Dube v. Pittsburgh Corning

870 F.2d 790
CourtCourt of Appeals for the First Circuit
DecidedMarch 27, 1989
DocketNos. 88-1679, 88-1740
StatusPublished
Cited by41 cases

This text of 870 F.2d 790 (Dube v. Pittsburgh Corning) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dube v. Pittsburgh Corning, 870 F.2d 790 (1st Cir. 1989).

Opinion

COFFIN, Circuit Judge.

These are consolidated appeals of four manufacturers of asbestos, following judgment for the government on appellants’ claims for contribution for asbestos-related damages arising from the Portsmouth Naval Shipyard (PNS) in Kittery, Maine. The trial court1 found that the government was negligent under Maine law in its operation of the shipyard, a government-owned facility. The court found that this negligence was the proximate cause of death of Joan Dube, the daughter of a shipyard worker, who had been exposed to asbestos fibers carried home on her father’s work clothes.2 However, on its reading of the case law concerning the discretionary function exception to the Federal Tort Claims Act (FTCA), 28 U.S.C. § 2680(a), the court de[792]*792termined that the government was immune from liability. We conclude that the exception is inapplicable on the record in this case, and reverse.

I. BACKGROUND

From age nine and until her marriage, from 1959 to 1973, Joan Dube was exposed to asbestos dust from her father’s work clothes. Throughout this period, her father worked at PNS as a pipe insulator and routinely handled asbestos products. Before her death in 1984 of mesothelioma, Joan Dube initiated an action against four asbestos manufacturers whose products were used at PNS. These claims were eventually settled for the amount of $512,-000.

The manufacturers — third party plaintiffs Raymark Industries, Inc., Owens-Illinois, Inc., Celotex Corp., and Eagle-Picher Industries, Inc. — brought contribution actions against the United States under the FTCA, 28 U.S.C. §§ 1346(b), 2671-2680. After a bench trial, the district court found the following:

-Joan Dube’s death resulted from her exposure to asbestos;
-the asbestos was produced by third party plaintiffs and used at PNS, where her father worked as a civilian for the United States Navy;
-the United States knew or should have known in October of 1964 that asbestos could cause mesothelioma in people like Joan Dube exposed in a domestic context; medical science cannot yet determine which exposures to asbestos over a period of time actually cause mesothelio-ma;
-the United States Navy and PNS had no policies or practice, prior to 1964 or thereafter through the period of Joan Dube’s exposure, either to warn of the dangers of asbestos exposure to workers’ family members, or to protect these “domestic bystanders”;
-the United States was negligent under Maine law for failing to warn, either directly or through workers, domestic bystanders of the dangers of asbestos exposure after it learned of those dangers in 1964; all of Joan Dube’s exposure, from 1959 to 1973, was the legal cause of her death;
-considering the respective degrees of fault and causation, the United States was responsible for one-third of Joan Dube’s damages.

None of these findings are challenged on appeal. Rather, the sole issue before us is whether the trial court properly applied the discretionary function exception of the FTCA. The United States conceded, and the court recognized, that the Navy had never adopted or considered a policy of warning domestic bystanders of asbestos hazards. Yet in the court’s view, since it could have considered and rejected a policy of warning or protecting domestic bystanders, its failure to warn cannot lead to liability under the discretionary function exception.3

The manufacturers press two arguments on appeal. First, they argue that the Supreme Court’s opinion in Berkovitz v. United States, — U.S. -, 108 S.Ct. 1954, 100 L.Ed.2d 531 (1988), handed down four days after the trial court’s disposition of this case, requires reversal based on Navy officials’ failure to comply with mandatory regulations. Second, they argue more generally that the Navy’s failure to warn domestic bystanders does not fall within the scope of discretionary activity to which the exception was meant to apply. We address these arguments in turn.

II. ALLEGED FAILURE TO COMPLY WITH MANDATORY REGULATIONS

In Berkovitz, the Court held that mandatory regulations can remove an official’s discretion, and thereby withdraw his conduct from the scope of the discretionary [793]*793function exception. At issue in that case was a government agency’s failure to determine that certain required tests for purity and safety of a polio vaccine had been satisfied before its release for public use. Because the applicable statutes and regulations left no room for the exercise of discretion by the government employees charged with their implementation, the Court concluded that the failure of agency personnel to assure compliance with the testing requirements before licensing the vaccine was actionable under the FTCA. The manufacturers point to two Navy regulations which they say remove the Navy’s discretion not to warn domestic bystanders.

A. Failure to Warn of a Known Hazard.

The manufacturers base their Berkovitz argument chiefly on one of the Navy’s regulations contained in the Department of Navy Safety Precautions for Shore Activities, NAVSO P-2455 (April 1965). Section 0103.4.b provides:

Warning Others. Each individual concerned shall warn others whom he believes to be endangered by known hazards or by failure to observe safety precautions.

The manufacturers argue that this mandatory regulation, when combined with the trial court’s finding that the Navy failed to warn either its workers or their families of the dangers of domestic exposure to asbestos, dictates reversal under Berkovitz. Although this argument is not without force, and is supported by PNS commanders’ testimony, we prefer not to rest our conclusion on it.

Reading the Safety Precautions for Shore Activities in their entirety, we think it is apparent that the quoted subsection outlines the responsibilities of on-site workers, as distinct from their supervisors.4 Section 0103.4 is titled “Operating Personnel,” and follows § 0103.1 directed to “Commanding Officers,” § 0103.2 directed to “Safety Officer,” and § 0103.3 directed to “Supervisory Personnel.” In this context, § 0103.4 appears directed at having on-site workers warn their fellow workers of dangerous conditions in the immediate work areas of which they have specific, actual knowledge. We do not disturb the trial court’s determination that, as a matter of Maine tort law, the Navy was properly charged with knowledge of the risk to domestic bystanders as of October 1964. Yet it would require a leap of logic to then attribute such constructive knowledge to on-site workers with no actual knowledge of the danger.5 Even if the Navy’s constructive knowledge of the risk to domestic bystanders could be imputed to workers, it would not advance the manufacturers’ case. Section 0103.4.b requires the person concerned to warn others “whom he believes to be endangered by known hazards.” Id. (emphasis added). That one believes another to be in danger means subjective, actual knowledge.

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Bluebook (online)
870 F.2d 790, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dube-v-pittsburgh-corning-ca1-1989.