to perform the duties or exercise the privileges described in subsection (a)(8); or
- “(ii) the individual’s driver’s license is revoked by the issuing agency as a result of a clinically diagnosed mental health condition.
- “(B) Certification.— Subject to subparagraph (A), an individual clinically diagnosed with a mental health condition shall certify every 2 years, in conjunction with the certification under subsection (c)(10)(C), that the individual is under the care of a State-licensed medical specialist for that mental health condition.
“(4) Special rule for neurological conditions.—
“(A) In general.— In the case of an individual with a clinically diagnosed neurological condition, the third-class medical certificate exemption under subsection (a) shall not apply if—
“(i) in the judgment of the individual’s State-licensed medical specialist, the condition—
- “(I) renders the individual unable to safely perform the duties or exercise the airman privileges described in subsection (a)(8); or
- “(II) may reasonably be expected to make the individual unable to perform the duties or exercise the privileges described in subsection (a)(8); or
- “(ii) the individual’s driver’s license is revoked by the issuing agency as a result of a clinically diagnosed neurological condition.
- “(B) Certification.— Subject to subparagraph (A), an individual clinically diagnosed with a neurological condition shall certify every 2 years, in conjunction with the certification under subsection (c)(10)(C), that the individual is under the care of a State-licensed medical specialist for that neurological condition.
“(f) Identification of Additional Medical Conditions for CACI Program.—
- “(1) In general.— Not later than 180 days after the date of enactment of this Act [], the Administrator shall review and identify additional medical conditions that could be added to the program known as the Conditions AMEs Can Issue (CACI) program.
- “(2) Consultations.— In carrying out paragraph (1), the Administrator shall consult with aviation, medical, and union stakeholders.
- “(3) Report required.— Not later than 180 days after the date of enactment of this Act, the Administrator shall submit to the appropriate committees of Congress [Committee on Commerce, Science, and Transportation of the Senate and Committee on Transportation and Infrastructure of the House of Representatives] a report listing the medical conditions that have been added to the CACI program under paragraph (1).
“(g) Expedited Authorization for Special Issuance of a Medical Certificate.—
- “(1) In general.— The Administrator shall implement procedures to expedite the process for obtaining an Authorization for Special Issuance of a Medical Certificate under section 67.401 of title 14, Code of Federal Regulations.
- “(2) Consultations.— In carrying out paragraph (1), the Administrator shall consult with aviation, medical, and union stakeholders.
- “(3) Report required.— Not later than 1 year after the date of enactment of this Act, the Administrator shall submit to the appropriate committees of Congress a report describing how the procedures implemented under paragraph (1) will streamline the process for obtaining an Authorization for Special Issuance of a Medical Certificate and reduce the amount of time needed to review and decide special issuance cases.
- “(h) Report Required.— Not later than 5 years after the date of enactment of this Act, the Administrator, in coordination with the National Transportation Safety Board, shall submit to the appropriate committees of Congress a report that describes the effect of the regulations issued or revised under subsection (a) and includes statistics with respect to changes in small aircraft activity and safety incidents.
- “(i) Prohibition on Enforcement Actions.— Beginning on the date that is 1 year after the date of enactment of this Act, the Administrator may not take an enforcement action for not holding a valid third-class medical certificate against a pilot of a covered aircraft for a flight if the pilot and the flight meet, through a good faith effort, the applicable requirements under subsection (a), except paragraph (5) of that subsection, unless the Administrator has published final regulations in the Federal Register under that subsection.
“(j) Covered Aircraft Defined.— In this section, the term ‘covered aircraft’ means an aircraft that—
- “(1) is authorized under Federal law to carry not more than 6 occupants; and
- “(2) has a maximum certificated takeoff weight of not more than 6,000 pounds.
- “(k) Operations Covered.— The provisions and requirements covered in this section do not apply to pilots who elect to operate under the medical requirements under subsection (b) or subsection (c) of section 61.23 of title 14, Code of Federal Regulations.
