In Re: Katrina Canal Breaches ( 2012 )


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  •   Case: 10-30249   Document: 00511997662   Page: 1      Date Filed: 09/24/2012
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT  United States Court of Appeals
    Fifth Circuit
    FILED
    September 24, 2012
    No. 10-30249
    Lyle W. Cayce
    Clerk
    IN RE: KATRINA CANAL BREACHES LITIGATION.
    ********************
    NORMAN ROBINSON; KENT LATTIMORE; LATTIMORE & ASSOCIATES;
    TANYA SMITH,
    Plaintiffs-Appellees-
    Cross-Appellants,
    versus
    UNITED STATES OF AMERICA,
    Defendant-Appellant-
    Cross-Appellee.
    ********************
    MONICA ROBINSON,
    Plaintiff-Appellee-
    Cross-Appellant,
    versus
    UNITED STATES OF AMERICA,
    Defendant-Appellant-
    Cross-Appellee.
    ********************
    Case: 10-30249         Document: 00511997662        Page: 2    Date Filed: 09/24/2012
    Consolidated with
    No. 10-31054
    IN RE: KATRINA CANAL BREACHES LITIGATION.
    ********************
    Consolidated with
    No. 11-30808
    IN RE: KATRINA CANAL BREACHES LITIGATION.
    ----------------------------------------------
    UNITED STATES OF AMERICA,
    on Behalf of United States Army Corps of Engineers,
    Petitioner.
    Appeals from the United States District Court
    for the Eastern District of Louisiana
    Before SMITH, PRADO, and ELROD, Circuit Judges.
    JERRY E. SMITH, Circuit Judge:
    Treating the petition for rehearing en banc as a petition for panel rehear-
    ing, the petition for panel rehearing is GRANTED. We withdraw our opinion,
    In re Katrina Canal Breaches Litig., 
    673 F.3d 381
     (5th Cir. 2012), and substitute
    the following:
    2
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    ********************
    Decades ago, the Army Corps of Engineers (the “Corps”) dredged the Mis-
    sissippi River Gulf Outlet (“MRGO”), a shipping channel between New Orleans
    and the Gulf of Mexico, and levees alongside the channel and around the city.
    When Hurricane Katrina struck in 2005, MRGO’s size and configuration greatly
    aggravated the storm’s effects on the city and its environs.
    Claimants alleging damage from Katrina filed hundreds of lawsuits, many
    of which were consolidated before the district judge a quo. That court worked
    with plaintiffs’ litigation committees to identify several categories of plaintiffs
    and individual “bellwether” plaintiffs. This opinion concerns three groups of
    bellwether plaintiffs, all suing the United States for flood damages. One group
    of seven plaintiffs went to trial; three prevailed on all claims, and four did not.
    Another group was dismissed before trial when the government was found
    immune. The third has survived motions to dismiss and is proceeding to trial.
    All losing parties have appealed; the government has also petitioned for
    a writ of mandamus to stay the third group’s trial pending issuance of this opin-
    ion. We REVERSE each judgment for the plaintiffs, AFFIRM each judgment for
    the government, and DENY the petition as moot.
    I. Background.
    In 1943, Congress requested a report from the Chief of Engineers, Secre-
    tary of the Army, investigating ways to make the Port of New Orleans more
    accessible for maritime and military use. That request led to the authorization
    of MRGO in 1956. The channel was built to its full dimensions by 1968 and
    afforded a shorter shipping route between the Gulf of Mexico and New Orleans.
    As the district court noted, the channel, as originally designed, “was to be 36 feet
    deep and 500 feet wide, increasing at the Gulf of Mexico to 38 feet deep and 600
    3
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    Nos. 10-30249, 10-31054, 11-30808
    feet wide.” In re Katrina Canal Breaches Consol. Litig., 
    647 F. Supp. 2d 644
    , 717
    (E.D. La. 2009). MRGO was cut through virgin coastal wetlands at a depth that
    exposed strata of so-called “fat clay,” a form of soil soft enough that it will move
    if made to bear a load. The channel’s original designers considered and rejected
    armoring its banks with foreshore protection, leaving them vulnerable to
    erosion.
    During the design and construction of MRGO, the Corps also implemented
    the Lake Pontchartrain and Vicinity Hurricane Protection Plan (“LPV”). Pur-
    suant to that plan, the Corps constructed, inter alia, the New Orleans East Unit,
    levees protecting New Orleans East; the Chalmette Area Unit, levees protecting
    the Ninth Ward and St. Bernard Parish; and higher floodwalls in the outfall
    canals at 17th Street, Orleans Avenue, and London Avenue. Separately from
    MRGO, between 1967 and 1985 the Corps also “lifted” and enlarged portions of
    the levee paralleling Reach 2 of the channel.
    Reach 2 of MRGO runs southeasterly from a point near Michoud in east-
    ern New Orleans along the south shore of Lake Borgne and through the marshes
    to and across Chandeleur Sound to the Gulf of Mexico. Its south shore parallels
    the Reach 2 levee (later breached during Katrina, resulting in massive flooding).
    Foreshore protection was authorized for that shore in 1967 and costs charged to
    the MRGO project in 1968. From 1968 until 1980, it is not evident why the pro-
    tection was not implemented. In March 1980, the Corps scrapped its original
    design for further study, which it continued for the next two years. In 1982, it
    began testing foreshore protection along the south shore; the study was com-
    pleted in early 1983. A contract was awarded in 1985, and the foreshore protec-
    tion was finished in 1986.
    For the north shore of Reach 2—that shore which abuts Lake Borgne and
    its wetlands—the district court found that, by the early 1970s, erosion of the
    channel had threatened the wetlands, in particular the land bridge that pre-
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    vented Lake Borgne from flowing directly into the MRGO. In the early 1980s,
    the Corps was directed to study the feasibility of protection along the north
    shore. In 1984 and 1988, the Corps reported studies recognizing that erosion
    from wave wash had widened the channel and that the north shore was close to
    being breached, thereby exposing development and inhabitants to the southwest
    to hurricanes from Lake Borgne.
    The Corps outlined two erosion-control plans in the 1984 report. The 1988
    report concluded that the bank-erosion problem threatened to increase dredging
    costs sixfold, a problem Corps engineers with the New Orleans Division
    attempted to address via a supplement to MRGO’s Design Memorandum, which
    would encompass further studies and bypass any requirements for local cost-
    sharing. That attempt was rejected by the Lower Mississippi Valley Division,
    which criticized the modeling used and the estimated costs of dredging.
    The Corps took the position that design modification was not warranted
    under the cost-benefit ratio: “[U]ntil the cost of providing foreshore protection
    proved to be less expensive than the continued need for dredging to maintain the
    channel’s navigability, the Corps did not actively pursue funding for this protec-
    tion.” 
    Id. at 662
    . The Corps refused to undertake the cost of foreshore protection
    unless there was local cost participation under the Water Resources Develop-
    ment Act, 
    33 U.S.C. § 2201
     et seq. Furthermore, the district court noted, the
    Corps did not prioritize protecting the north shore, because there was no levee
    to protect, and the primary mission of the Corps was to keep the channel
    navigable.
    In 1994, the Corps issued another report in which it still proceeded under
    the assumption that the cost of foreshore protection was greater than it proved
    to be; the Corps took the position that costs for bank stabilization should be
    shared by the local population. Finally, in the mid-1990s, the Corps realized
    that the actual costs of maintaining the foreshore protection were less than esti-
    5
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    mated in the 1988 report, so a “re-analysis of the benefits and costs based on this
    new cost information was the genesis for an April 1996 Evaluation Report.” In
    re Katrina Canal Breaches, 
    647 F. Supp. 2d at 663
    . That report recommended
    funding for protection along five sections of the north shore of Reach 2, and that
    same year, Congress instructed the Corps to use its available operations and
    maintenance funds to protect the shore to minimize future dredging costs and
    preserve the wetlands.
    The Corps’ delay in armoring MRGO allowed wave wash from ships’ wakes
    to erode the channel considerably,1 destroying the banks that would have helped
    to protect the Reach 2 levee (in the Chalmette Area Unit) from front-side wave
    attack and loss of height. The increased channel width added more fetch2 as
    well, allowing for a more forceful frontal wave attack on the levee.
    MRGO’s expansion thus allowed Hurricane Katrina to generate a peak
    storm surge capable of breaching the Reach 2 levee and flooding the St. Bernard
    polder.3 Separately from MRGO, the hurricane also caused the 17th Street,
    Orleans Avenue, and London Avenue levees to breach.
    Over four hundred plaintiffs sued in federal court to recover for Katrina-
    related damages, many naming the federal government as a defendant. Seven
    of those (the “Robinson plaintiffs”) went to trial. The court issued its impressive
    rulings in thorough opinions.4 The court found that neither the Flood Control
    1
    MRGO eventually reached a total average width of 1970 feet, well over three times
    its authorized width.
    2
    Fetch is defined as the width of open water that wind can act upon. The height of
    waves (such as the storm surge created by Katrina) is a function of the depth of the water as
    well as the width of the expanse (i.e., the fetch) over which wind impacts the water.
    3
    A polder is a tract of low land reclaimed from a body of water.
    4
    See In re Katrina Canal Breaches Consol. Litig., No. 2:05-CV-4182, 
    2011 U.S. Dist. LEXIS 16351
     (E.D. La. Feb. 11, 2011); In re Katrina Canal Breaches Consol. Litig., 647 F.
    (continued...)
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    Act of 1928 (“FCA”), 
    33 U.S.C. § 702
    , nor the discretionary-function exception
    (“DFE”) to the Federal Tort Claims Act (“FTCA”), 
    28 U.S.C. § 2680
    (a), protected
    the government from suit; after nineteen days of trial, the court found that three
