Short Line, Inc. v. United States

290 F. Supp. 939, 1968 U.S. Dist. LEXIS 9969
CourtDistrict Court, D. Rhode Island
DecidedOctober 15, 1968
DocketCiv. A. No. 3884
StatusPublished
Cited by8 cases

This text of 290 F. Supp. 939 (Short Line, Inc. v. United States) is published on Counsel Stack Legal Research, covering District Court, D. Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Short Line, Inc. v. United States, 290 F. Supp. 939, 1968 U.S. Dist. LEXIS 9969 (D.R.I. 1968).

Opinion

OPINION

Before McENTEE, Circuit Judge, and GIGNOUX, District Judge and PET-TINE, District Judge.

PETTINE, District Judge.

This is an action under 305(g) of Title 49, and Sections 1336, 1398, 2284 and 2321-2325 of Title 28 United States Code to set aside and annul an Order of the defendant, Interstate Commerce Commission Division 1, acting as an Appellate Division, entered on November 16, 1967, and served on December 5, 1967, in Docket No. MC-124935 (Sub. No. 3) Almeida Bus Lines — -Extension—New York City affirming the Report and Order of Operating Rights Review Board No. 3 of the Interstate Commerce Commission entered on May 19, 1967 reported at 106 M.C.C. 311 (1967). The applicant was granted a certificate of public convenience and necessity to transport passengers and their baggage, and express and newspapers in the same vehicle over several described routes between Wareham, Massachusetts and New York City, New York. Essentially the authority granted permits direct single line service between [941]*941New York City and the Cape Cod area of Massachusetts. At the time of the application, Almeida was conducting operations between Boston, Massachusetts and Cape Cod.

The intervening complainants, Greyhound Lines, Inc. and The Short Line, Inc., are both authorized motor bus operators which now participate in a joint line regular-route service between New York City and Newport, Rhode Island and the involved Cape Cod area.

The statutes involved in this case are Part II of the Interstate Commerce Act, Sections 206(a) (1), 207(a) and 208(a) (49 U.S.C. Sections 306(a) (1), 307(a), and 308(a) ); the National Transportation Policy declared in the Interstate Commerce Act (49 U.S.C. Policy preceding Section 1); and Section 10(e) of the Administrative Procedure Act (5 U.S.C. Section 1009).

In substance, the complaint alleges that the action of the Commission was unlawful and erroneous in that it was contrary to law, unsupported by substantial evidence, and arbitrary and capricious.

The only question before this court is whether the Commission’s decision that the public convenience and necessity require Almeida’s bus operation is supported by substantial evidence of record and in accordance with the applicable law.

7. The Evidence

It is well settled that the scope of judicial review of Commission orders is limited and well defined. In the absence of a finding that the agency’s actions are arbitrary, capricious or an abuse of discretion or unsupported by substantial evidence, it cannot be set aside. The judicial function on review is fully met when it finds a rational basis for the Commission’s conclusions.1

This court has been unable to find any basis for the plaintiff’s contention that the Commission’s findings are unsupported by substantial evidence of record. The record is vast, and a reading of it as a whole does not show it to be devoid of substantial evidence supporting its conclusions.2 Though occasionally the record may well support [942]*942two conflicting points of view, the reviewing court cannot determine which is the correct result.3

The plaintiffs’ attacks on the substantiality of the record evidence and the rationality of the Commission’s decision-making included five major, specific points. First, the plaintiffs claimed that record showed not a scintilla of testimony as to metropolitan New York support for the application. But the briefs, record and Operating Rights Review Board opinion all reflect the testimony of several institutional witnesses that their personnel from the New York area would both benefit from and use the service. Second, the plaintiffs claimed that the Commission’s exclusion of Fall River together with its inclusion of New Bed-ford in the application is a distinction so completely without a difference as to amount to an arbitrary classification. That argument ignores the Commission’s reliance on the existing facilities of Almeida at New Bedford, its desire to protect Short Line’s Fall River revenues, and its attempt to lessen the total travel time of the Almeida route. Third, the plaintiffs argue that the Commission’s basis for its decision to protect the Fall River market is so contrary to the documentary evidence as to be capricious, and that such capriciousness is symptomatic of a broader malady that infects the entire record. The argument even if true, proves too much. If it is true, then our conclusion should be not that the whole record is tainted but rather that Fall River should be reincluded in the application. And plaintiffs hardly desire that to be the object of their efforts. Furthermore the argument is not valid, because, as we stated previously, there are other reasons why Fall River was properly excluded from the application. Fourth, the plaintiffs argue that an analysis of certain documentary exhibits undermines the Commission’s conclusions with respect to time savings over the new route. Concededly, the time differentials, if any, are slight. But we do not take it to be our function to reverse a [943]*943Commission decision three years in litigation and based on sound evidence because of a slight evidentiary flaw.

Finally, the plaintiffs argue that the Commission’s failure to grant oral argument en banc and the Appellate Division’s wholesale adoption of the Operating Rights Review Board’s decision is so whimsical as to constitute reversible error. The Commission did adopt the preCommission consideration of the issues by the intermediate employee boards and officers.4 But there is no merit to this contention. The order clearly shows it considered the record and concluded that the findings of the intermediate board, Operating Rights Review Board No. 3, were in accordance with the evidence and the applicable law.5

II. The Legal Standard

The plaintiffs’ contention that a new regulatory criteria was employed by the Commission and its Review Board is based on the proposition that there was a departure from the standards of the Pan-[944]*944American Bus Lines case.6 In this case the Commission declared, in its interpretation of Section 207(a), supra, “the question, in substance is whether the new operation or service will serve a useful public purpose, responsive to a public demand or need; whether this purpose can and will be served as well by existing lines or carriers; and whether it can be served by applicant with the new operation or service proposed without endangering or impairing the operation of existing carriers, contrary to the public interest.”

Plaintiffs argue that the Board “departed sharply from the continuous regulatory principle enunciated in the Pan-American case for more than 30 years * * * ” by enunciating a “balanced transportation” theory. This is found in the report where the Board said:

“In a proceeding of this nature an applicant has the burden of demonstrating the existence of a public need for the proposed operation before we may authorize a grant of common carrier authority.

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Bluebook (online)
290 F. Supp. 939, 1968 U.S. Dist. LEXIS 9969, Counsel Stack Legal Research, https://law.counselstack.com/opinion/short-line-inc-v-united-states-rid-1968.