Castle v. The United States of America
Filing
71
DECISION And ORDER granting # 51 Plaintiff's Motion for Partial Summary Judgment; granting in part and denying in part # 57 Defendant's Motion for Summary Judgment; and denying without prejudice # 62 Plaintiff's Cross-Motion to excl ude toxicology test results. The first and second elements of Plaintiff's First Claim (i.e., the elements of duty of care and breach of duty of care of Plaintiffs claim for negligence) shall be treated as established in this case. Plaintiff 39;s second claim is dismissed. Surviving these motions for summary judgment is Plaintiff's First Claim for negligence, specifically, the remaining element of proximate cause. Counsel are direct to appear on January 16, 2018 at 2:00 pm in Syrac use, NY, in chambers for a pretrial conference, at which time counsel are directed to appear with settlement authority, and in the event that the case does not settle, trial will be scheduled at that time to begin on March 26, 2018 with pretrial subm issions being due on March 5, 2018. Plaintiff is further directed to forward a written settlement demand to Defendants no later than January 2, 2018, and the parties are directed to engage in meaningful settlement negotiations before the conference. In the event that counsel feel settlement is unlikely, counsel may file a letter request at least one week before the scheduled conference advising that settlement is not feasible, and the Court will cancel the conference and issue a trial order scheduling trial for March 26, 2018. Signed by Chief Judge Glenn T. Suddaby on 12/18/17. (lmw)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF NEW YORK
___________________________________________
MARTIN W. CASTLE, JR.,
Plaintiff,
v.
1:15-CV-0197
(GTS/TWD)
THE UNITED STATES OF AMERICA,
Defendant.
___________________________________________
APPEARANCES:
OF COUNSEL:
MAINETTI, MAINETTI & O’CONNOR, P.C.
Counsel for Plaintiff
130 North Front Street
Kingston, NY 12401
JOSEPH E. O’CONNOR, ESQ.
MICHAEL E. KOLB, ESQ.
HON. GRANT C. JAQUITH
Acting United States Attorney for the N.D.N.Y.
Counsel for Defendant
James T. Foley U.S. Courthouse
445 Broadway
Albany, NY 12201
CATHLEEN B. CLARK, ESQ.
Assistant United States Attorney
GLENN T. SUDDABY, Chief United States District Judge
DECISION and ORDER
Currently before the Court, in this negligence action pursuant to the Federal Tort Claims
Act (“FTCA”) filed by Martin W. Castle, Jr., ("Plaintiff") against the United States of America
(“Defendant”), are the following three motions: (1) Plaintiff’s motion for partial summary
judgment; (2) Defendant’s motion for summary judgment; and (3) Plaintiff’s cross-motion
requesting the exclusion of certain evidence under Fed. R. Evid. 403. (Dkt. Nos. 51, 57, 62.)
For the reasons set forth below, Plaintiff’s motion for partial summary judgment is granted in
part and denied in part, Defendant’s motion for summary judgment is granted in part and denied
in part, and Plaintiff’s cross-motion is denied.
I.
RELEVANT BACKGROUND
A.
Plaintiff's Amended Complaint
Generally, Plaintiff's Amended Complaint asserts two distinct claims. (Dkt. No. 40 [Am.
Compl.].) First, Plaintiff alleges that Defendant is liable for personal injuries, property damages,
and other injuries and damages that he sustained in a motor vehicle accident on June 6, 2014,
which involved Plaintiff’s motorcycle and a postal vehicle driven by an employee of Defendant
(“First Claim”). (Id. at 2-5.) Second, Plaintiff alleges that Defendant is liable for personal
injuries, property damage, and other injuries and damages resulting from the June 6, 2014, motor
vehicle accident because Defendant’s employees were negligent, careless, and acted with
reckless disregard for the safety of others when devising (and failing to change) a mail route that
required USPS drivers to violate New York Veh. & Traff. Law (“VTL”) § 1161 and act in a
manner that is hazardous to other motorists, including Plaintiff (“Second Claim”). (Id. at 5-7.)
B.
Undisputed Material Facts on Plaintiff’s Motion for Summary Judgment
Before reciting the material facts related to Plaintiff’s motion, the Court must address
Defendant’s failure to fully comply with Local Rule 7.1 of the Local Rules of Practice for this
Court. Local Rule 7.1(a)(3) requires a Statement of Material Facts that sets forth, in numbered
paragraphs, each material fact about which the moving party contends there exists no genuine
dispute, supported by a specific citation to the record where that fact is established. N.D.N.Y.
L.R. 7.1(a)(3). The opposing party must file a response to the Statement of Material Facts that
mirrors that Statement by admitting and/or denying each of the movant’s assertions in matching
numbered paragraphs, supported by specific citations to the record where the factual issue arises.
Id. If the opposing party does not specifically controvert any properly supported facts in the
Statement of Material Facts, the Court shall deem them to be admitted. Id.
2
In responding to Plaintiff’s Statement of Material Facts, Defendant did not file a
statement with corresponding numbered paragraphs in accordance with Local Rule 7.1(a)(3).
(Dkt. No. 61, at 2-4 [Def.’s Opp’n Mem. of Law].)1 Defendant argues that Plaintiff did not
submit a Statement of Material Facts with numbered paragraphs to which it could respond;
however, Plaintiff did indeed submit numbered paragraphs containing asserted facts that
Defendant was required to admit or deny. The only specific fact from Plaintiff’s Statement of
Material Facts that Defendant explicitly denies is Paragraph 16, in which Defendant argues that,
contrary to Plaintiff’s assertion, Defendant did not intend to admit that Mr. Wachtel violated
VTL Section 1161, citing to a correction it made to a typo in its response to Plaintiff’s
interrogatories. (Id. at 2-3; Dkt. No. 61, Attach. 1, at 2.) Consequently, with the exception of
this single supported denial, Defendant’s failure to admit or deny the remainder of the facts
means that this Court deems those unaddressed facts that are supported by the record evidence as
admitted.2
Unless otherwise noted, the following facts were asserted and supported with accurate
record citations by Plaintiff in his Statement of Material Facts and either admitted based on
similar statements made in Defendant’s Statement of Material Facts or based on Defendant’s
failure to deny specific facts. (Compare Dkt. No. 51, Attach. 17 [Pl.’s Rule 7.1 Statement] with
Dkt. No. 61, at 2-4 [Def.’s Opp’n Mem. of Law].)
1
Page citations refer to the page numbers used on CM/ECF rather than the actual
page numbers contained in the respective documents.
2
Defendant indicated that it intended to incorporate its Statement of Material Facts
from its motion for summary judgment. (Dkt. No. 61, at 4 [Def.’s Opp’n Mem. of Law].)
Consequently, the Court considered whether Defendant implicitly admitted and/or denied
specific facts to the extent that Defendant’s Statement of Material Facts did or did not agree with
Plaintiff’s Statement of Facts.
3
1.
On June 6, 2014, David Wachtel was employed by the United States Postal
Service (“USPS”).
2.
On that day, he was operating a postal vehicle known as a long life vehicle
(“LLV”) in the course of such employment.
3.
Defendant contends that, at the time of the incident in question, Mr. Wachtel was
“actually engaged in work on a highway” within the meaning of VTL § 1103(b)
because Mike Krout Road was and is a public highway and “Mr. Wachtel was
working within the course of his employment with the USPS by delivering mail
on Rural Route 6 in accordance with that Route’s line of travel.”
4.
Defendant relies on no other facts in support of its contention that Mr. Wachtel
was “actually engaged in work on a highway” within the meaning of Section
1103(b).
5.
Defendant does not contend that, on June 6, 2014, Mr. Wachtel constructed,
repaired, or maintained any roads that were part of Rural Route 6.
6.
Defendant does not contend that, on June 6, 2014, it was Mr. Wachtel’s intention
to construct, repair, or maintain any roads that were part of Rural Route 6, or that
he was assigned to do so.
7.