“(l) Authority To Require Additional Information.—
- “(1) In general.— If the Administrator receives credible or urgent information, including from the National Driver Register or the Administrator’s Safety Hotline, that reflects on an individual’s ability to safely operate a covered aircraft under the third-class medical certificate exemption in subsection (a), the Administrator may require the individual to provide additional information or history so that the Administrator may determine whether the individual is safe to continue operating a covered aircraft.
- “(2) Use of information.— The Administrator may use credible or urgent information received under paragraph (1) to request an individual to provide additional information or to take actions under section 44709(b) of title 49, United States Code.”
Pub. L. 112–153, § 2, , 126 Stat. 1159, provided that:
- “(a) In General.— Any proceeding conducted under subpart C, D, or F of part 821 of title 49, Code of Federal Regulations, relating to denial, amendment, modification, suspension, or revocation of an airman certificate, shall be conducted, to the extent practicable, in accordance with the Federal Rules of Civil Procedure [28 U.S.C. App.] and the Federal Rules of Evidence [28 U.S.C. App.].
“(b) Access to Information.—
- “(1) In general.— Except as provided under paragraph (3), the Administrator of the Federal Aviation Administration (referred to in this section as the ‘Administrator’) shall provide timely, written notification to an individual who is the subject of an investigation relating to the approval, denial, suspension, modification, or revocation of an airman certificate under chapter 447 of title 49, United States Code.
“(2) Information required.— The notification required under paragraph (1) shall inform the individual—
- “(A) of the nature of the investigation;
- “(B) that an oral or written response to a Letter of Investigation from the Administrator is not required;
- “(C) that no action or adverse inference can be taken against the individual for declining to respond to a Letter of Investigation from the Administrator;
- “(D) that any response to a Letter of Investigation from the Administrator or to an inquiry made by a representative of the Administrator by the individual may be used as evidence against the individual;
- “(E) that the releasable portions of the Administrator’s investigative report will be available to the individual; and
- “(F) that the individual is entitled to access or otherwise obtain air traffic data described in paragraph (4).
- “(3) Exception.— The Administrator may delay timely notification under paragraph (1) if the Administrator determines that such notification may threaten the integrity of the investigation.
“(4) Access to air traffic data.—
- “(A) FAA air traffic data.— The Administrator shall provide an individual described in paragraph (1) with timely access to any air traffic data in the possession of the Federal Aviation Administration that would facilitate the individual’s ability to productively participate in a proceeding relating to an investigation described in such paragraph.
“(B) Air traffic data defined.— As used in subparagraph (A), the term ‘air traffic data’ includes—
- “(i) relevant air traffic communication tapes;
- “(ii) radar information;
- “(iii) air traffic controller statements;
- “(iv) flight data;
- “(v) investigative reports; and
- “(vi) any other air traffic or flight data in the Federal Aviation Administration’s possession that would facilitate the individual’s ability to productively participate in the proceeding.
“(C) Government contractor air traffic data.—
- “(i) In general.— Any individual described in paragraph (1) is entitled to obtain any air traffic data that would facilitate the individual’s ability to productively participate in a proceeding relating to an investigation described in such paragraph from a government contractor that provides operational services to the Federal Aviation Administration, including control towers and flight service stations.
“(ii) Required information from individual.— The individual may obtain the information described in clause (i) by submitting a request to the Administrator that—
- “(I) describes the facility at which such information is located; and
- “(II) identifies the date on which such information was generated.
“(iii) Provision of information to individual.— If the Administrator receives a request under this subparagraph, the Administrator shall—
- “(I) request the contractor to provide the requested information; and
- “(II) upon receiving such information, transmitting the information to the requesting individual in a timely manner.
- “(5) Timing.— Except when the Administrator determines that an emergency exists under section 44709(c)(2) [probably should be 44709(e)(2)] or 46105(c) [of title 49, United States Code], the Administrator may not proceed against an individual that is the subject of an investigation described in paragraph (1) during the 30-day period beginning on the date on which the air traffic data required under paragraph (4) is made available to the individual.