    plaintiffs had proven the government’s full liability and four had not. Another
    group of plaintiffs (the “Anderson plaintiffs”) had their cases dismissed on the
    government’s motion, the court finding both immunities applicable. Still a dif-
    ferent group (the “Armstrong plaintiffs”) are preparing for trial of their own case
    against the government.
    The government appeals its losses in Robinson; the losing Robinson plain-
    tiffs cross-appeal. The Anderson plaintiffs have appealed as well. On the theory
    that a favorable ruling here might moot the pending Armstrong trial, the govern-
    ment petitions this court for a writ of mandamus to order the district court to
    stay trial until we issue an opinion in Robinson. The three cases have been
    consolidated on appeal.
    II. Standard of Review.
    A district court’s construction of immunity under the FCA and of the DFE
    is subject to de novo review. See Withhart v. Otto Candies, L.L.C., 
    431 F.3d 840
    ,
    841 (5th Cir. 2005). Factual findings are reviewed for clear error. Lehmann v.
    GE Global Ins. Holding Corp., 
    524 F.3d 621
    , 624 (5th Cir. 2008).
    III. The FCA: Construction and Application.
    Under the Central Green-Graci test,5 the government enjoys immunity
    4
    (...continued)
    Supp. 2d 644, 699 (E.D. La. 2009); In re Katrina Canal Breaches Consol. Litig., 
    577 F. Supp. 2d 802
     (E.D. La. 2008); In re Katrina Canal Breaches Consol. Litig., 
    533 F. Supp. 2d 615
     (E.D.
    La. 2008).
    5
    See Cent. Green Co. v. United States, 
    531 U.S. 425
     (2001); Graci v. United States, 456
    (continued...)
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    only from damages caused by floodwaters released on account of flood-control
    activity or negligence therein. Some Katrina-related flooding was caused not by
    flood-control activity (or negligence therein) but by MRGO, a navigational chan-
    nel whose design, construction, and maintenance cannot be characterized as
    flood-control activity. Therefore, the FCA does not immunize the government
    against liability for that flooding.
    A. The Scope of FCA Immunity.
    The FCA “was the Nation’s response to the disastrous flood in the Missis-
    sippi River Valley in 1927.” United States v. James, 
    478 U.S. 597
    , 606 (1986).
    The law enacted “a comprehensive ten-year program for the entire [Mississippi
    River] valley, embodying a general bank protection scheme, channel stabilization
    and river regulation, all involving vast expenditures of public funds.” United
    States v. Sponenbarger, 
    308 U.S. 256
    , 262 (1939). Staggering in scope, the FCA’s
    flood-control program was “the largest public works project undertaken up to
    that time in the United States.” James, 
    478 U.S. at 606
    .
    The FCA predated the FTCA and the latter’s abrogation of sovereign
    immunity from tort liability, but Congress nonetheless included Section 702c in
    the FCA, 33 U.S.C. § 702c, which affirms the government’s sovereign immunity
    in the flood-control context: “No liability of any kind shall attach to or rest upon
    the United States for any damage from or by floods or flood waters at any place.”
    The Supreme Court has read Section 702c’s legislative history as reflecting Con-
    gress’s “consistent concern for limiting the Federal Government’s financial lia-
    bility to expenditures directly necessary for the construction and operation of the
    various projects” funded by the FCA. James, 
    478 U.S. at 607
    . This court had
    similarly emphasized Congress’s reluctance to build flood-control projects with-
    5
    (...continued)
    F. 2d 20 (5th Cir. 1971).
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    out a guarantee of immunity: “[T]he immunity from liability for floodwater dam-
    age arising in connection with flood control works was the condition upon which
    the government decided to enter into the area of nationwide flood control pro-
    grams.” Graci, 456 F.2d at 26 (internal quotation marks omitted).
    Although the text of Section 702c could not more broadly preserve immun-
    ity, in Graci we read the FCA and its legislative history to include a limitation.
    We determined that it was unreasonable “to suppose that in exchange for its
    entry into flood control projects[,] the United States demanded complete immun-
    ity from liability for the negligent and wrongful acts of its employees uncon-
    nected with flood control projects.” Id. We therefore held that the Graci plain-
    tiffs’ claims were not barred by the FCA, because they alleged flood water dam-
    age caused by “the negligence of the United States unconnected with any flood
    control project.” Id. at 27.
    The government proposes a broader interpretation of FCA immunity that
    would hold it immune where plaintiffs allege damage caused by flood waters
    that a federal flood-control project had failed to contain. If the flood waters at
    issue are connected to a flood-control project, the government argues, the claim
    is barred. Language in James supports the government’s position: The Court
    read Section 702c’s “plain language” and defined the phrase “floods or flood
    waters” to mean “all waters contained in or carried through a federal flood con-
    trol project for purposes of or related to flood control, as well as to waters that
    such projects cannot control.” James, 
    478 U.S. at 605
    . The issue in James, how-
    ever, was whether Section 702c’s reference to “‘damage’ encompassed not just
    property damage, but also personal injuries and death.” Cent. Green, 
    531 U.S. at 429
    .
    In Central Green, the Court most recently considered the scope of Section
    702c immunity and the meaning of the phrase “floods and flood waters.” The
    Ninth Circuit—purporting to follow James’s definition of “floods and flood
    9
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    waters”—had focused on whether the source of water that caused the com-
    plained-of damage was part of a federal flood-control project; that court ulti-
    mately concluded that immunity attached “‘solely because [the Madera Canal]
    is a branch of the Central Valley Project.’” 
    Id. at 428
     (quoting Cent. Green Co.
    v. United States, 
    177 F.3d 834
    , 839 (9th Cir. 1999)). In so holding, the Ninth Cir-
    cuit “recognized that the Government would probably not have enjoyed immun-
    ity in at least three other Circuits where the courts require a nexus between
    flood control activities and the harm done to the plaintiff.” 
    Id.
     The Court
    granted certiorari to resolve that circuit split and framed the issue as “whether
    [‘floods or flood waters’] encompass all the water that flows through a federal
    facility that was designed and is operated, at least in part, for flood control pur-
    poses.” Id. at 427.
    With the meaning of the phrase “floods and flood waters” squarely before
    it, the Court rejected James’s definition as “confusing dicta . . . that, if read liter-
    ally, . . . sweeps so broadly as to make little sense,” id. at 431; the Central Green
    Court set about narrowing the scope of Section 702c immunity by shifting the
    analytical focus away from the water’s presence in a federal flood-control project.
    Under the Ninth Circuit’s interpretation of James, waters constituted “floods or
    flood waters,” and immunity applied where the government was linked to the
    waters through the mere presence of a federal flood-control project. In Central
    Green, the Court noted that “the text of the statute does not include the words
    ‘flood control project,’” id. at 434, so the scope of Section 702c is not determined
    “by the character of the federal project or the purposes it serves, but by the char-
    acter of the waters that cause the relevant damage and the purposes behind
    their release,” id. Waters that constitute “floods or flood waters” within the
    meaning of Section 702c, therefore, are not all waters that pass through a fed-
    eral flood-control project, but are instead waters of a certain “character.”
    Under Central Green, determining whether the water that caused damage
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    had this immune “character” has become the heart of the Section 702c inquiry.
    The Court exemplified how water attains this “character” by contrasting James
    with Henderson v. United States, 
    965 F.2d 1488
     (8th Cir. 1992).
    In James, 
    478 U.S. at 612
    , the Court determined that the government was
    immune from suit. There, the plaintiffs were injured when the Corps opened
    gates in flood-control projects to release water from reservoirs that had reached
    flood stage. 
    Id. at 600-01
    . Notably, the gates were opened as part of the projects’
    flood-control function. 
    Id.
     The Central Green Court distinguished James from
    Henderson, in which the plaintiff was injured when the Corps opened gates in
    a flood-control project to produce hydroelectric power. See Henderson, 
    965 F.2d at 1490
    . The water in James was “flood waters,” stated the Court, but the water
    in Henderson was not. Cent. Green, 
    531 U.S. at 436
    .
    The only factual difference between James and Henderson is that in
    James, the Corps acted to control a flood, whereas in Henderson, its activity was
    entirely unrelated to flood control. Thus, after Central Green, waters have the
    immune character of “flood waters” if the government’s link to the waters is
    through flood-control activity. That is to say, the government’s acting upon
    waters for the purpose of flood control is flood-control activity, and flood-control
    activity is what gives waters an immune “character.” We therefore reject the
    government’s interpretation of the scope of Section 702c and conclude, instead,
    that the United States enjoys immunity under that section only where damages
    result from waters released by flood-control activity or negligence therein.
    B. The MRGO-St. Bernard Polder Plaintiffs: No Immunity.
    Plaintiffs Anthony Franz, Jr., Lucille Franz, Kent Lattimore, Lattimore
    and Associates, and Tanya Smith allege that the operation and maintenance of
    MRGO caused the levee along Reach 2 of MRGO to be breached, resulting in the
    flooding of the St. Bernard polder. The district court found that a combination
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    of erosion caused by MRGO (which could have been prevented through timely