Defendant does not contend that the LLV that Mr. Wachtel was operating on June
6, 2014, was designed or equipped to perform any kind of road construction,
repair, or maintenance work.
8.
On June 6, 2014, Plaintiff was operating a motorcycle in an easterly direction on
Mike Krout Road.
4
9.
On June 6, 2014, as Plaintiff was proceeding in an easterly direction on Mike
Krout Road, Mr. Wachtel made a U-turn, as defined in VTL § 158-a, on that road
at or near 100 Mike Krout Road.
10.
On that day, as the postal vehicle was making such a U-turn, there was contact
between the LLV and the motorcycle being operated by Plaintiff.
11.
The contact occurred in the vicinity of 100 Mike Krout Road in the Town of
Saugerties, State of New York.
12.
As a result of the contact or impending contact, Plaintiff was caused to be ejected
from the motorcycle and sustained personal injuries.
13.
The part of Mike Krout Road that is in front of 100 Mike Krout Road is on a
curve.
14.
Section 1161(a) of the New York Vehicle and Traffic Law provides that “[n]o
motor vehicle shall make a U-turn upon any curve, or upon the approach to, or
near the crest of a grade, where such motor vehicle cannot be seen by the driver of
any other motor vehicle approaching from either direction within five hundred
feet.”
15.
The LLV at 100 Mike Krout Road would not have been visible to a vehicle
approaching from the east if it was 500 feet away from the LLV.
16.
Mr. Wachtel pled guilty to violating Section 1161(a).
17.
Plaintiff’s line of sight from the point where he came out of the curve on Mike
Krout Road to 100 Mike Krout Road was estimated by Defendant’s expert,
Eugene Camerota, to be approximately 336 feet and by Plaintiff’s expert to be
less than 350 feet.
18.
Plaintiff presented a claim to the USPS on August 5, 2014.
5
C.
Undisputed Material Facts on Defendant’s Motion for Summary Judgment
Unless otherwise noted, the following facts were asserted and supported with accurate
record citations by Defendant in his Statement of Material Facts and expressly admitted by
Plaintiff in his response thereto or denied without appropriate record citations. (Compare Dkt.
No. 57, Attach. 2 [Def.’s Rule 7.1 Statement] with Dkt. No. 62, Attach. 3 [Pl.’s Rule 7.1 Resp.].)
1.
Plaintiff’s lawsuit arises out of a motor vehicle accident that occurred in the late
morning on June 6, 2014.
2.
June 6, 2014, was a clear, sunny day in Saugerties, New York.
3.
The accident occurred at 100 Mike Kraut Road, Saugerties, New York.
4.
Mike Krout Road is a publically maintained road that is open to the public for
purposes of vehicular traffic.
5.
When the accident occurred, Plaintiff was driving a 1980 Yamaha 400 Special
motorcycle on Mike Krout Road.3
6.
Before the accident, Plaintiff’s father had noticed that the rear tire needed
replacing.
7.
Plaintiff’s father informed Plaintiff that the rear tire needed replacement.
8.
Plaintiff’s father did not anticipate that anyone would ride the motorcycle until he
had an opportunity to replace the bald rear tire.
3
Plaintiff denied Defendant’s assertion that the motorcycle was owned by his
father, asserting that he testified in his deposition that he owned the motorcycle. (Dkt. No. 62,
Attach. 3, at 1 [Pl.’s Rule 7.1 Resp.].) Because the evidence cited by both parties supports each
of their assertions, the portion of Defendant’s ¶ 5 regarding the ownership of the motorcycle has
been omitted from this asserted fact. However, because both parties appear to agree (and the
cited evidence supports) that Plaintiff was driving the specified motorcycle on June 6, 2014, this
portion of ¶ 5 has been included.
6
9.
At the time of the accident, Plaintiff was heading home on Mike Krout Road after
leaving his work at Blue Mountain Paving.
10.
Mr. Wachtel was driving the USPS vehicle that Plaintiff hit on June 6, 2014.
11.
At the time of the accident, Mr. Wachtel was a rural mail carrier for the USPS.
12.
At the time of the accident, Mr. Wachtel had been employed as a mail carrier for
the USPS for the prior 28 years.
13.
At the time of the accident, Mr. Wachtel was engaged in his work for the USPS
delivering mail along Mike Krout Road.
14.
Mr. Wachtel’s mail route, which took him along Mike Krout Road, was known as
Rural Route 6.
15.
The mail route that Mr. Wachtel was required to follow for Rural Route 6 was set
forth on PS Form 4003, also known as a “line of travel report.”4
16.
Rural Route 6 required that the carrier turn around at 100 Mike Krout Road.
17.
When Mr. Wachtel departed the Saugerties Post Office on the morning of June 6,
2014, to perform his mail deliveries, the four-way hazard lights on Mr. Wachtel’s
LLV were operational and were in the “on” position.
18.
In order to fulfill their mission of delivering mail, USPS rural letter carriers must
make frequent stops and drive below the posted speed limit.
4
(Compare Dkt. No. 57, Attach. 2, at ¶ 20 [Def.’s Rule 7.1 Statement, asserting the
above-stated fact and citing record evidence establishing the above-stated fact] with Dkt. No. 62,
Attach. 3, at ¶ 20 [Pl.’s Rule 7.1 Resp., admitting the above-stated fact but adding additional
facts].) See Goldstick v. The Hartford, Inc., 00-CV-8577, 2002 WL 1906029, at *1 (S.D.N.Y.
Aug. 19, 2002) (striking plaintiff’s Rule 7.1 statement, in part, because plaintiff added
“argumentative and often lengthy narrative in almost every case, the object of which is to ‘spin’
the impact of the admissions plaintiff has been compelled to make”).
7
19.
In order to deliver mail, rural carriers must also frequently ride on the shoulder of
busy roads and perform U-turns in the middle of a road.
20.
These operations and maneuvers will restrict, impede, or interfere with the normal
flow of traffic.5
21.
The USPS mail trucks, known as LLVs, are equipped with hazard lights that are
utilized when a USPS driver is engaged in the delivery of mail.
22.
Mr. Wachtel first started as the mail carrier on Rural Route 6 in 1988.
23.
Mr. Wachtel switched to a different route for a time, but he returned to Rural
Route 6 in 2006.
24.
From 2006 through June 6, 2014, Mr. Wachtel was the full-time carrier for Rural
Route 6.
25.
Plaintiff testified that, just prior to the accident on June 6, 2014, he observed Mr.
Wachtel’s LLV about 50 feet east of the mailbox at 100 Mike Krout Road.
26.
As Plaintiff approached the LLV, there was no other traffic on the road.
27.
As the Plaintiff traveled on Mike Krout Road at 25 mph, Plaintiff observed the
LLV pull into the driveway at 100 Mike Krout Road.6
5
Plaintiff denies this statement, but his reasoning for that denial does not actually
address the statement made in this paragraph, nor does the portion of the record referred to
support Plaintiff’s denial. (Dkt. No. 62, Attach. 3, at ¶ 25 [Pl.’s Rule 7.1 Resp.].) Consequently,
this statement is deemed admitted. See Holtz v. Rockafeller & Co., 258 F.3d 62, 73-74 (2d Cir.
2001) (noting that, “where the cited materials do not support the factual statement in the
Statements, the Court is free to disregard the assertions”).
6
Although Plaintiff purports to deny this statement, he offers no evidence that this
was not his testimony, and in fact admits that it was. (Dkt. No. 62, Attach. 3, at ¶ 33 [Pl.’s Rule
7.1 Resp.].) He bases his denial on testimony from Mr. Wachtel, which in no way undermines
the underlying statement regarding what Plaintiff testified he observed. Because the cited
evidence therefore does not support Plaintiff’s denial of Defendant’s actual statement, this
statement is deemed admitted. Holtz, 258 F.3d at 73-74.
8
28.
Plaintiff then observed the LLV start to come out onto Mike Krout Road for a
turn.7
29.
