Terry Lonatro v. Orleans Levee District , 714 F.3d 866 ( 2013 )


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  •      Case: 12-30425   Document: 00512221291      Page: 1   Date Filed: 04/25/2013
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT  United States Court of Appeals
    Fifth Circuit
    FILED
    April 25, 2013
    No. 12-30425
    Lyle W. Cayce
    Clerk
    TERRY LONATRO; NIDA LONATRO; CRAIG BERTHOLD; CINDY
    BERTHOLD; DANTE MARALDO; MONIQUE MARALDO; AMY SINS;
    GEORGE SINS; ALBERT ZUNIGA; KATHLEEN ZUNIGA; ROY ARRIGO;
    TAMMY ARRIGO,
    Plaintiffs - Appellees
    v.
    UNITED STATES OF AMERICA,
    Defendant - Appellant
    Appeal from the United States District Court
    for the Eastern District of Louisiana
    Before KING, HIGGINBOTHAM, and CLEMENT, Circuit Judges.
    PATRICK E. HIGGINBOTHAM, Circuit Judge:
    The district court concluded that it had subject matter jurisdiction over
    this action pursuant the Quiet Title Act, 28 U.S.C. § 2409a (“QTA”). We disagree
    and reverse.
    I.
    Plaintiffs own and reside on property in Orleans Parish, Louisiana that is
    “immediately adjacent to and/or abutting the levee surrounding the 17th Street
    Canal.” Following Hurricane Katrina, Congress authorized the United States
    Army Corps of Engineers (“Corps”) to repair and strengthen the levees in
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    No. 12-30425
    southeastern Louisiana.1 The Corps, in cooperation with the Orleans Levee
    District (“Levee District”), a unit of the Southeastern Flood Protection Agency-
    East (“Flood Protection Agency”), announced plans to prepare an area, including
    the plaintiffs’ properties, for levee improvements by removing fences, trees, and
    other items from portions of the land that were abutting against or part of the
    levee. The Levee District, claiming that Louisiana law furnished it with a
    servitude over the levees and surrounding property, granted the Corps a right-
    of-entry to perform the removal activities.
    Before the removal activities began, the plaintiffs filed a class action suit
    in Louisiana state court against the Levee District and Flood Protection Agency.
    They alleged state law claims and sought a temporary restraining order,
    permanent injunctive relief, and damages for appropriation of their property.
    Their petition challenged the existence and constitutionality of the purported
    state-law servitude. On July 6, 2008, the state court denied the plaintiffs’
    request for a temporary restraining order, and the Corps commenced work on
    the plaintiffs’ land. The plaintiffs and defendants then filed cross motions for
    summary judgment, disputing whether the Levee District held a legal servitude
    over the plaintiffs’ properties. On June 3, 2009, the state court granted partial
    summary judgment in favor of the plaintiffs and denied the defendants’ motion,
    finding that Louisiana law did not grant the property rights asserted by the
    Levee District. On September 14, 2009, the state appellate court reversed and
    remanded, concluding that the plaintiffs owned their property subject to a valid
    servitude in favor of the local levee authorities.2 On March 12, 2010, the
    Louisiana Supreme Court denied the plaintiffs’ application for further review.
    1
    See Pub. L. 109-148, 
    119 Stat. 2680
     (Dec. 30, 2005); Pub. L. 109-234, 
    120 Stat. 418
    (June 15, 2006).
    2
    On remand, the state trial judge did not act and never signed a judgment.
    2
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    On January 5, 2011, the landowners initiated a second state court suit
    against the Levee District and Flood Protection Agency. The landowners had
    learned that the Levee District had granted the Corps another right-of-entry to
    perform extensive work on and around their property, including (1) engaging in
    “deep soil mixing,” a process that uses a giant mixer inserted up to 80 feet into
    the ground, and (2) building new subsurface and embankment walls. The
    plaintiffs sought injunctive relief to prevent the defendants from entering onto
    their property and from conducting the construction activities. On January 14,
    2011, the state court concluded that it was bound by the Louisiana Court of
    Appeal’s decision recognizing that the Levee District held a valid servitude over
    the plaintiffs’ property.      The state court denied the plaintiffs’ motion for
    injunctive relief, granted the defendants’ exception for failure to join the Corps
    as a necessary party, and granted the plaintiffs leave to file an amended petition
    to name the Corps as an additional defendant.
    On February 10, 2011, the plaintiffs filed an amended petition, joining the
    Corps as a defendant.        In their amended petition, the plaintiffs sought a
    declaratory judgment that the defendants did not possess a servitude over their
    property, or alternatively, a declaration that the servitude (1) had been
    abandoned and extinguished by virtue of non-use or (2) did not permit the types
    of activities the defendants were performing or planning to perform. In addition,
    the plaintiffs sought compensation for damage to their property caused by (1) the
    preparation for improvements and (2) the construction, destruction, and removal
    activities.
    Shortly thereafter, the Corps removed the case to federal district court
    pursuant to 
    28 U.S.C. §§ 1442
    (a), 1442(a)(1), and 1442(b). The Corps then
    moved to dismiss on multiple grounds.3 On September 27, 2011, the district
    court granted in part and denied in part the Corps’s motion to dismiss. The
    3
    The Levee District and Flood Protection Agency also filed motions to dismiss, which
    are not at issue in this appeal.
    3