    foreshore protection) and destruction of wetland vegetation caused by increased
    salinity levels on account of MRGO’s operation led to the breaches in the Reach 2
    levee. The court concluded that MRGO was a navigational, not flood-control,
    project and, unlike the canals in Anderson, wholly extrinsic to the LPV.
    The court analogized MRGO to a Navy vessel that, as a result of negligent
    operation, crashes through a levee, causing a flood: Though the levee would be
    a flood-control project, the cause of the waters’ releaseSSnegligent operation of
    a Navy vesselSSwould not be the flood-control project or its negligent operation,
    but rather the negligence in a wholly extrinsic government action. Thus, the
    government would be afforded no immunity under Section 702c. Similarly, the
    court ruled, the negligently maintained MRGO acted upon the levees in a way
    that caused them to be breached during Hurricane Katrina, and, because MRGO
    was not a flood-control project and was separate from the LPV, no immunity
    should attach under Section 702c.
    But the government maintains that, instead of being distinct from one
    another, MRGO and the LPV were intertwined. Because the failure to imple-
    ment timely foreshore protection (as opposed to continued dredging of MRGO)
    caused the levee breach, the government argues that foreshore protection would
    have been done solely to benefit the levee system, a flood-control project. Thus,
    the government argues, the Corps’s actions with respect to MRGO were relevant
    precisely because of their asserted impact on the Reach 2 levees; the government
    describes the plaintiffs’ claim as an assertion that “the government did not take
    adequate measures to ensure that the Reach 2 levee would be able to restrain
    flood waters.” Consequently, the government says that the claim should be
    barred by Section 702c.
    Under the district court’s rule for applying Section 702cSS“immunity arises
    where damage is caused by flood waters emanating from a flood control project,”
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    In re Katrina Canal Breaches, 577 F. Supp. 2d at 824SSthe negligent mainten-
    ance of MRGO arguably does not create Section 702c immunity. As the court
    held, the lack of foreshore protection was properly allocable to MRGO (a naviga-
    tional project), not the LPV (a flood-control project). Costs of the foreshore pro-
    tection were to be charged to the MRGO project and were initially envisioned to
    protect the channel width and maintain navigability. “Thus,” the district court
    concluded, “the failures at issue here are extrinsic to the LPV and are not subject
    to § 702c immunity.” In re Katrina Canal Breaches, 
    647 F. Supp. 2d at 699
    .
    Our interpretation of Section 702c and the caselaw, however, provides a
    rule slightly different from the district court’s. Instead of its strictly categorical
    approach, which would have immunity attach only where a flood was caused by
    a project that had the purpose of flood control, we recognize immunity for any
    flood-control activity engaged in by the government, even in the context of a pro-
    ject that was not primarily or substantially related to flood control. Thus, for
    example, if the government had attempted foreshore protection inside MRGO,
    but that protection (whether by design or negligence) caused or exacerbated flood
    damage, the district court’s rule would grant the Corps no immunity, because
    MRGO was not a flood-control project. Our rule, by contrast, attaches immunity
    if the foreshore protection had flood control as its purpose—that is, if installing
    and maintaining foreshore protection was a flood-control activity regardless of
    the nature of MRGO, the overall project.
    To assess the St. Bernard plaintiffs’ argument, then, we must determine
    whether the Corps’s decision to dredge MRGO instead of implementing foreshore
    protection constitutes flood-control activity qualifying for Section 702c immunity.
    The government would contend that, because foreshore protection would have
    been done instead of dredging for the sole purpose of protecting the levees, the
    decision to dredge was flood-control activity protected by Section 702c. Even
    under our formulation instead of the district court’s, the government’s defense
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    fails.
    The district court found that “the Corps clearly took the position that its
    primary mission was to keep the shipping channel open to deep draft traffic
    regardless of the consequences.” 
    Id. at 660
    . Accordingly, the Corps chose to
    dredge MRGO to keep it navigable rather than promptly implement costlier fore-
    shore protection, which would have had the dual purpose of keeping MRGO nav-
    igable and protecting the levees. Thus, even in the context of MRGO, the Corps
    took no action that could be characterized as flood-control activity. The only
    conceivable flood-control activity is the failure of the government to implement
    timely foreshore protection, the very omission complained of by the plaintiffs.
    Such an omission cannot provide the basis for immunity under Section 702c, lest
    all flood damage caused by government activity be regarded as a result of (a lack
    of) flood-control activity.
    The district court’s naval analogy is apt. There, a negligent government
    activity (operating a ship) wholly unrelated to flood control causes a flood,
    destroying another government project (a levee). Though one could imagine a
    plaintiff’s saying that the Navy was negligent in not creating an onboard warn-
    ing system preventing its ship from running into the levee, that hypothetical
    system does not transform the operation of the Navy vessel into a flood-control
    activity. To use another analogy, suppose the government builds an Army base
    on the banks of the Mississippi River. Because of soft soil, the weight of its
    structures depresses the land and causes flooding to nearby farms during a
    heavy rain. Although the government might argue that the Army could have
    built dikes to prevent the flooding, that hypothetical solution does not transform
    the building of a base into a flood-control activity, or the failure to build dikes
    into negligence in flood-control activity. In each example, the government is neg-
    ligent, but in nautical or construction activity, not flood control.
    Thus, the government cannot claim Section 702c immunity for MRGO’s
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    role in breaching the Reach 2 levee. The dredging of MRGO was not a flood-
    control activity, nor was MRGO so interconnected with the LPV as to make it
    part of the LPV. Therefore, the flood waters that destroyed the plaintiffs’ prop-
    erty were not released by any flood-control activity or negligence therein.
    C. The MRGO-New Orleans East Plaintiffs: Immunity Irrelevant.
    The district court decided that plaintiffs Norman and Monica Robinson
    were not entitled to relief for reasons unrelated to the FCA. Specifically, the
    court reasoned that the Corps had no duty to build a surge-protection barrier
    and that any negligence in operating or maintaining MRGO did not cause the
    Robinsons’ injuries, which would have occurred had MRGO remained at its
    design width. 
    Id. at 660
    . Because we uphold the district court’s factual findings
    infra, there is no need to analyze Section 702c immunity as to the Robinsons.
    D. The Anderson Plaintiffs: Immunity Applies.
    The Anderson plaintiffs allege that they were harmed by the breaching of
    the levees along the 17th Street, London Avenue, and Orleans Avenue Canals
    caused by the negligent dredging of the 17th Street Canal and the levees’ negli-
    gent design and construction. The district court, in considering the govern-
    ment’s motion to dismiss, took judicial notice of the fact that those levees were
    constructed as part of the LPV, and the canals themselves were incorporated by
    Congress into the overall LPV project. Id. at 637-38. Although the design and
    plan for those levees and canals may not have been prudent, they were ulti-
    mately approved by Congress. And though the dredging of the 17th Street Canal
    may have been negligent, the canal was part of the LPV. Because those canals
    were designed to prevent flooding either by creating drainage or by preventing
    storm surge with levees, and were fully incorporated in the LPV plan, their
    design and dredging are flood-control activities. Thus, because the waters that
    15
    Case: 10-30249     Document: 00511997662      Page: 16    Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    damaged the Anderson plaintiffs’ property were allegedly released by negligence
    in flood-control activity, the Corps is immune under Section 702c.
    IV. Construction and Application of the DFE.
    The DFE bars suit on any claim that is “based upon the exercise or perfor-
    mance or the failure to exercise or perform a discretionary function or duty on
    the part of a federal agency or an employee of the Government, whether or not
    the discretion involved be abused.” 
    28 U.S.C. § 2680
    (a). The purpose of the DFE
    “is to prevent judicial second-guessing of legislative and administrative decisions
    grounded in social, economic, and political policy through the medium of an
    action in tort.” Spotts v. United States, 
    613 F.3d 559
    , 568 (5th Cir. 2010) (inter-
    nal quotation marks omitted).
    “The Supreme Court has developed a two-part test for determining
    whether the federal government’s conduct qualifies as a discretionary function
    or duty.” Freeman v. United States, 
    556 F.3d 326
    , 336-37 (5th Cir. 2009). First,
    the conduct must involve “an element of judgment or choice.” 
    Id. at 337
     (quoting
    United States v. Gaubert, 
    499 U.S. 315
    , 322 (1991)) (other citation omitted). “If
    a statute, regulation, or policy leaves it to a federal agency or employee to deter-
    mine when and how to take action, the agency is not bound to act in a particular
    manner and the exercise of its authority is discretionary.” 
    Id.
     (citation omitted).
    “On the other hand, [t]he requirement of judgment or choice is not satisfied and
    the discretionary function exception does not apply if a federal statute, regula-
    tion, or policy specifically prescribes a course of action for an employee to follow,
    because the employee has no rightful option but to adhere to the directive.”
    