It was Mr. Wachtel’s routine practice to keep his hazard lights on, instead of
using his turn signal, when turning around at Mike Krout Road.
30.
Mr. Wachtel’s four-way flashers were in the “on” position and were operational
when he left the Post Office to begin his route that day.
31.
Plaintiff cannot recall whether the LLV’s four-way flashers were on when he
approached.
32.
Mr. Wachtel checked his mirrors before beginning the U-turn.
33.
Mr. Wachtel first checked the right mirror and then his left mirrors.
34.
Plaintiff could have come to a stop if he felt the need to.8
35.
When Plaintiff observed the LLV coming out to make a turn, he “tried to get on
the other side of him.”
7
Plaintiff denies this statement, asserting that Defendant’s use of the term “come
out” is ambiguous because Plaintiff never used those words and they do not indicate where the
LLV came out from. (Dkt. No. 62, Attach. 3, at ¶ 34 [Pl.’s Rule 7.1 Resp.].) However, the
portion of Plaintiff’s testimony cited by Defendant in support of this statement makes it clear
that Plaintiff testified that Mr. Wachtel pulled out into the road after turning slightly into the
driveway at 100 Mike Krout Road. (Dkt. No. 57, Attach. 9, at 50-52 [Pl.’s Dep.].) The cited
testimony therefore supports Defendant’s statement despite the fact that Plaintiff used the term
“pull out” rather than “come out” onto Mike Krout Road. Because Plaintiff does not cite record
evidence showing that Defendant’s statement is inaccurate, it is deemed admitted. Holtz, 258
F.3d at 73-74; see Archie Comic Publ’ns, Inc. v. DeCarlo, 258 F. Supp. 2d 315, 319 (S.D.N.Y.
2003) (holding that “the facts set forth in [plaintiff’s] statement are deemed established” where
defendant denied assertions in plaintiffs Rule 56.1 statement but declined to provide record
citations in support).
8
Plaintiff denies this statement, citing generally to “the entirety of [Plaintiff’s]
testimony at pages 64-65. (Dkt. No. 62, Attach. 3, at ¶ 43 [Pl.’s Rule 7.1 Resp.].) However,
there is nothing within these pages that contradicts the statement cited by Defendant.
Consequently, this statement is deemed admitted. Holtz, 258 F.3d at 73-74.
9
36.
Plaintiff “slammed on the back brakes” and the back brake locked up.
37.
Plaintiff then threw the motorcycle and jumped into the grass.
38.
The 34-year-old motorcycle Plaintiff was driving hit the LLV’s rear driver’s side
tire.
39.
Plaintiff alleges in his Complaint that, when Mr. Wachtel performed a U-turn, it
caused the “motorcycle to . . . slide.”
40.
Detective9 Patrick Hastings’ diagram on the police accident report of June 6,
2014, shows the LLV heading back in a westerly direction on Mike Krout Road.
41.
Detective Hastings’ diagram accurately reflects the location of the vehicles when
he arrived at the scene.10
42.
Detective Hastings concluded that the LLV had nearly completed its U-turn and
was headed west when Plaintiff’s motorcycle struck the rear driver’s side tire.
43.
Detective Hastings photographed a single skid mark in the middle of Mike Krout
Road, which he believed to be from Plaintiff’s motorcycle.
9
Although Plaintiff correctly notes that the Police Accident Report refers to
Detective Hastings as a Patrolman at the time of the accident, Detective Hastings’ Declaration of
March 22, 2017, shows that he is currently a Detective. (Dkt. No. 57, Attach. 15, at 3, 7.)
Because it is not clear that Detective Hastings’ specific rank is itself a material fact in this case,
he will be referred to as Detective Hastings in this Decision and Order.
10
Plaintiff denies this statement, citing to testimony from Joanna Groff that the LLV
was in a different position when she arrived at the scene. (Dkt. No. 62, Attach. 3, at ¶ 43 [Pl.’s
Rule 7.1 Resp.].) However, Plaintiff does not cite any testimony from Ms. Groff that she arrived
at the scene at the same time as Detective Hastings. Consequently, Ms. Groff’s testimony does
not contradict Defendant’s statement inasmuch as it states that Detective Hastings’ diagram was
accurate at the time he arrived at the scene. This statement is deemed admitted. Holtz, 258 F.3d
at 73-74.
10
44.
Detective Hastings gave both Mr. Wachtel and Plaintiff traffic tickets at the scene
of the accident.
45.
Mr. Wachtel received a ticket for performing a U-turn in a location that violated
VTL § 1161(a).11
46.
Mr. Wachtel’s traffic ticket for failing to yield the right-of-way to Plaintiff was
dismissed.
47.
Plaintiff received a ticket for operating a motorcycle with a bald rear tire.
48.
EMTs arrived from Diaz Ambulance to provide medical attention to Plaintiff.
49.
Plaintiff told EMTs that “he hit a mail truck” and he complained of back pain.
50.
Plaintiff was transferred to Kingston Hospital where he again provided an account
of the accident, stating that he was “riding [his motorcycle] and ran into the back
of a truck.”
51.
Plaintiff was ultimately diagnosed with a fracture of the lumbar spine and he was
transported to Albany Medical Center.
52.
At Albany Medical Center, Plaintiff underwent back surgery and was discharged
home on June 12, 2014.
53.
When he was discharged, Plaintiff was ambulatory and he was directed to followup on an outpatient basis with physical therapy.
11
(Compare Dkt. No. 57, Attach. 2, at ¶ 55 [Def.’s Rule 7.1 Statement, asserting the
above-stated fact and citing record evidence establishing the above-stated fact] with Dkt. No. 62,
Attach. 3, at ¶ 55 [Pl.’s Rule 7.1 Resp., admitting the above-stated fact but adding additional
facts].) See Goldstick, 2002 WL 1906029, at *1.
11
D.
Parties’ Briefing on the Pending Motions
1.
Plaintiff’s Partial Motion for Summary Judgment
a.
Plaintiff’s Memorandum of Law
In his motion for partial summary judgment, Plaintiff requests that the Court (a) dismiss
Defendant’s Twelfth Affirmative Defense because the applicable legal standard of care is
negligence rather than recklessness, and (b) grant summary judgment on the issue of whether
Mr. Wachtel breached his duty of care based on his performance of a U-turn that was unlawful
under VTL § 1161(a).12 (Dkt. No. 51, Attach. 18, at 5 [Pl.’s Mem. of Law].) More specifically,
first, Plaintiff argues that the applicable standard is negligence because Mr. Wachtel was not
“actually engaged in work on a highway” as required by VTL § 1103(b) for application of a
recklessness standard. (Id. at 13-18.) Second, Plaintiff argues that Mr. Wachtel’s violation of
VTL § 1161 (which prohibits U-turns in relevant situations) amounts to negligence per se
(meaning a breach of the duty of care based on violation of a statute) because that statute
specifies elements that define the duty Mr. Wachtel owed to other drivers when making a U-turn.
(Id. at 22-23.)
12
On page three of his memorandum of law, Plaintiff argues that he is seeking
summary judgment only on the elements of the existence of a duty and breach of that duty, not
on the element of proximate causation, which is a separate and distinct element in a claim of
negligence. Cf. Mahar v. U.S. Xpress Enters., Inc., 688 F. Supp. 2d 95, 108 (N.D.N.Y. 2010)
(Sharpe, J.) (noting that “‘evidence of [breach of an owed duty] is not enough by itself to
establish liability,’” but that “it must be proved that the [breach] was the cause of the event
which produced the harm alleged,” and that even where a court finds negligence per se [i.e.,
breach of the owed duty] based on a violation of a statute or ordinance, “proximate cause is still
an essential element of liability.”) (quoting Sheehan v. City of New York, 354 N.E.2d 832 [N.Y.
1976]).
12
b.