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    district court concluded that (1) “neither res judicata nor the ‘law of the case’
    doctrine bars the instant suit”; (2) it “lack[ed] jurisdiction over the federal
    constitutional (if any) and state constitutional takings claims, trespass claims,
    and any remaining state law tort claims”; and (3) pursuant to the QTA it had
    jurisdiction “over the Plaintiffs’ claims for a declaration as to property rights vis-
    a-vis the Corps.” The district court sua sponte certified for interlocutory review
    its order finding jurisdiction under the QTA.4 The Corps filed a motion for
    reconsideration on October 25, 2011, which the district court classified as a
    motion to alter or amend the judgment and denied on December 19, 2011. On
    February 28, 2012, the district court recertified its orders for interlocutory
    review. On April 24, 2012, this Court granted the United States’ petition for
    permission to appeal pursuant to 
    28 U.S.C. § 1292
    (b) and Fed. R. App. P. 5(b).
    Because the plaintiffs did not cross-appeal, the only issue before this Court is
    whether the plaintiffs’ action against the Corps falls within the scope of the QTA
    so as to waive the United States’ immunity to suit and authorize federal subject
    matter jurisdiction.
    II.
    We review de novo a district court’s ruling on a motion to dismiss for lack
    of subject matter jurisdiction,5 but we “review the district court’s jurisdictional
    findings of fact for clear error.”6
    4
    See 
    28 U.S.C. § 1292
    (b).
    5
    In re Eckstein Marine Service L.L.C., 
    672 F.3d 310
    , 314 (5th Cir. 2012).
    6
    Krim v. pcOrder.com, Inc., 
    402 F.3d 489
    , 494 (5th Cir. 2005).
    4
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    III.
    “The United States, as sovereign, is immune from suit save as it consents
    to be sued.”7 Hence, consent to be sued or a waiver of sovereign immunity “is a
    prerequisite for jurisdiction,”8 and “the terms of [the United States’] consent to
    be sued . . . define [the] court’s jurisdiction to entertain the suit.”9 The plaintiffs
    claim that the QTA waives the United States’ sovereign immunity from this suit
    and furnishes a basis for federal subject matter jurisdiction.10 Although it has
    been clearly established that the QTA waives the sovereign immunity “subject
    to certain exceptions . . . in civil actions to adjudicate title disputes involving real
    property in which the United States claims an interest,”11 the Government
    argues that the federal courts lack subject matter jurisdiction over this action
    because it falls outside the scope of the QTA’s waiver of sovereign immunity.
    “[L]imitations and conditions upon which the Government consents to be
    sued must be strictly observed and exceptions thereto are not to be implied.”12
    Section 2409a(a), by its plain language, imposes two explicit conditions on the
    United States’ waiver of sovereign immunity—(1) the action must be one “to
    adjudicate a disputed title to real property” (2) “in which the United States
    claims an interest.” We do not consider whether the second condition is satisfied
    here because we conclude that this action is not one “to adjudicate a disputed
    title to real property” within the meaning of the QTA.
    7
    United States v. Sherwood, 
    312 U.S. 584
    , 586 (1941).
    8
    United States v. Mitchell, 
    463 U.S. 206
    , 212 (1983).
    9
    Sherwood, 
    312 U.S. at 586
    .
    10
    See 
    28 U.S.C. § 1346
    (f); 28 U.S.C. § 2409a(a).
    11
    Block v. North Dakota ex. rel. Bd. of Univ. & Sch. Lands, 
    461 U.S. 273
    , 275–76
    (1983); see 28 U.S.C. § 2409a.
    12
    Soriano v. United States, 
    352 U.S. 270
    , 276 (1957).
    5
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    The title dispute underlying this action is not between the plaintiffs and
    the United States; rather, any liability on the part of the United States depends
    entirely on an adjudication of the validity of the servitude claimed by the Levee
    District. We read the QTA as requiring that the title dispute must be between
    the plaintiff—an adverse claimant—and the United States. That condition is not
    satisfied here because the dispositive title dispute in this case—the validity of
    the servitude—is a title dispute between the plaintiffs and a third party, not
    between the plaintiffs and the United States.
    Our reading of the QTA is compelled by the Supreme Court’s decision last
    Term in Federal Aviation Administration v. Cooper.13 In Cooper, the Court
    explained that the scope of a waiver of sovereign immunity must “be clearly
    discernable from the statutory text in light of traditional interpretative tools;”
    if it is not, then a court should “take the interpretation most favorable to the
    Government.”14 The issue presented in Cooper was whether the term “actual
    damages” in the civil remedies provision of the Privacy Act includes
    compensation for mental and emotional harm. The Government urged that the
    civil remedies provision did not waive the United States’ sovereign immunity
    with respect to such recovery. The Supreme Court considered the particular
    context in which the term appears in the Act and prior versions of the bill, both
    of which suggested that Congress intended the term “actual damages” in the Act
    to mean “special damages.” The Court thus interpreted “actual damages” as
    meaning “special damages.” It explained that although “the contrary reading
    advanced . . . by respondent is [not] inconceivable,” it was required to adopt the
    limited interpretation urged by the Government:
    [B]ecause the Privacy Act waives the Federal Government’s
    sovereign immunity, the question we must answer is whether it is
    plausible to read the statute, as the Government does, to authorize
    13
    