    Id.
     (internal quotation marks omitted).
    Second, the DFE “protects only governmental actions and decisions based
    on considerations of public policy.” 
    Id.
     (citations omitted). The “proper inquiry”
    is not whether the decisionmaker “in fact engaged in a policy analysis when
    16
    Case: 10-30249    Document: 00511997662      Page: 17   Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    reaching his decision but instead whether his decision was susceptible to policy
    analysis.” Spotts, 
    613 F.3d at 572
     (emphasis removed) (internal quotation marks
    omitted). Under Gaubert, 
    499 U.S. at 324
    , “the very existence” of a law or regu-
    lation allowing a government employee discretion (satisfying Berkovitz’s first
    prong) “creates a strong presumption that a discretionary act authorized by the
    regulation involves consideration of the same policies which led to the promulga-
    tion of the regulations.”
    A. Applying the DFE to the Corps’s Failure to Contain MRGO.
    The Robinson plaintiffs advance three arguments against applying the
    DFE. First, they claim that the impact-review requirement of the National
    Environmental Policy Act (“NEPA”) constituted a legal mandate that overrides
    the Corps’s discretion. Next, they maintain that one or more project authoriza-
    tions created a non-discretionary duty to armor the banks of MRGO. Finally,
    they argue that the critical calculation made by the Corps in waiting to armor
    MRGO was an erroneous scientific judgment, not a decision susceptible to
    public-policy considerations.
    1. NEPA.
    NEPA mandates that “federal agencies must, except in certain qualifying
    situations, complete a detailed environmental impact statement (‘EIS’) for any
    major federal action significantly affecting the quality of the human environ-
    ment.” O’Reilly v. U.S. Army Corps of Eng’rs, 
    477 F.3d 225
    , 228 (5th Cir. 2007).
    “An agency is not required to prepare a full EIS if it determines—based on a
    shorter environmental assessment (EA)—that the proposed action will not have
    a significant impact on the environment.” Winter v. Natural Res. Def. Council,
    Inc., 
    555 U.S. 7
    , 16 (2008); see also 
    40 C.F.R. § 1508.9
    . If the federal action has
    not been completed, agencies have an obligation to update an EIS by filing a sup-
    17
    Case: 10-30249    Document: 00511997662      Page: 18   Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    plemental environmental impact statement (“SEIS”) if there are “significant new
    circumstances or information relevant to environmental concerns and bearing
    on the proposed action or its impacts.” 
    40 C.F.R. § 1502.9
    (c)(ii).
    The district court found (without challenge on appeal) that the Corps vio-
    lated NEPA’s mandates in at least three ways:
    (1) [Its] 1976 []EIS was fatally flawed; (2) the Corps never filed a
    SEIS even after it acknowledged substantial changes caused by the
    maintenance and operation of the MRGO; and (3) it improperly seg-
    mented its reporting guaranteeing that the public and other agen-
    cies would remain uninformed as to the drastic effects the channel
    was causing.
    In re Katrina Canal Breaches, 
    647 F. Supp. 2d at 725
    . Though the court
    acknowledged that “decisions to file EISs, SEISs and EAs are committed to the
    judgment of the agency,” 
    id.
     (citations omitted), it found the Corps had violated
    NEPA under the standards of the Administrative Procedure Act: “[A] reviewing
    court shall . . . hold unlawful and set aside agency action, findings, and conclu-
    sions found to be . . . arbitrary, capricious, an abuse of discretion, or otherwise
    not in accordance with the law,” 
    5 U.S.C. § 706
    .
    Even assuming the truth of those findings, however, NEPA is “a proce-
    dural, not substantive[,] environmental statute.” In re Katrina Canal Breaches,
    