“(c) Amendments to Title 49.—
- “(1) Airman certificates.— [Amended this section.]
- “(2) Amendments, modifications, suspensions, and revocations of certificates.— [Amended section 44709 of this title.]
- “(3) Revocation of airman certificates for controlled substance violations.— [Amended section 44710 of this title.]
“(d) Appeal From Certificate Actions.—
- “(1) In general.— Upon a decision by the National Transportation Safety Board upholding an order or a final decision by the Administrator denying an airman certificate under section 44703(d) of title 49, United States Code, or imposing a punitive civil action or an emergency order of revocation under subsections (d) and (e) of section 44709 of such title, an individual substantially affected by an order of the Board may, at the individual’s election, file an appeal in the United States district court in which the individual resides or in which the action in question occurred, or in the United States District Court for the District of Columbia. If the individual substantially affected by an order of the Board elects not to file an appeal in a United States district court, the individual may file an appeal in an appropriate United States court of appeals.
- “(2) Emergency order pending judicial review.— Subsequent to a decision by the Board to uphold an Administrator’s emergency order under section 44709(e)(2) of title 49, United States Code, and absent a stay of the enforcement of that order by the Board, the emergency order of amendment, modification, suspension, or revocation of a certificate shall remain in effect, pending the exhaustion of an appeal to a Federal district court as provided in this Act [amending this section and sections 44709 and 44710 of this title and enacting provisions set out as notes under this section and sections 40101 and 44701 of this title].
“(e) Standard of Review.—
- “(1) In general.— In an appeal filed under subsection (d) in a United States district court, the district court shall give full independent review of a denial, suspension, or revocation ordered by the Administrator, including substantive independent and expedited review of any decision by the Administrator to make such order effective immediately.
- “(2) Evidence.— A United States district court’s review under paragraph (1) shall include in evidence any record of the proceeding before the Administrator and any record of the proceeding before the National Transportation Safety Board, including hearing testimony, transcripts, exhibits, decisions, and briefs submitted by the parties.”
Pub. L. 112–153, § 4, , 126 Stat. 1162, provided that:
“(a) Assessment.—
- “(1) In general.— Not later than 180 days after the date of the enactment of this Act [], the Comptroller General of the United States shall initiate an assessment of the Federal Aviation Administration’s medical certification process and the associated medical standards and forms.
“(2) Report.— The Comptroller General shall submit a report to Congress based on the assessment required under paragraph (1) that examines—
- “(A) revisions to the medical application form that would provide greater clarity and guidance to applicants;
- “(B) the alignment of medical qualification policies with present-day qualified medical judgment and practices, as applied to an individual’s medically relevant circumstances; and
- “(C) steps that could be taken to promote the public’s understanding of the medical requirements that determine an airman’s medical certificate eligibility.
“(b) Goals of the Federal Aviation Administration’s Medical Certification Process.— The goals of the Federal Aviation Administration’s medical certification process are—
“(1) to provide questions in the medical application form that—
- “(A) are appropriate without being overly broad;
- “(B) are subject to a minimum amount of misinterpretation and mistaken responses;
- “(C) allow for consistent treatment and responses during the medical application process; and
- “(D) avoid unnecessary allegations that an individual has intentionally falsified answers on the form;
- “(2) to provide questions that elicit information that is relevant to making a determination of an individual’s medical qualifications within the standards identified in the Administrator’s regulations;
- “(3) to give medical standards greater meaning by ensuring the information requested aligns with present-day medical judgment and practices; and
“(4) to ensure that—
- “(A) the application of such medical standards provides an appropriate and fair evaluation of an individual’s qualifications; and
- “(B) the individual understands the basis for determining medical qualifications.
- “(c) Advice From Private Sector Groups.— The Administrator shall establish a panel, which shall be comprised of representatives of relevant nonprofit and not-for-profit general aviation pilot groups, aviation medical examiners, and other qualified medical experts, to advise the Administrator in carrying out the goals of the assessment required under this section.