    132 S. Ct. 1441
     (2012).
    14
    
    Id. at 1448
    .
    6
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    only damages for economic loss. When waiving the Government’s
    sovereign immunity, Congress must speak unequivocally. Here, we
    conclude that it did not. As a consequence, we adopt an
    interpretation of “actual damages” limited to proven pecuniary or
    economic harm. To do otherwise would expand the scope of
    Congress’ sovereign immunity to waiver beyond what the statutory
    text clearly requires.15
    Under Cooper, the question we must answer to determine the scope of a
    waiver of sovereign immunity is “whether it is plausible” to read the waiver in
    the manner urged by the Government.16 Here, as in Cooper, the reading of the
    statute advanced by the plaintiffs is not “inconceivable.” But for the reasons set
    forth below, “it is plausible” to read the QTA as only waiving sovereign immunity
    when the underlying title dispute the plaintiff seeks to resolve is between the
    plaintiff and the United States.
    The QTA, by its own terms, suggests that it only applies to such an action.
    Section 2409a(e) provides that the jurisdiction of the district court shall cease
    “[i]f the United States disclaims all interest in the real property or interest
    therein adverse to the plaintiff.”17 That provision indicates that QTA jurisdiction
    is premised on adversity between the plaintiff and the United States.
    The House Report accompanying the QTA also supports our
    interpretation. The plaintiffs cite a letter from the Attorney General included in
    the House Report and argue that the letter shows that Congress intended the
    QTA to apply to actions like this one. In that letter, the Attorney General
    explained:
    If the United States were in possession under a lease, and the title
    of the Government’s lessor were adjudicated to be invalid, the
    United States could elect to continue its lease with the true owner.
    If the United States were adjudged to be occupying without title, it
    15
    