    647 F. Supp. 2d at 717
    . It is “‘now well settled that NEPA itself does not man-
    date particular results, but simply prescribes the necessary process.’” City of
    Shoreacres v. Waterworth, 
    420 F.3d 440
    , 450 (5th Cir. 2005) (quoting Robertson
    v. Methow Valley Citizens Council, 
    490 U.S. 332
    , 350 (1989)). “Indeed, NEPA
    does not prohibit the undertaking of federal projects patently destructive of the
    environment; it simply mandates that the agency gather, study, and disseminate
    information concerning the projects’ environmental consequences.” Sabine River
    Auth. v. U.S. Dep’t of Interior, 
    951 F.2d 669
    , 676 (5th Cir. 1992).
    NEPA’s procedural mandates require agencies to inform their discretion
    18
    Case: 10-30249       Document: 00511997662         Page: 19     Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    in decisionmaking. An agency that complies with NEPA gives outside influences
    (the public, lawmakers, other agencies) more information with which to put pres-
    sure on that agency, but the original agency retains substantive decisionmaking
    power regardless. At most, the Corps has abused its discretionSSan abuse expli-
    citly immunized by the DFE.
    2. Duty To Armor MRGO.
    As their second attempt to negate the first DFE prong, the Robinson plain-
    tiffs allege that the Corps had a mandate from Congress to maintain MRGO at
    a certain size: “The channel was to be 36 feet deep and 500 feet wide, increasing
    at the Gulf of Mexico to 38 feet deep and 600 feet wide.” In re Katrina Canal
    Breaches, 
    647 F. Supp. 2d at 702
    . But MRGO has now eroded to an average of
    three times its design width. 
    Id. at 671
    .
    The district court recognized, however, that the design for MRGO
    expressly contemplated erosion from wave wash and did not provide for armor-
    ing the banks.6 The court held that these design features were “shielded by the
    [DFE],” 
    id. at 702
    , a ruling that the plaintiffs do not challenge on appeal. Logi-
    cally, therefore, the absence of armoring and the resultant erosion cannot have
    violated a mandate sufficient to negate the first Berkovitz prong.
    3. Delay in Armoring MRGO.
    In their attempt to negate the second DFE prong, the Robinson plaintiffs
    allege that the critical calculations made by the Corps in waiting to armor
    MRGO were only erroneous scientific judgments, not decisions susceptible to
    6
    See In re Katrina Canal Breaches, 
    647 F. Supp. 2d at 654
     (“‘No channel protection
    [was] included in the overall cost estimate of the project’” even though “‘erosion due to wave
    wash in open areas [was] expected.’”) (quoting MRGO Design Memorandum 1-B (revised 1959)
    ¶19, at 5).
    19
    Case: 10-30249        Document: 00511997662          Page: 20     Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    public-policy considerations. If the government’s discretion is “grounded in the
    policy of the regulatory regime,” Gaubert, 
    499 U.S. at 325
    , the decision is
    immune under the DFE, even if it also may entail application of scientific prin-
    ciples. If it is susceptible only to the application of scientific principles, however,
    it is not immune.7
    For the government to enjoy DFE immunity, the deciding agent need not
    have actually considered any policy implications; instead, the decision must only
    be “susceptible to policy analysis.” Spotts, 
    613 F. 3d at 572
    . Under Gaubert, 
    499 U.S. at 324
    , “the very existence” of a law or regulation allowing a government
    employee discretion (satisfying Berkovitz’s first prong) “creates a strong pre-
    sumption that a discretionary act authorized by the regulation involves consid-
    eration of the same policies which led to the promulgation of the regulations.”
    The relevance of the grounds for the decision is strictly limited: “Evidence of the
    actual decision may be helpful in understanding whether the ‘nature’ of the deci-
    sion implicated policy judgments, but the applicability of the exemption does not
    turn on whether the challenged decision involved such judgments.” Cope v.
    Scott, 
    45 F.3d 445
    , 449 (D.C. Cir. 1995) (emphasis added).
    As discussed above, there is ample record evidence indicating the public-
    policy character of the Corps’s various decisions contributing to the delay in
    armoring Reach 2. Although the Corps appears to have appreciated the benefit
    of foreshore protection as early as 1967, the record shows that it also had reason
    to consider alternatives (such as dredging and levee “lifts”) and feasibility before
    committing to an armoring strategy that, in hindsight, may well have been opti-
    7
    See Bear Medicine v. United States ex rel. Sec’y of Interior, 
    241 F.3d 1208
    , 1214 (9th
    Cir. 2001) (stating that under Berkovitz, “actions based on technical or scientific standards are
    not the kind of judgments meant to be protected from liability by the [DFE] because those
    actions do not involve a weighing of policy considerations”); Ayala v. United States, 
    980 F.2d 1342
    , 1349-51 (10th Cir. 1992) (applying Berkovitz and concluding that “incorrect and inade-
    quate” technical advice was not discretionary, because it involved “objective principles of elec-
    trical engineering”) (internal quotation marks omitted).
    20
    Case: 10-30249       Document: 00511997662          Page: 21      Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    mal.       The Corps’s actual reasons for the delay are varied and sometimes
    unknown, but there can be little dispute that the decisions here were susceptible
    to policy considerations.8 Whatever the actual reasons for the delay, the Corps’s
    failure to armor timely Reach 2 is shielded by the DFE.9
    B. Applying the DFE to the Corps’s Dredge Permitting Process.
    The Anderson plaintiffs fare no better. In appealing the dismissal of their
    case, they rely on the following regulation:
    § 320.4 General policies for evaluating permit applications.
    (a) Public interest review.
    (a)(1) The decision whether to issue a permit will be based on an
    evaluation of the probable impact including cumulative impacts of
    the proposed activity and its intended use on the public interest.
    Evaluation of the probable impact which the proposed activity may
    have on the public interest requires a careful weighing of all those
    factors which become relevant in each particular case. The benefits
    which reasonably may be expected to accrue from the proposal must
    be balanced against its reasonably foreseeable detriments. The
    decision whether to authorize a proposal, and if so, the conditions
    under which it will be allowed to occur, are therefore determined by
    the outcome of the general balancing process. That decision should
    reflect the national concern for both protection and utilization of
    important resources. All factors which may be relevant to the pro-
    posal must be considered including the cumulative effects thereof:
    among those are conservation, economics, aesthetics, general envir-
    onmental concerns, wetlands, cultural values, fish and wildlife val-
    8
    Cf. Spotts, 
    613 F.3d at 573
     (“Whatever Maldonado’s actual decisionmaking process,
    it is clear that the health, safety, financial, and other feasibility concerns implicated by the
    evacuation decision render that decision susceptible to policy analysis.”).
    9
    The Robinson plaintiffs and amici point to record evidence suggesting that the Corps
    flatly failed to gauge the risks posed by leaving MRGO’s banks unarmored. Much, if not all,
    of the proffered evidence, however, suggests negligence in the original design of MRGO, includ-
    ing the “funnel effect,” and does not support the theory that the Corps’s decision to delay
    armoring was grounded in a purely scientific misjudgment.
    21
    Case: 10-30249       Document: 00511997662         Page: 22     Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    ues, flood hazards, flood plain values, land use, navigation, shore
    erosion and accretion, recreation, water supply and conservation,
    water quality, energy needs, safety, food and fiber production, min-
    eral needs and, in general, the needs and welfare of the people. No
    permit will be granted unless its issuance is found to be in the pub-
    lic interest.[10]
    The Anderson plaintiffs argue that the Corps’s issuance of dredging per-
    mits for the 17th Street Canal fails both prongs of the Berkovitz test. Prong one,
    they contend, is not met, because the regulation imposes a “non-discretionary
    duty” on what the Corps does; it is “replete with language couched in mandatory
    terms such as ‘will,’ ‘must,’ ‘requires,’ ‘determined,’ and ‘should,’” with such
    terms’ being included in almost every sentence. Prong two, they contend, is not
    met, because the regulation implicates matters of scientific judgment.
    The argument fails on both tries. The regulation “leaves it to a federal
    agency or employee to determine when and how to take action,” meaning that
    the Corps had discretion, satisfying prong one; “the ostensibly mandatory lan-
    guage,” “when read in light of the broad goals” of the regulation, allowed for the
    exercise of judgment and choice. Freeman, 
    556 F.3d at 337, 338
     (citation omit-
    ted). The regulation instructed the Corps to consider several factors, some tech-
    nical (e.g., shore erosion and accretion) but also many that concern policy (sum-
    marized by the catch-all “needs and welfare of the people”), satisfying prong two
    as well. The DFE is applicable to the Anderson plaintiffs, because the Corps’s
    action under the regulation satisfies both prongs of the Berkovitz test.
    V. Robinson Cross-Appeals.
    Four Robinson plaintiffs cross-appeal the ruling that the Corps is not lia-
    ble for some or all of the flooding that destroyed their homes. We review their
    10
    
