Coniker v. State

181 Misc. 2d 801, 695 N.Y.S.2d 492, 1999 N.Y. Misc. LEXIS 385
CourtNew York Court of Claims
DecidedJuly 26, 1999
DocketClaim No. 86901
StatusPublished
Cited by4 cases

This text of 181 Misc. 2d 801 (Coniker v. State) is published on Counsel Stack Legal Research, covering New York Court of Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Coniker v. State, 181 Misc. 2d 801, 695 N.Y.S.2d 492, 1999 N.Y. Misc. LEXIS 385 (N.Y. Super. Ct. 1999).

Opinion

[802]*802OPINION OF THE COURT

Andrew P. O’Rourke, J.

Claimant alleges that she was injured in an automobile accident on State Route 94 in the Town of Blooming Grove on August 11, 1992 when her vehicle was caused to skid and hydroplane into the path of another vehicle, and that such was the result of the defendant’s negligence in the maintenance of the highway. The allegations of negligence center around the condition of the pavement, the adequacy of the traffic signs, the speed limit and the highway’s drainage.

Claimant had requested an order compelling disclosure and, at oral argument on March 30, 1999 and at a conference held on May 3, 1999, all of the issues raised by claimant’s application have been resolved except for the applicability of 23 USC § 409 to certain of claimant’s requests. That statute provides as follows: “Notwithstanding any other provision of law, reports, surveys, schedules, lists, or data compiled or collected for the purpose of identifying, evaluating, or planning the safety enhancement of potential accident sites, hazardous roadway conditions, or railway-highway crossings, pursuant to sections 130, 144, and 152 of this title or for the purpose of developing any highway safety construction improvement project which may be implemented utilizing Federal-aid highway funds shall not be subject to discovery or admitted into evidence in a Federal or State court proceeding or considered for other purposes in any action for damages arising from any occurrence at a location mentioned or addressed in such reports, surveys, schedules, lists, or data.” (Emphasis added.) Sections 130 and 144 relate to railway-highway crossings and bridge replacements, respectively, and are not relevant to this claim. Section 152 relates to highway safety improvements generally, and requires, as a condition of receiving Federal highway aid, that States “conduct and systematically maintain an engineering survey of all public roads to identify hazardous locations, sections, and elements * * * assign priorities for the correction of such locations, sections, and elements, and establish and implement a schedule of projects for their improvement.” (23 USC § 152 [a] [1].)

The disclosure demands at issue, as set forth in paragraphs “9” through “12” of claimant’s notice for discovery and inspection dated December 28, 1998, request:

[803]*803• legends keys and/or explanatory notations for the PIL1 printout;
• reports and/or documents reflecting safety evaluations which were performed by Department of Transportation (DOT) personnel responsible for reviewing the PIL printouts for the accident location for the period 1987 through August 11, 1992;
• documents reflecting accident studies or analysis for the accident location, including, but not limited to, investigation summaries and/or PIL investigation reports for the accident location for the period 1987 through August 11, 1992;
• documents reflecting the initial screening and/or evaluation of the PIL printouts which reflect or pertain to the DOT’s determinations as to which stretches of State highway to investigate within Region 8 for the period 1987 through August 11, 1992.

In support of its position that production of the subject materials is barred by Federal law, defendant submitted an affidavit from John E. Watson, the manager of accident surveillance activities in the Department of Transportation’s Safety Program Management Bureau (Bureau), the office that oversees the Highway Safety Improvement Program (HSIP) that addresses the requirements of 23 USC § 152. The activities of the Bureau involve the compilation and analysis of accident data with the goal of identifying and addressing problem locations— i.e., those locations with higher than typical accident rates — in order to evaluate the possible use of Federal highway safety funding. In connection with such analysis, the Bureau generates what is known as a “PIL list” for each region of the State which identifies those locations within the region most in need of attention. These lists constitute part of the State’s response to the Federal mandate, as reflected in 23 USC § 152 (a) (1), to “identify” hazardous locations and “assign priorities” for remediation.

In a subsequent affidavit submitted in response to claimant’s contention that the applicability of the Federal statute depends on whether Federal funds were actually utilized on a project arising out of the disputed material, Mr. Watson advised that the activities of the HSIP generally are supported by Federal [804]*804funds and suggested that inquiry into whether a particular project received such funding is misplaced. He attached a September 26, 1991 DOT memorandum stating that the State had obtained approval to fund the HSIP with Highway Planning and Research (HPR) funds, 85% of which were from the Federal Government and 15% from the State. The memorandum describes the HSIP activities that have been determined to be eligible for HPR funding include:

• accident data collection and analysis;
• highway safety investigations;
• safety evaluations (before/after studies);
• accident surveillance (including updating the IML);
• accident studies.

The memorandum contains instructions that when DOT employees are engaged in HSIP activities, their time sheets should reflect that fact so that appropriate Federal reimbursement can be received. A further 1991 memorandum identifies the goal of the HSIP as to “systematically identify and treat accident-prone locations and evaluate implemented safety improvements, thereby reducing the number and severity of accidents in a cost-effective manner.”2

The manifest congressional intent in enacting 23 USC § 409 was to “foster the free flow of safety-related information by precluding the possibility that such information later would be admissible in civil suits. The interest to be served by such legislation is to obtain information with regard to the safety of roadways free from the fear of future tort actions” (Perkins v Ohio Dept. of Transp., 65 Ohio App 3d 487, 500, 584 NE2d 794, 802; see also, Palacios v Louisiana & Delta R. R., 740 So 2d 95 [La]; Reichert v State, 694 So 2d 193 [La]). The statute has the dual effect of (1) facilitating candor in the evaluation of highway safety hazards, and (2) prohibiting Federally required recordkeeping from being used as a tool by civil litigants (see, Robertson v Union Pac. R. R. Co., 954 F2d 1433; Stephens v Town of Jonesboro, 642 So 2d 274 [La]). The amendment of the statute twice in this decade reflects an obvious congressional intent to strengthen the protection afforded to materials within its coverage.

[805]*805In response to cases such as Light v State of New York (149 Misc 2d 75), interpreting the original language of the statute precluding the admission of covered materials at trial to not bar pretrial disclosure, Congress added the prohibition against discovery that appears in the current version (Pub L 102-240, tit I, § 1035 [a], 105 US Stat 1978 [1991]). In 1995, in response to, inter alia, the decision in Weideman v Dixie Elec. Membership Corp.

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Related

Vega v. State
10 Misc. 3d 822 (New York State Court of Claims, 2005)
Guillen v. Pierce County
181 A.L.R. Fed. 741 (Washington Supreme Court, 2001)

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Bluebook (online)
181 Misc. 2d 801, 695 N.Y.S.2d 492, 1999 N.Y. Misc. LEXIS 385, Counsel Stack Legal Research, https://law.counselstack.com/opinion/coniker-v-state-nyclaimsct-1999.