    Id. at 1453
     (citations omitted).
    16
    
    Id.
    17
    28 U.S.C. § 2409a(e) (emphasis added).
    7
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    is only fair to require it to choose between acquiring the right of
    possession and ceasing to occupy.18
    But that example does not “unequivocally” indicate that Congress intended the
    QTA to allow a plaintiff to initiate suit against the United States to adjudicate
    a third party’s claim to the plaintiff’s property.19 The example only speaks to
    what happens after the third party’s title is adjudicated as invalid. It does not
    suggest that the federal courts would have jurisdiction to adjudicate the initial
    title dispute between the plaintiff and the third party. In other words, that
    example does not suggest that a plaintiff could file suit against the United States
    when its claim against the United States depends entirely on a title dispute with
    a third party. The legislative history not only fails to provide a clear indication
    that Congress intended the QTA to apply to such an action, but it actually
    supports a contrary reading. The House Report referenced the common law
    history of quiet title actions, which sought “to quiet title or to remove a cloud on
    title,” and explained that “[p]erhaps the most common application of the
    proposed statute would be in boundary disputes between the United States and
    owners of adjacent property.”20
    In light of both § 2409a(e) and the QTA’s legislative history, we find that
    “it is plausible” to read the QTA, as the Government urges, to only authorize
    suits in which the dispositive title dispute the plaintiff seeks to adjudicate is
    between the plaintiff and the United States.21 Therefore, we conclude that this
    18
    H.R. REP. NO. 92-1559, 1972 U.S.C.C.A.N. 4547, 4555 (1972).
    19
    See Cooper, 
    132 S. Ct. at 1456
     (“In sum, applying traditional rules of construction,
    we hold that the Privacy Act does not unequivocally authorize an award of damages for mental
    and emotional distress. Accordingly, the Act does not waive the Federal Government’s
    sovereign immunity from liability for such harms.”).
    20
    H.R. REP. NO. 92-1559, 1972 U.S.C.C.A.N. 4547, 4551, 4554 (1972).
    21
    We are aware of language in Key v. Wise which could be read to suggest that the
    Quiet Title Act applies even when the dispositive title dispute is between the plaintiff and a
    third party. 
    629 F.2d 1049
    , 1058 (5th Cir. 1980). However, the Key panel made clear that it
    8
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    action falls outside the scope of the QTA’s waiver. That conclusion is supported
    by decisions of other Circuits.22 We also find support for our reading in the
    Supreme Court’s recent decision in Match-E-Be-Nash-She-Wish Band of
    Pottawatomi Indians v. Patchak.23 In that case, the Secretary of the Interior had
    acquired land in trust for an Indian tribe seeking to open a casino. Patchak filed
    suit under the Administrative Procedure Act (“APA”) arguing that the Secretary
    lacked authority to acquire the property.                  The APA’s waiver of sovereign
    immunity does not apply “if any other statute that grants consent to suit
    expressly or impliedly forbids the relief which is sought,”24 and the Government
    argued that the QTA’s exception, making its authorization of suit inapplicable
    to “trust or restricted Indian lands,”25 “satisfies the APA carve-out and so forbids
    Patchak’s suit.”26 The Supreme Court concluded that because the QTA, and in
    turn its exception, did not apply to Patchak’s action, his action “[fell] within the
    APA’s general waiver of sovereign immunity.”27 The Court held that the QTA
    only applies when the plaintiff asserts her own right in the disputed property,
    “repeat[ing]” that the QTA only applies to suits by “adverse claimants, meaning
    was “express[ing] no view” on whether § 2409a applied to the action. Id. at 1060. Instead, it
    confined its review to the question of whether the district court had jurisdiction to review a
    final state court decision on an issue of controlling state law, over which it determined the
    district court had no jurisdiction.
    22
    See, e.g., Leisnoi, Inc. v. United States, 
    170 F.3d 1188
    , 1192 (9th Cir. 1999); McMaster
    v. United States, 
    177 F.3d 936
    , 939–40 (11th Cir. 1999); Cadorette v. United States, 
    988 F.2d 215
    , 223 (1st Cir. 1993). Leisnoi’s holding that “a third party’s claim of an interest of the
    United States can suffice if it clouds the plaintiff’s title” is inapplicable here because the Levee
    District asserts its own title interest; it is not asserting a title interest on behalf of the United
    States. 
    170 F.3d at 1192
    .
    23
    
    132 S. Ct. 2199
     (2012).
    24
    
    5 U.S.C. § 702
    .
    25
    28 U.S.C. § 2409a(a).
    26
    Patchak, 
    132 S. Ct. at 2205
    .
    27
    
    Id. at 2210
    .
    9
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    plaintiffs who themselves assert a claim to property antagonistic to the Federal
    Government’s.”28 Patchak’s emphasis on “adverse claimants” supports our view
    that the QTA requires adversity—that the underlying title dispute must be
    between the plaintiff and the United States.29
    IV.
    In sum, because the title dispute here concerns ownership of the purported
    servitude—a title dispute between the plaintiffs and a third party—and because
    it is plausible to read the QTA as only authorizing suit when the underlying title
    dispute is between the plaintiff and the United States, we REVERSE the
    judgment of the district court and REMAND for further proceedings consistent
    with this opinion.
    28
    
    Id. at 2207
     (internal quotations omitted).
    29
    See also Block, 
    461 U.S. at 286
     (holding that “Congress intended the QTA to provide
    the exclusive means by which adverse claimants could challenge the United States’ title to real
    property (emphasis added)).
    10