    33 C.F.R. § 320.4
    (a)-(a)(1) (1984). The regulation quoted is the version in effect in
    1984. It has since changed in ways not relevant to this litigation.
    22
    Case: 10-30249     Document: 00511997662      Page: 23    Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    legal arguments de novo and their factual arguments under the deferential
    clear-error standard.
    A. The Robinsons.
    Norman and Monica Robinson, who reside within the New Orleans East
    polder, claim that MRGO created a “funnel effect” that increased the power of
    Hurricane Katrina’s storm surge such that the Reach 1 levee was breached and
    the Citrus Back levee was overtopped, exacerbating the flooding of their house.
    They also contend that the Corps should have installed a surge barrier, which
    would have prevented any significant flooding in New Orleans East. In re
    Katrina Canal Breaches, 
    647 F. Supp. 2d at 696
    . They contend that the Corps
    was negligent in its maintenance and operation of MRGO and its failure to cre-
    ate a surge-protection barrier.
    The district court found that the Corps permissibly relied on the “Bret-
    schneider and Collins Report,” which stated that MRGO’s effect on storm surge
    would generally be minimal. 
    Id.
     Therefore, the court reasoned, “a duty did not
    exist to construct a surge protection barrier,” and the Corps was not negligent
    for failing to construct the barrier or for the effects of a widened MRGO. 
    Id. at 697
    . In addition, the court found that the complained-of “funnel effect” would
    have been present in MRGO’s initial design and construction, meaning the Corps
    cannot be held liable for the plaintiffs’ damages because of the DFE. 
    Id.
    Plaintiffs contend that the court erred in finding that the Corps reasonably
    relied on the Bretschneider and Collins report, because later studies called it
    into question, a fact allegedly ignored by the district court. More specifically, the
    plaintiffs contend that though the Corps may have reasonably relied on the
    report when it was released, it was unreasonable to rely on it for the next thirty
    years while new reports came out calling its conclusions into question.
    Despite these contentions, the court did not clearly err in finding that the
    23
    Case: 10-30249     Document: 00511997662      Page: 24    Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    Corps was reasonable in relying on the report. Contrary to the plaintiffs’ conten-
    tions, the court did consider the later reports but still found that the Corps’s
    actions were reasonable and that it had no duty to erect a storm-surge barrier.
    See 
    id. at 696-97
    . Moreover, there were several later studies and occurrences
    that supported the Bretschneider and Collins report’s conclusions, including a
    2003 Corps study and the experience of Hurricane Camille. 
    Id. at 678
    . Thus,
    the district court did not commit clear error when it determined that the Corps
    had no duty to construct a storm surge barrier based on its reasonable reliance
    on the report, both when it was issued and in later decades.
    In addition to these arguments, however, the Robinsons urge that the
    maintenance of MRGO itself, regardless of the installation of a surge barrier,
    worsened the flooding of their area by an additional six feet of water on top of
    the six feet that would have been there anyway. The district court did not con-
    sider that distinct theory of liability in a separate section, but its findings imply
    that it considered and rejected the negligent-maintenance theory as well.
    The court intertwined its ruling on the surge-protection barrier with its
    ruling on the maintenance issue. The court called attention to the fact that, had
    MRGO remained at its original dimensions through proper maintenance, its
    original design would have caused the Robinsons’ property to suffer six feet of
    flooding regardless. “This fact indicates that a substantial portion of the harm
    would have arisen from the original design and presents substantial causation
    issues which will not be discussed based on the Court’s finding of no negligence.”
    
