Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Command Airways, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Air North, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board

458 F.2d 846
CourtCourt of Appeals for the D.C. Circuit
DecidedApril 13, 1972
Docket24226
StatusPublished
Cited by8 cases

This text of 458 F.2d 846 (Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Command Airways, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Air North, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Command Airways, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board, Mohawk Airlines, Inc., and Air North, Inc., Intervenors. Air Line Pilots Association, International v. Civil Aeronautics Board, 458 F.2d 846 (D.C. Cir. 1972).

Opinion

458 F.2d 846

79 L.R.R.M. (BNA) 2241, 148 U.S.App.D.C. 24,
67 Lab.Cas. P 12,406

AIR LINE PILOTS ASSOCIATION, INTERNATIONAL, Petitioner,
v.
CIVIL AERONAUTICS BOARD, Respondent, Mohawk Airlines, Inc.,
and Command Airways, Inc., Intervenors.
AIR LINE PILOTS ASSOCIATION, INTERNATIONAL, Petitioner,
v.
CIVIL AERONAUTICS BOARD, Respondent, Mohawk Airlines, Inc.,
and Air North, Inc., Intervenors.
AIR LINE PILOTS ASSOCIATION, INTERNATIONAL, Petitioner,
v.
CIVIL AERONAUTICS BOARD, Respondent.

Nos. 24062, 24063, 24226.

United States Court of Appeals,
District of Columbia Circuit.

Argued Dec. 15, 1970.
Decided Jan. 14, 1972.
Respondent's Petition for Rehearing Denied March 22, 1972.
Intervenors' Petition for Rehearing Denied April 13, 1972.

Mr. Gary Green, Washington, D. C., for petitioner.

Mr. Robert L. Toomey, Atty., Civil Aeronautics Board, with whom Messrs. R. Tenney Johnson, Gen. Counsel, O. D. O

Mr. John H. Quinn, Jr., Washington, D. C., with whom Mr. Frank J. Costello, Washington, D. C., was on the brief, for intervenors in Nos. 24,062-3. Mr. Russell A. Garman, Jr., Washington, D. C., also entered an appearance for intervenors in Nos. 24,062-3.

Before FAHY, Senior Circuit Judge, and McGOWAN and ROBINSON, Circuit Judges.

McGOWAN, Circuit Judge:

These cases concern challenges by the Air Line Pilots Association (ALPA) to orders of the Civil Aeronautics Board (CAB) which authorize certain certificated carriers1 to suspend service at specified locations; approve agreements between those certificated carriers and certain non-certificated ("taxi" or "commuter") carriers2 by which the latter are to provide replacement service at those locations; and provide that the suspensions granted to the certificated carriers will terminate if the non-certificated carriers fail to provide specified levels of replacement service.3

Even were the challenged orders considered as immediately authorized by statutory provisions concerning suspension of service4 and approval of agreements among air carriers,5 their ultimate validity depends upon the relationship between the certification requirement and the Board's exemption authority. If it is not proper for non-certificated carriers to perform the replacement services contemplated by the Board's orders, then the suspensions granted to the certificated carriers are void on their own terms (since they are conditioned on performance of the replacement services), and the agreements between the certificated and non-certificated carriers should not have been approved.

Many of petitioner's arguments seem to be relevant only as a challenge to the entire scheme of non-certificated operations authorized by the Board's exemptive regulations. Such arguments, however, are more appropriately made (initially, at least) in a rule making forum. These cases do not require that we make a determination of such wide scope. We are concerned with the Board's exemption authority only as it relates to the three non-certificated carriers in these cases.

* We begin from the basic premise that an exemption granted pursuant to 49 U.S.C. Sec. 1386(b) (1)6 remains valid only so long as the statutory prerequisites for its grant-findings that certification would be an "undue burden" and "not in the public interest"-continue to be valid.7 The fact that Congress has established certification as the heart of the regulatory scheme requires that the words "to the extent necessary" in Section 1386(b)(1) be read as incorporating a temporal limitation on exemptions. Departure from the regulatory norm, in other words, is to be tolerated only so long as the circumstances warrant.8

Since an exemption under Section 1386(b)(1) is of limited duration, lapsing when the statutory prerequisites for its grant cease to exist, the Board's point that its orders "did not purport to alter or add to the existing exemption[s]" is not well taken. Assuming arguendo that the carriers had, prior to the Board's orders, been operating under valid exemptions, and granting that the orders did not alter or enlarge those exemptions, the exemptions may have nevertheless ceased to be valid by reason of changes in the carriers' operations occurring after the exemptions were granted.

The central issue presented by ALPA's challenge to the orders under review, then, is whether the non-certificated carriers can continue to operate under their preexisting exemptions, given the changes in their operations that are contemplated by the orders. We are unable to resolve that issue on the present record, however, because there are no findings by the Board as to whether the statutory prerequisites for exemption continue to exist.

The findings in the record are limited to the economics of service over the routes at issue. The Board's conclusion, as characterized in its brief, was that the certificated carriers' operations "are uneconomic and that commuter services will provide more flights at convenient times with resultant better service to the public." While such findings indicate the Board's belief that the replacement services will be in the public interest, they do not speak to the issue of the continuing validity of the exemptions.

If we are to determine whether the pre-existing exemptions remain valid subsequent to the Board's orders, we must have, instead of agency findings on the economics of service at the relevant locations, findings on the statutory issues of (1) whether certification would be an undue burden on the carriers, and (2) the public interest in certification in these circumstances, which is distinct from the public interest in having the services provided. Since there are no findings on these issues, we remand for hearing and determination with respect to them.

II

By remanding these cases, we do not require the Board to make findings as to the continued existence of the statutory prerequisites for exemption whenever a non-certificated carrier expands its operations, with or without the approval of the agency.9 It is clearly desirable that the Board be able to formulate general exemptive regulations which apply to a class of air carriers and authorize them to operate within certain limits. The alternative would be an administrative morass in that there would have to be a hearing every time an exempt carrier desired to provide service on a new route or increase service on an old one.

The spectre of administrative burdens, however, cannot be allowed to obscure the danger that an exemption granted under general regulations will shield carriers from certification long after the scale of their operations renders exemption inconsistent with the regulatory scheme. It is necessary, in short, to balance considerations of administrative efficiency against the requirements of an effective regulatory system.

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