Defendant’s Opposition Memorandum of Law
Generally, in opposition to Plaintiff’s motion, Defendant makes three arguments. First,
in opposition to Plaintiff’s first argument, Defendant argues that rural letter carriers engaged in
their official duties on a highway are entitled to the higher recklessness standard. (Dkt. No. 61, at
4-7 [Def.’s Opp’n Mem. of Law].) Second, in opposition to Plaintiff’s second argument,
Defendant argues that the FTCA does not create liability under a negligence per se theory
because the FTCA does not waive the Government’s sovereign immunity such that it can be held
liable under strict or absolute liability standards. (Id. at 8-10.) Additionally, Defendant argues
that Mr. Wachtel’s violation of the statute should be disregarded because he was required to
make the unlawful U-turn as part of his route, a route that was devised at the discretion of the
USPS. (Id. at 8-9.) Relatedly, Defendant argues that violation of a traffic law does not establish
negligence as a matter of law, but is rather only one factor to consider. (Id. at 10-11.) Third,
Defendant argues that a state traffic law cannot be used to direct or regulate the actions of the
USPS (an entity of the federal government) because such a situation would violate the
Supremacy Clause of the United States Constitution. (Id. at 11-13.) Defendant argues that a
state statute cannot regulate the conduct of a federal entity, much less serve as a basis for a
negligence per se theory of liability against that entity. (Id. at 14.)
c.
Plaintiff’s Reply Memorandum of Law
Generally, Plaintiff makes three arguments in reply to Defendant’s opposition
memorandum of law. First, Plaintiff argues again that the applicable standard is ordinary
negligence based on New York case law. (Dkt. No. 69, at 5-7 [Pl.’s Reply Mem. of Law].)
Second, Plaintiff argues that he is not seeking to hold Defendant strictly liable (which would
13
impose liability regardless of the presence of a negligent act), but rather based on Mr. Wachtel’s
breach of the duty of care he owed to Plaintiff when executing the unlawful U-turn. (Id. at 10.)
Plaintiff argues that other courts have found it permissible to apply a negligence per se theory of
liability under New York law to government defendants (including the USPS). (Id.) Plaintiff reiterates that he is not seeking summary judgment on the element of proximate cause and overall
liability, but rather only on the elements of duty of care and breach of that duty. (Id. at 10-11.)
Third, Plaintiff argues that the Supremacy Clause does not bar application of New York traffic
laws to USPS drivers, noting in particular that the USPS has adopted policies that indicate their
drivers are subject to those traffic laws. (Id. at 11-12.)
2.
Defendant’s Motion for Summary Judgment
a.
Defendant’s Memorandum of Law
In its motion for summary judgment, Defendant requests that the Court (a) dismiss
Plaintiff’s Second Claim based on the discretionary function exception to the FTCA, and (b)
grant summary judgment for Defendant on Plaintiff’s First Claim because Plaintiff has not
adduced evidence that Defendant acted recklessly, or even negligently. (Dkt. No. 57, Attach. 3,
at 2-4, 13, 26-28 [Def.’s Mem. of Law].) First, Defendant argues that Plaintiff’s Second Claim
is barred by the discretionary function exception to the FTCA because (a) the USPS exercised
discretion when designing and inspecting Rural Route 6, and (b) the decision to include a U-turn
at the place where the accident occurred is susceptible to policy analysis. (Id. at 17-23.)
Relatedly, Defendant argues that a state law such as the traffic law at issue here cannot serve as a
mandate on the federal government that would suggest that the USPS did not have discretion in
designing the route. (Id. at 19-21.) Second, Defendant argues that Plaintiff has not adduced
14
sufficient evidence to meet the burden of proof to show that Mr. Wachtel acted recklessly, and
has failed to create a genuine dispute of material fact as to whether Mr. Wachtel was negligent.
(Id. at 23-28.)
b.
Plaintiff’s Opposition Memorandum of Law
Generally, in opposition to Defendant’s motion, Plaintiff makes two arguments. First, in
opposition to Defendant’s first argument, Plaintiff concedes that the second prong of the
discretionary function test has been met, but argues that there is a genuine dispute of material
fact as to whether the USPS was exercising discretionary authority to include an unlawful U-turn
in Rural Route 6. (Dkt. No. 62, at 8-9 [Pl.’s Opp’n Mem. of Law].) Plaintiff argues that the
USPS postal worker handbooks requiring postal drivers to follow the same traffic laws as other
motorists are federal rules that sufficiently eliminated the Postmaster’s authority to devise a
route that requires USPS drivers to violate the VTL. (Id. at 10-12.) Second, in opposition to
Defendant’s second argument, Plaintiff argues again that the applicable standard is negligence,
but asserts, in the alternative, that there is a genuine dispute of material fact as to whether
Defendant acted recklessly if that is determined to be the applicable standard. (Id. at 20-29.)
c.
Defendant’s Reply Memorandum of Law
Generally, Defendant makes five arguments in reply to Plaintiff’s opposition
memorandum of law. First, Defendant argues that Mr. Wachtel was engaged in work on a
highway at the time of the accident and therefore the recklessness standard applies. (Dkt. No.
70, at 1-3 [Def.’s Reply Mem. of Law].) Second, Defendant argues that the admissible record
evidence establishes that Mr. Wachtel’s violation of the traffic law was not the proximate cause
of the collision. (Id. at 4-5.) Third, Defendant argues that there is no federal statute that
15
mandates how the USPS designs its mail routes, and that statements from the USPS handbooks
are not a federal policy that restricts the USPS’ ability to design routes in ways that are contrary
to state traffic laws. (Id. at 6-7.) Fourth, Defendant argues again that state traffic laws cannot be
used to impose strict liability on the federal government. (Id. at 8-9.) Fifth, and finally,
Defendant argues that, because there is no evidence establishing that Mr. Wachtel acted
negligently or recklessly, there is no genuine dispute of material fact and summary judgment
should be granted to Defendant on Claim One. (Id. at 9-10.)
3.
Plaintiff’s Cross-Motion
a.
Plaintiff’s Memorandum of Law
As part of his opposition to Defendant’s motion for summary judgment, Plaintiff raises a
cross-argument that inconclusive evidence of his alleged marijuana use should be excluded for
the purposes of both this motion and trial pursuant to Fed. R. Evid. 403 because that evidence is
not material or relevant, and the prejudicial effect of admitting the evidence would outweigh the
probative value. (Dkt. No. 62, Attach. 4, at 29-30 [Pl.’s Opp’n Mem. of Law].)
b.
Defendant’s Opposition Memorandum of Law
In opposition to Plaintiff’s cross-motion, Defendant argues that the motion should be
denied without prejudice because it is premature, or, if considered, because Plaintiff’s credibility
regarding drug use on the morning of the accident is material to the issue of proximate cause and
contributory liability. (Dkt. No. 70, at 10-11 [Def.’s Reply Mem. of Law].) Defendant also
argues that, because any trial in this case would be a bench trial, the Court should not exclude
evidence because it will know what evidence is proper to consider. (Id.)
16
II.
LEGAL STANDARD GOVERNING A MOTION FOR SUMMARY JUDGMENT
Under Fed. R. Civ. P. 56, summary judgment is warranted if "the movant shows that
there is no genuine dispute as to any material fact and that the movant is entitled to a judgment
as a matter of law." Fed. R. Civ. P. 56(a). A dispute of fact is "genuine" if "the [record]
evidence is such that a reasonable jury could return a verdict for the [non-movant]." Anderson v.
Liberty Lobby, Inc., 477 U.S. 242, 248 (1986).13 As for the materiality requirement, a dispute of
fact is "material" if it "might affect the outcome of the suit under the governing law . . . . Factual
disputes that are irrelevant or unnecessary will not be counted." Anderson, 477 U.S. at 248.
In determining whether a genuine issue of material fact exists, the Court must resolve all
ambiguities and draw all reasonable inferences against the movant. Anderson, 477 U.S. at 255.
In addition, "[the movant] bears the initial responsibility of informing the district court of the
basis for its motion, and identifying those portions of the . . . [record] which it believes
demonstrate[s] the absence of any genuine issue of material fact." Celotex v. Catrett, 477 U.S.