    Id. at 697
    . If harm from the original design were legally actionable, then, it
    would present a substantial causation issue only if it were mixed with another
    harm the court found non-actionable, namely, the added flooding caused by the
    widened MRGO. The Robinsons have not shown that the court clearly erred in
    rejecting their negligent-maintenance argument.
    24
    Case: 10-30249    Document: 00511997662     Page: 25   Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    B. The Franzes.
    The Franzes, who lived in the St. Bernard polder, allege that the Corps’s
    negligent maintenance of MRGO caused the destruction of their home via the
    breach of the Reach 2 levee. The district court found that the Corps was negli-
    gent in maintaining MRGO, which caused the breach of the Reach 2 levee and
    the destruction of many homes in the polder. 
    Id.
     The court found, however, that
    the Franzes’ home was destroyed by flooding from the breaches in the Inner Har-
    bor Navigation Canal (“IHNC”) floodwall (not caused by the Corps’s negligence
    in maintaining MRGO), not by floodwater from the Reach 2 levee breach, which
    reached the Franzes’ home some time later. 
    Id. at 735
    . But, the court found,
    “without the Reach 2 Levee breaching, the second floor would have not been
    flooded and the majority of the contents would not have been damaged.” 
    Id.
     It
    therefore awarded damages for the loss of possessions on the second floor but not
    for the loss of the house.
    The Franzes challenge the award by arguing that the court erred in find-
    ing that their home was destroyed by the IHNC waters. Claiming their evidence
    was unrebutted, they maintain that it was the Reach 2 waters that destroyed
    the foundation of the house, and the combination of the two waters standing still
    for three weeks destroyed its structure.
    Unfortunately for the Franzes, our application of the DFE moots their
    causation argument. Because the Corps may not be held liable for damages
    stemming from MRGO’s role in the St. Bernard flooding, we reverse the partial
    judgment in the Franzes’ favor and instead find for the government in full.
    VI. Conclusion.
    Our construction of the FCA leaves undisturbed the district court’s ruling
    on that issue. Our application of the DFE, however, completely insulates the
    government from liability. Accordingly, we REVERSE the judgments for Kent
    25
    Case: 10-30249     Document: 00511997662        Page: 26    Date Filed: 09/24/2012
    Nos. 10-30249, 10-31054, 11-30808
    Lattimore, Lattimore and Associates, and Tanya Smith and the partial judgment
    for the Franzes, and we AFFIRM the judgment for the government against the
    Robinsons. We also AFFIRM the judgment in Anderson11 and DENY, as moot,
    the government’s petition for a writ of mandamus to stay the Armstrong trial
    pending the Robinson decision.
    11
    Because we find the government immune in Anderson, we decline to reach its argu-
    ment that the plaintiffs failed to state a claim under Louisiana law.
    26
    