- “(d) Federal Aviation Administration Response.— Not later than 1 year after the issuance of the report by the Comptroller General pursuant to subsection (a)(2), the Administrator shall take appropriate actions to respond to such report.”
Pub. L. 112–95, title III, § 321, , 126 Stat. 71, provided that:
- “(a) In General.— The Administrator of the Federal Aviation Administration shall issue improved pilot licenses consistent with requirements under this section.
“(b) Timing.— Not later than 270 days after the date of enactment of this Act [], the Administrator shall—
“(1) provide to the Committee on Transportation and Infrastructure of the House of Representatives and the Committee on Commerce, Science, and Transportation of the Senate a report containing—
- “(A) a timeline for the phased issuance of improved pilot licenses under this section that ensures all pilots are issued such licenses not later than 2 years after the initial issuance of such licenses under paragraph (2); and
- “(B) recommendations for the Federal installation of infrastructure necessary to take advantage of information contained on improved pilot licenses issued under this section, which identify the necessary infrastructure, indicate the Federal entity that should be responsible for installing, funding, and operating the infrastructure at airport sterile areas, and provide an estimate of the costs of the infrastructure; and
- “(2) begin to issue improved pilot licenses consistent with the requirements of title 49, United States Code, and title 14, Code of Federal Regulations.
“(c) Requirements.— Improved pilot licenses issued under this section shall—
- “(1) be resistant to tampering, alteration, and counterfeiting;
- “(2) include a photograph of the individual to whom the license is issued for identification purposes; and
“(3) be smart cards that—
- “(A) accommodate iris and fingerprint biometric identifiers; and
- “(B) are compliant with Federal Information Processing Standards-201 (FIPS–201) or Personal Identity Verification-Interoperability Standards (PIV–I) for processing through security checkpoints into airport sterile areas.
- “(d) Tampering.— To the extent practicable, the Administrator shall develop methods to determine or reveal whether any component or security feature of an improved pilot license issued under this section has been tampered with, altered, or counterfeited.
- “(e) Use of Designees.— The Administrator may use designees to carry out subsection (a) to the extent practicable in order to minimize the burdens on pilots.
“(f) Report to Congress.—
- “(1) In general.— Not later than 1 year after the date of enactment of this Act [], and annually thereafter, the Administrator shall submit to the Committee on Transportation and Infrastructure of the House of Representatives and the Committee on Commerce, Science, and Transportation of the Senate a report on the issuance of improved pilot licenses under this section.
- “(2) Expiration.— The Administrator shall not be required to submit annual reports under this subsection after the date on which the Administrator has issued improved pilot licenses under this section to all pilots.”
Pub. L. 108–458, title IV, § 4022, , 118 Stat. 3723, provided that:
- “(a) In General.— Not later than one year after the date of enactment of this Act [], the Administrator of the Federal Aviation Administration shall begin to issue improved pilot licenses consistent with the requirements of title 49, United States Code, and title 14, Code of Federal Regulations.
“(b) Requirements.— Improved pilots licenses issued under subsection (a) shall—
- “(1) be resistant to tampering, alteration, and counterfeiting;
- “(2) include a photograph of the individual to whom the license is issued; and
- “(3) be capable of accommodating a digital photograph, a biometric identifier, or any other unique identifier that the Administrator considers necessary.
- “(c) Tampering.— To the extent practical, the Administrator shall develop methods to determine or reveal whether any component or security feature of a license issued under subsection (a) has been tampered, altered, or counterfeited.
- “(d) Use of Designees.— The Administrator may use designees to carry out subsection (a) to the extent feasible in order to minimize the burdens on pilots.”
Pub. L. 106–424, § 14, , 114 Stat. 1888, provided that:
“In determining whether an individual meets the aeronautical experience requirements imposed under section 44703 of title 49, United States Code, for an airman certificate or rating, the Secretary of Transportation shall take into account any time spent by that individual operating a public aircraft as defined in section 40102 of title 49, United States Code, if that aircraft is—
- “(1) identifiable by category and class; and
- “(2) used in law enforcement activities.”