317, 323-24 (1986). However, when the movant has met its initial burden, the non-movant must
come forward with specific facts showing a genuine issue of material fact for trial. Fed. R. Civ.
P. 56(a), (c), (e).14
13
As a result, "[c]onclusory allegations, conjecture and speculation . . . are
insufficient to create a genuine issue of fact." Kerzer v. Kingly Mfg., 156 F.3d 396, 400 (2d Cir.
1998) [citation omitted]. As the Supreme Court has explained, "[The non-movant] must do more
than simply show that there is some metaphysical doubt as to the material facts." Matsushita
Elec. Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 585-86 (1986).
14
Among other things, Local Rule 7.1(a)(3) requires that the non-movant file a
response to the movant's Statement of Material Facts, which admits or denies each of the
movant's factual assertions in matching numbered paragraphs, and supports any denials with a
specific citation to the record where the factual issue arises. N.D.N.Y. L. R. 7.1(a)(3).
17
III.
ANALYSIS15
A.
Whether the Heightened Standard of Recklessness Governs Plaintiff’s
Claims
After carefully considering the matter, the Court answers this question in the negative for
the reasons stated in Plaintiff’s memoranda of law. (Dkt. No. 51, Attach. 18, at 12-21 [Pl.’s
Mem. of Law]; Dkt. No. 69, at 5-7 [Pl.’s Reply Mem. of Law].) To those reasons, the Court
adds the following analysis.
Section 1103(b) of the New York Vehicle and Traffic Law states that Sections 1192
through 1196 of that title (regulating driving conduct) do not apply to “persons, teams, motor
vehicles, and other equipment while actually engaged in work on a highway,” and that Section
1202(a) (related to stopping, standing, and parking) does not apply to “hazard vehicles when
actually engaged in hazardous operation on or adjacent to a highway.” N.Y. Veh. & Traf. Law §
1103(b). It further states that these exceptions (a) “shall not relieve any person, [] team, or any
operator of a motor vehicle or other equipment while actually engaged in work on a highway
from the duty to proceed at all times during all phases of such work with due regard for the
safety of all persons,” and (b) shall not “protect such persons or teams or such operators of motor
vehicles or other equipment from the consequences of their reckless disregard for the safety of
others.” Id.
15
Section 1346(b) of Title 28 of the United States Code provides that, in FTCA
cases, the liability of the United States for negligent acts is “in accordance with the law of the
place where the act or omission occurred.” 28 U.S.C. § 1346(b). Both parties agree that the
applicable substantive law in this case is New York law because the accident occurred in New
York State. (Dkt. No. 51, Attach. 18, at 6 [Pl.’s Mem. of Law]; Dkt. No. 57, Attach. 3, at 11
[Def.’s Mem. of Law].)
18
Both parties acknowledge that the vehicle driven by a rural letter carrier such as Mr.
Wachtel is classified as a hazard vehicle under VTL § 117-a, and therefore is exempt from the
stopping, standing, and parking restrictions in Section 1202(a). However, because Mr.
Wachtel’s conduct at issue in this case (a U-turn violating Section 1161[a]) did not involve
stopping, standing, or parking as discussed in Section 1202(a), he was not exempt from
following Section 1161 by virtue of driving a hazard vehicle engaged in hazardous operation.
N.Y. Veh. & Traf. Law § 1103(b). Consequently, a recklessness standard is not applicable to
Mr. Wachtel based on his status as a driver of a hazard vehicle engaged in hazardous operation.16
Nonetheless, Section 1103(b) provides another situation in which the recklessness standard
applies: when the actor is “actually engaged in work on a highway.” Id. Because the parties
disagree as to whether Mr. Wachtel was “actually engaged in work on a highway,” that is the
pertinent question the Court must answer.
16
The Court notes that there are conflicting indications of whether the recklessness
standard applies to hazard vehicles engaged in hazardous operation. A plain reading of Section
1103(b) suggests that the recklessness portion of Section 1103(b) is applicable only to those
actually engaged in work on a highway based on the lack of reference to hazard vehicles
engaged in hazardous operation when discussing the standard of care. N.Y. Veh. & Traf. Law §
1103(b). See also Cottingham v. State, 701 N.Y.S.2d 290, 299-300 (N.Y. Ct. Cl. 1999) (noting
that Section 1103(b) “does not explicitly make the reckless disregard standard of care applicable
to hazard vehicles”). However, a memorandum from the New York Attorney General from
April 17, 1974, indicates that the changes to Section 1103(b) were intended to “extend the
standard of care presently applicable to drivers of authorized emergency vehicles under § 1104
of said law to persons engaged in maintenance and hazardous operations.” (Dkt. No. 61, Attach.
3, at 3.) See also Green v. Covington, 750 N.Y.S.2d 162, 163-64 (N.Y. App. Div. 3rd Dep’t
2002) (finding that the recklessness standard was applicable where a hazard vehicle was stopped
on the side of the road). Fortunately, the Court need not decide whether the recklessness
standard applies to hazard vehicles engaged in hazardous operation because Mr. Wachtel’s Uturn was not the type of conduct that hazard vehicles engaged in hazardous operation are
exempted from under Section 1103(b).
19
The Court agrees with Plaintiff that the relevant case law supports a much narrower
definition of “actually engaged in work on a highway” than Defendant suggests. More
specifically, decisions from New York courts generally interpret “work on a highway” to
constitute conduct such as road maintenance, construction and repair, snow plowing, and street
sweeping. See Oliveira v. City of Mount Vernon, 209 F. App’x 82, 83-84 & n.1 (2d Cir. 2006)
(finding that a snowplow was entitled to the recklessness standard not because it was a hazard
vehicle but because it was actually engaged in work on a highway at the time of the accident);
Deleon v. New York City Sanitation Dep’t, 35 N.E.3d 1102, 1106 (N.Y. 2015) (finding the
recklessness standard applicable for a street sweeper where the driver was operating the sweeper
at the time of the accident ); Riley v. County of Broome, 742 N.E.2d 98, 102 (N.Y. 2000) (noting
that the legislative history of Section 1103[b] indicates that the intention was to “create a broad
exception from the rules of the road for all vehicles engaged in highway construction,
maintenance, or repair, regardless of their classification” and that “the exemption turns on the
nature of the work being performed (construction, repair, maintenance or similar work)–not on
the nature of the vehicle performing the work”); Bliss v. State, 742 N.E.2d 106, 106-07 (N.Y.
2000) (finding that a construction truck was entitled to the recklessness standard because he was
actually engaged in work on a highway at the time of the accident); Matsch v. Chemung Cnty.
Dep’t Pub. Works, 9 N.Y.S.3d 724, 725-26 (N.Y. App. Div. 3rd Dep’t 2015) (finding the
recklessness standard applied to a street sweeper); Gawron v. Town of Cheektowaga, 984
N.Y.S.2d 715, 716 (N.Y. App. Div. 4th Dep’t 2014) (applying the recklessness standard to a
truck with a plow that was removing water from a road); Ryan v. Town of Smithtown, 854
N.Y.S.2d 483, 483-84 (N.Y. App. Div. 2d Dep’t 2008) (finding that a dump truck was entitled to
the recklessness standard because it was actually engaged in work on a highway when spreading
20
sand on the roadway during a snowfall); New York State Elec. & Gas Corp. v. State of New York,
789 N.Y.S.2d 255, 255-56 (N.Y. App. Div. 2d Dep’t 2005) (finding that the recklessness
standard was applicable to an employee mowing a grassy area along a state highway to the
extent he was engaged in work on a highway). Although the exact definition of “work on a
highway” does not appear in Section 1103(b), the vast number of decisions from New York
courts suggest that it involves activities such as construction and maintenance of the road itself.
The only case that Defendant cites that supports its argument that “work on a highway”
includes delivering mail is Haust v. United States, 11-CV-0153, 2014 WL 1783584 (N.D.N.Y.