Document Info

Docket Number: 10-30249

Filed Date: 9/25/2012

Precedential Status: Precedential

Modified Date: 10/30/2014

Authorities (20)

Patsy Ayala, and Donna M. Ayala v. The United States of ... , 980 F.2d 1342 ( 1992 )

O'Reilly v. US Army Corp of Eng , 477 F.3d 225 ( 2007 )

Spotts v. United States , 613 F.3d 559 ( 2010 )

Freeman v. United States , 556 F.3d 326 ( 2009 )

Lehmann v. GE Global Insurance Holding Corp. , 524 F.3d 621 ( 2008 )

sabine-river-authority-and-texas-water-conservation-association , 951 F.2d 669 ( 1992 )

99-cal-daily-op-serv-3722-1999-daily-journal-dar-4783-central-green , 177 F.3d 834 ( 1999 )

marlys-bear-medicine-as-co-personal-representative-of-the-estate-of-leland , 241 F.3d 1208 ( 2001 )

Linda Henderson Robert Henderson, III Eric Henderson ... , 965 F.2d 1488 ( 1992 )

John R. Cope v. Roland G. Scott United States of America , 45 F.3d 445 ( 1995 )

city-of-shoreacres-city-of-shoreacres-city-of-taylor-lake-village-texas , 420 F.3d 440 ( 2005 )

In Re Katrina Canal Breaches Consolidated Litigation , 533 F. Supp. 2d 615 ( 2008 )

In Re Katrina Canal Breaches Consolidated Litigation , 577 F. Supp. 2d 802 ( 2008 )

In Re Katrina Canal Breaches Consolidated Litigation , 647 F. Supp. 2d 644 ( 2009 )

United States v. Sponenbarger , 60 S. Ct. 225 ( 1939 )

United States v. James , 106 S. Ct. 3116 ( 1986 )

Robertson v. Methow Valley Citizens Council , 109 S. Ct. 1835 ( 1989 )

United States v. Gaubert , 111 S. Ct. 1267 ( 1991 )

Central Green Co. v. United States , 121 S. Ct. 1005 ( 2001 )

Winter v. Natural Resources Defense Council, Inc. , 129 S. Ct. 365 ( 2008 )

View All Authorities »