2014) (Hurd, J.). In Haust, the court found that a rural letter carrier who was turning around
when the accident occurred was entitled to the reckless standard of care based on her status as
the “driver of a hazard vehicle engaged in covered work.” Haust, 2014 WL 1783584, at *2-3.
However, the court did not explain the basis of its finding that delivering mail was considered
work covered by Section 1103(b) (i.e., work on a highway). Id. The court did note that the VTL
defines vehicles driven by rural letter carriers as hazard vehicles, but acknowledged that Riley
concluded that, “‘the exemption turns on the nature of the work being performed . . . not on the
nature of the vehicle performing the work.’” Id. (quoting Riley, 742 N.E.2d at 102).
Consequently, it is not clear on what basis the court concluded that a rural letter carrier was
entitled to the recklessness standard. This Court therefore respectfully declines to follow the
example in Haust based on review of decisions of the New York courts.
Defendant also argues that, in Riley, the New York Court of Appeals “expressly included
rural letter carriers within its definition of vehicles engaged in ‘road work’ under [Section]
1103(b).” (Dkt. No. 61, at 5 [Def.’s Opp’n Mem. of Law].) However, there are multiple flaws
21
in Defendant’s argument. First, as Defendant acknowledges, the portion of Riley where rural
letter carriers are mentioned is dicta rather than part of the Court of Appeals’ holding. See In re
Kornblum & Co., Inc., 81 F.3d 280, 285 (2d Cir. 1996) (noting that statements in a previous
Second Circuit case were dicta because they were not necessary to resolve the issue presented
and therefore were not controlling). Second, even if this Court were to follow the Court of
Appeals’ dicta, the statements that Defendant cites do not support its argument. Notably,
although Riley cites language that specifically mentions rural letter carriers, the court never
suggests, as Defendant argues, that rural letter carriers delivering mail are “actually engaged in
work on a highway.” Riley, 742 N.E.2d at 105. Such a suggestion would be inconsistent with
the court’s actual finding that “work on a highway” corresponded with activities like “highway
construction, maintenance, or repair.” Riley, 742 N.E.2d at 102. Third, Defendant’s focus on the
dicta in Riley is misplaced because the case that Riley quotes for the language discussing rural
letter carriers (Gawelko v. State, 710 N.Y.S.2d 762 [N.Y. Ct. Cl. 2000]) states that the standard
for imposing liability is that of reckless disregard “when each category of vehicle [(emergency,
hazard, etc.)] is operated properly within its area of exemption. . . .’” Gawelko, 710 N.Y.S.2d at
764 (emphasis added).17 Performance of a U-turn is not within the area of exemption for hazard
vehicles, as discussed previously. Indeed, the Riley court specifically noted that the portion of
17
Although the language from Gawelko that is quoted in Riley appears to suggest
that the Gawelko court found that rural letter carriers are permitted to engage in activities such as
speeding, driving on the wrong side of the road, ignoring pedestrian rights and right-of-ways,
and disregarding traffic signs and signals, it is clear from the full context of that decision that this
was not the court’s interpretation. Gawelko, 710 N.Y.S.2d at 764. Taken in context, the quoted
language was part of the court’s discussion of the fact that Section 1103(b) exempts hazard
vehicles not actually engaged in work on a highway only from the provisions of Section 1202(a)
rather than including them in the broader exemption otherwise mentioned in Section 1103(b) for
vehicles actually engaged in work on a highway. Id.
22
Section 1103(b) related to hazard vehicles engaged in hazardous operation is “wholly unrelated”
to the portion related to vehicles (including hazard vehicles) actually engaged in work on a
highway. Riley, 742 N.E.2d at 102. Simply stated, neither Riley nor Gawelko support
Defendant’s argument that the recklessness standard should be applied to Mr. Wachtel, because
he (a) was not engaged in work on a highway as the New York courts have interpreted that term,
and (b) was engaged in conduct that went beyond the scope of exemption for hazard vehicles
engaged in hazardous conduct.
Defendant also argues that Matsch supports its interpretation, but that reliance is likewise
misplaced. (Dkt. No. 61, at 6-7 [Def.’s Opp’n Mem. of Law].) Specifically, Defendant argues
that the court in Matsch found the recklessness standard applied because the driver was actually
working at the time of the accident. However, the court in Matsch also found that the driver was
engaged in street sweeping, a type of road maintenance that is consistent with the interpretation
of “work on a highway” as noted in the cases cited previously. (Id.) Matsch, 9 N.Y.S.3d at 72526. Defendant’s assertion that the question of whether the driver was “actually engaged in
work” (of any kind) is the same as whether that work was “work on a highway” is not consistent
with Riley, in which the Court of Appeals noted that it is the “nature of the work being
performed” that is important when determining whether a driver is engaged in work on a
highway. Riley, 742 N.E.2d at 102. Nothing in Matsch supports Defendant’s argument that
merely driving on a road while delivering mail is sufficient to constitute engaging in “work on a
highway.”18
18
In its memorandum of law, Defendant also cites numerous cases in which
emergency and hazard vehicles were held not liable under the recklessness standard when
performing a U-turn. (Dkt. No. 57, Attach. 3, at 24-25 [Def.’s Mem. of Law].) However, all of
23
As Plaintiff states in his Statement of Material Facts, Defendant has not produced any
admissible record evidence that Mr. Wachtel was engaged in any work other than delivering
mail while driving. Because there is no genuine dispute of material fact as to whether Mr.
Wachtel was “actually engaged in work on a highway” as that phrase has been interpreted by
New York courts, the Court finds that summary judgment on this issue is appropriate.
Therefore, Defendant’s Twentieth Affirmative defense is dismissed, and the standard governing
Plaintiff’s claim is negligence.
B.
Whether Mr. Wachtel’s Actions Breached the Applicable Duty of Care
After carefully considering the matter, the Court answers this question in the affirmative
for the reasons stated in Plaintiff’s memoranda of law. (Dkt. No. 51, Attach. 18, at 22-24 [Pl.’s
Mem. of Law]; Dkt. No. 69, at 10 [Pl.’s Reply Mem. of Law].) To those reasons, the Court adds
the following analysis.
As discussed in Part III.A. of this Decision and Order, the applicable standard in this case
is negligence. “In order to prevail on a negligence claim, ‘a plaintiff must demonstrate (1) a duty
owed by the defendant to the plaintiff, (2) a breach thereof, and (3) injury proximately resulting
therefrom.’” Pasternack v. Lab. Corp. of Am. Holdings, 59 N.E.3d 485, 490 (N.Y. 2016)
(quoting Solomon v. City of New York, 489 N.E. 1294 [1985]).19
these cases involve either emergency vehicles engaged in emergency operation or vehicles that
were engaged in work on a highway (snow plowing, spreading salt on the road, etc.). Because
Defendant has adduced no evidence that Mr. Wachtel was engaged in work on a highway
according to how that term has been interpreted by New York courts, these cases do not
contradict this Court’s analysis or findings.
19
This standard makes clear that whether the defendant breached the duty of care is
a separate issue from whether that breach was the proximate cause of the plaintiff’s injury; both
must be proven in order to establish that the defendant is liable. As this Court has recognized
24
1.
Whether the United States Can Be Found to Have Breached Its Duty
of Care Under a Negligence Per Se Theory of Liability in an FTCA
Claim
After carefully considering the matter, the Court answers this question in the affirmative
for the reasons stated in Plaintiff’s reply memorandum of law. (Dkt. No. 69, at 10 [Pl.’s Reply
Mem. of Law].) To those reasons, the Court adds the following analysis.
Defendant argues that finding the United States breached its duty of care under a theory
of negligence per se would amount to an imposition of strict liability, noting that the FTCA does
not waive the United States’s sovereign immunity on a strict liability basis but rather requires a
negligent act or omission. (Dkt. No. 57, Attach. 3, at 20-21 [Def.’s Mem. of Law]; Dkt. No. 61,
at 9-10 [Def.’s Opp’n Mem. of Law].) However, setting aside the fact that the breach of a duty
of care does not by itself give rise to a claim for negligence, the Court agrees with Plaintiff that
negligence per se and strict liability are not the same legal concept. (Dkt. No. 69, at 10 [Pl.’s
Reply Mem. of Law].) See also Bauer v. Female Acad. of Sacred Heart, 767 N.E.2d 1136, 1141
(N.Y. 2002) (noting that “proof of no safety devices at all were provided could form the basis for
strict liability (as well as a finding of negligence per se);” the fact that the court found these were
two distinct findings suggests they are not the same legal concept); DiSilvestro v. Samler, 821
N.Y.S.2d 632, 634 (N.Y. App. Div. 2d Dep’t 2006) (“While the violation of a statute constitutes
negligence per se, that does not necessarily give rise to a determination that there is absolute or
strict liability for damages proximately caused by the violation of the statute or statutes.”)
(citations omitted); see also Bole v. United States, 3 F. Supp. 3d 491, 507-08 (M.D.N.C. 2014)
(noting that, “[a]s an initial matter and contrary to the Government’s assertions, negligence per
previously, under New York law, “‘[e]vidence of [breach of the duty of care] is not enough to
establish liability.’” Mahar, 688 F. Supp. 2d at 108 (quoting Sheehan, 354 N.E.2d 832).
25
se liability is not strict liability,” and citing examples of cases where courts have allowed
negligence per se claims under the FTCA). Contrary to Defendant’s argument, Plaintiff does not
seek to hold the United States liable without any showing of negligent action. Rather, Plaintiff
argues that Mr. Wachtel breached the duty of care outlined in the applicable statute when
performing the U-turn in contravention of that statute. Because a finding of negligence per se
still requires a determination that a certain duty of care was applicable to the defendant (in this
case, through a traffic statute), and that the defendant breached that duty by his actions, the Court
finds that negligence per se does not amount to strict liability. Additionally, as noted previously,
a finding of negligence per se does not make a party liable, as it still must be established that the
action giving rise to the negligence per se finding was the proximate cause of the alleged injury.
Additionally, as Plaintiff notes in his reply memorandum of law, courts within the
Second Circuit have found a breach of the duty of care in FTCA cases under a theory of
negligence per se where the duty of care arose under state law, specifically state traffic laws.
(Dkt. No. 69, at 10 [Pl.’s Reply Mem. of Law].) See also Velasquez v. United States Postal
Serv., 155 F. Supp. 3d 218, 228 (E.D.N.Y. 2016) (finding that violations of multiple sections of
the VTL “represent a breach of defendant’s duty of care owed to other motorists on the road”);
Moe v. United States, 668 F. Supp. 2d 497, 505-06 (W.D.N.Y. 2009) (noting that “an unexcused
violation of New York’s Vehicle and Traffic Law is negligence” while finding that the defendant
rural letter carrier had breached her duty of care imposed by the VTL when executing an
improper turn and failing to yield the right-of-way to the plaintiff). Therefore, because the duty
giving rise to the theory of negligence per se in this case is from a state statute, and because
negligence per se and strict liability are different standards, the Court finds that it would not be
26
beyond the scope of the United States’ waiver of sovereign immunity to apply a negligence per
se theory to this FTCA claim.
2.
Whether Mr. Wachtel’s Violation of State Traffic Law Constitutes a
Breach of the Duty of Care Under a Negligence Per Se Theory of
Liability
After carefully considering the matter, the Court answers this question in the affirmative
for the reasons stated in Plaintiff’s reply memorandum of law. (Dkt. No. 69, at 10 [Pl.’s Reply
Mem. of Law].) To those reasons, the Court adds the following analysis.
The New York Court of Appeals has noted that, “[a]s a rule, violation of a State statute
that imposes a specific duty constitutes negligence per se,” while “violation of a municipal
ordinance constitutes only evidence of negligence.” Elliott v. City of New York, 747 N.E.2d 760,
762 (N.Y. 2001) (citations omitted); see also Lowell v. Peters, 770 N.Y.S.2d 796, 798-99 (N.Y.
App. Div. 3rd Dep’t 2004) (“[I]t is well settled that where a person violates a statute without an
adequate excuse and causes the harm the statute was created to prevent, such violation is
negligence per se.”); Baker v. Joyal, 771 N.Y.S.2d 269, 270 (N.Y. App. Div. 3rd Dep’t 2004)
(noting that “only an unexcused violation of the VTL constitutes negligence per se”); Moe, 668
F. Supp. 2d at 506 (noting that, under New York law, an unexcused violation of a statute is
negligence, but the violation can be excused if the defendant establishes that reasonable care was
exercised in an effort to comply with the statute). This court has previously noted that, “where a
section of the [VTL] relates to the operation of a vehicle, it creates a statutory standard of care.”
Mahar, 688 F. Supp. 2d at 108 (citing Martin v. Herzog, 126 N.E. 814 [N.Y. 1920]); Dalal v.
City of New York, 692 N.Y.S. 468 [N.Y. App. Div. 2d Dep’t 1999]). The New York Court of
Appeals has recognized that “[n]egligence is failure to exercise the care required by law” and
27
that, “[w]here a statute defines the standard of care and the safeguards required to meet a
recognized danger, [] no other measure may be applied in determining whether a person has
carried out the duty of care imposed by law.” Tedla v. Ellman, 19 N.E.2d 987, 990 (N.Y. 1939).
Section 1161(a) states that “[n]o vehicle shall make a U turn upon any curve, or upon the
approach to, or near the crest of a grade, where such motor vehicle cannot be seen by the driver
of any other motor vehicle approaching from either direction within [500] feet.” N.Y. Veh &
Traf. Law § 1161(a). As Plaintiff argues, this statute defines the duty of care that Mr. Wachtel
owed to Plaintiff. Mahar, 688 F. Supp. 2d at 108; see also Tedla, 19 N.E.2d at 990 (noting that
“the Legislature may by statute prescribe additional safeguards and may define duty and
standard of care []and when the Legislature has spoken, the standard of care is no longer what
the reasonably prudent man would do under the circumstances but what the Legislature has
commanded”). Defendant does not argue that a different duty applies to Mr. Wachtel, but rather
argues that any violation of a traffic law cannot establish negligence per se, an argument that has
already been contradicted by the New York case law discussed previously. (Dkt. No. 61, at 1011 [Def.’s Opp’n Mem. of Law].) Because Section 1161(a) defines when a motorist is permitted
to make a U-turn based on considerations of safety for other motorists, the Court finds that it
defines the duty of care that Mr. Wachtel owed to Plaintiff when making the U-turn at 100 Mike
Krout Road. The statute requires that a motorist performing a U-turn at a curve or grade must do
so in a place where he is visible to other motorists from a distance of at least 500 feet; and yet it
is an undisputed fact (based on statements from experts for both parties) that the visible distance
from the curve in Mike Krout Road where Plaintiff approached to 100 Mike Krout Road where
Mr. Wachtel performed the turn was less than 350 feet. See Part I.B. ¶ 12 of this Decision and
28
Order. Therefore, there is no genuine dispute of material fact that Mr. Wachtel’s U-turn at 100
Mike Krout Road violated the specific standard of care outlined in Section 1161(a). Under New
York law, Mr. Wachtel’s violation of Section 1161(a) constitutes a breach of the duty of care
owed to Plaintiff. Consequently, a finding of negligence per se based on that violation is
appropriate.20
The Court hastens to emphasize that, although the Court finds that there is no genuine
dispute of material fact as to whether Mr. Wachtel’s conduct breached the duty of care based on
a negligence per se theory of liability under New York law, that does not mean Plaintiff has
succeeded on his First Claim. See Mahar, 688 F. Supp. 2d at 108 (“[E]ven where the negligence
charged is premised in part or in whole on a claim that a statute or ordinance . . . has been
violated, proximate cause is still an essential element to liability.”) (citations omitted). Rather,
because there is a genuine dispute of material fact as to whether Mr. Wachtel’s breach of that
duty was the proximate cause of Plaintiff’s injuries (including evidence related to Plaintiff’s
conduct, the condition of his motorcycle, and the operation of the postal truck’s hazard lights),
the Court grants Plaintiff’s motion for partial summary judgment on the specific elements of the
existence of a duty and breach of that duty,21 and denies Defendant’s motion for summary
judgment on Plaintiff’s First Claim.
20
To the extent that Defendant intended to argue that Mr. Wachtel’s violation was
excused by the fact that he was required to make such a turn by the mandatory line of travel for
Rural Route 6, this argument is not persuasive for two reasons. (Dkt. No. 61, at 8 [Def.’s Opp’n
Mem. of Law].) First, Defendant cites no legal authority in support of this argument. Second,
Defendant has not produced any admissible record evidence that Mr. Wachtel exercised
reasonable care in an effort to comply with the statute. Moe, 668 F. Supp. 2d at 506.
21
As noted previously, Plaintiff did not request summary judgment on the element
of proximate cause, only on the elements of existence of a duty of care and breach of the
applicable duty of care. (Dkt. No. 51, Attach. 18, at 5, 24 [Pl.’s Mem. of Law].)
29
3.
Whether the Supremacy Clause Bars Application of a State Traffic
Law Against the United States
After carefully considering the matter, the Court answers this question in the negative for
the reasons stated in Plaintiff’s reply memorandum of law. (Dkt. No. 69, at 10 [Pl.’s Reply
Mem. of Law].) To those reasons, the Court adds the following analysis.
Defendant argues that, because Mr. Wachtel was an employee of the United States, any
attempt to hold the United States liable for a violation of a state traffic statute is barred by the
Supremacy Clause. (Dkt. No. 62, at 11-14 [Def.’s Opp’n Mem. of Law].)
In N. Dakota v. United States, 495 U.S. 423 (1990), the Supreme Court noted that “[s]tate
law may run afoul of the Supremacy Clause in two distinct ways: [t]he law may regulate the
Government directly or discriminate against it, [] or it may conflict with an affirmative command
of Congress.” N. Dakota, 495 U.S. at 434 (citations omitted). The Supreme Court further noted
that “[a] state regulation is invalid only if it regulates the United States directly or discriminates
against the Federal Government or those with whom it deals.” N. Dakota, 495 U.S. at 434
(citations omitted).
Much of the case law barring application of a state law under the auspices of the
Supremacy Clause involve (a) state statutes that are preempted by federal statutes, (b) state
statutes that would regulate the way the United States could use land it owns or leases or would
impose taxes or fees on activities related to using that land, or (c) state statutes that would
regulate federal control over federal property, such as money. Notably, the cases that Defendant
cites in support of applying the Supremacy Clause involve these types of situations. (Dkt. No.
61, at 12-14 [Def.’s Opp’n Mem. of Law].) However, in this case, the conduct at issue occurred
on a public state road, not on property owned or controlled by the United States. Defendant also
30
has not asserted that the relevant VTL sections at issue are preempted by any federal law.22
Rather, it has been recognized that “states have the power to regulate the use of motor vehicles
on their highways.” Weisshaus v. Port Auth. of New York & New Jersey, 11-CV-6616, 2011 WL
13175959, at *2 (S.D.N.Y. Oct. 24, 2011) (citing Kane v. New Jersey, 242 U.S. 160 [1916]); see
also Bradley v. Pub. Utilities Comm’n of Ohio, 289 U.S. 92, 95 (1933) (“Regulation to ensure
safety is an exercise of the police power. It is primarily a state function, whether the locus be
private property or the public highways.”). Consequently, because there is no federal traffic law,
the relevant VTL sections do not “conflict with an affirmative command of Congress.” N.
Dakota, 495 U.S. at 434. Nor does the Court see any way in which Section 1161 discriminates
against the United States, since the U-turn prohibition is applicable with the same force to any
person, governmental or private, who traverses New York roads. The question therefore is
whether Section 1161 directly regulates the United States.
The Supreme Court has noted that “[n]either the Supremacy Clause nor the Plenary
Powers Clause bars all state regulation which may touch the activities of the Federal
Government.” Hancock v. Train, 426 U.S. 167, 179-80 (1976) (citing Penn Dairies v.
Pennsylvania Milk Control Comm’n, 318 U.S. 261 [1943]; Alabama v. King & Boozer, 314 U.S.
1, 9 [1941]). In Penn Dairies, the Supreme Court held that the Supremacy Clause was not
22
The Court notes that United States Postal Serv. v. Town of Greenwich, Conn., 901
F. Supp. 500 (D. Conn. 1995), on which Defendant relies to a great extent, is distinguishable
from this case because 39 U.S.C. § 401 explicitly grants the USPS the power “‘to construct,
operate, lease, maintain buildings, facilities, equipment, and other improvements on property
owned or controlled by it.’” Town of Greenwich, 901 F. Supp. at 504 (finding the Supremacy
Clause barred enforcement of a state statute related to permit and building code enforcement
against the USPS when it built a new postal facility on leased land) (quoting 39 U.S.C. §
401[6]). Unlike Town of Greenwich, Section 401 does not list any power that applies to the
conduct regulated by the VTL in this case.
31
implicated by state regulation on milk prices that prevented the United States from purchasing
milk for a military encampment within the state at a price lower than the state-set minimum.
Penn Dairies, 318 U.S. at 267-71. In reaching this conclusion, the Supreme Court stated the
following:
the Constitution presupposed the continued existence of the states functioning in
coordination with the national government, with the authority of the states to lay
taxes and to regulate their internal affairs and policy, and that state regulation
like state taxation inevitably imposes some burdens on the national government
of the same kind as those imposed on citizens of the United States within the
state’s borders. [] And we have held that those burdens, save as Congress may
act to remove them, are to be regarded as the normal incidents of the operation
within the same territory of a dual system of government, and that no immunity
of the national government from such burdens is to be implied from the
Constitution which established the system.
Id. at 270-71 (citations omitted).
The Supreme Court ultimately determined that, because the state’s regulation did not
conflict with Congressional legislation or with any discernable Congressional policy, the
Government was not immune from the regulation simply because the regulation required the
Government to pay more for milk than if the regulation did not exist. Id. at 621-24.
The Court finds that the rationale in Penn Dairies applies to the situation in this case. As
already noted, regulation of state traffic and road usage is a power traditionally held by the
states, and the federal government has not enacted any law or explicit policy that would conflict
with Section 1161. Defendant argues that, because the USPS is an agency of the executive
branch and its general duties as stated by Congress include the need to maintain an efficient
system of collection, sorting, and delivery of mail accounting for the needs of customers in
different types of areas, the Supremacy Clause would bar application of any state law against it
that would impede their ability to maintain such efficiency. (Dkt. No. 61, at 11-12 [Def.’s Opp’n
32
Mem. of Law].) More specifically, Defendant points to a Declaration from Rural Delivery
Specialist Gail Sattler in which Ms. Sattler states that, “[i]n order to accomplish the Postal
Service’s duties and directives, Rural Letter Carriers do not and cannot operate their vehicles
like ordinary motorists,” noting examples of typical driving deviations such as frequent stops,
driving on the road shoulder, driving at slow speeds, and performing U-turns. (Id. at 14; Dkt.
No. 61, Attach. 4, at 3 [Sattler Decl.].) However, the mere fact that Congress has specified that
the USPS must maintain an efficient mail system does not suggest that Congress intended to
categorically exempt USPS drivers from state traffic laws. See Penn Dairies, 318 U.S. at 621
(noting that “[e]ven in the case of agencies created or appointed to do the government’s work we
have been slow to infer an immunity which Congress has not granted and which Congressional
policy does not require”) (citations omitted). The Supreme Court specifically rejected a similar
argument in Penn Dairies, noting that the Court would not infer an expressed purpose of
Congress to set aside a state statute regulating internal affairs where the legislative command
was ambiguous as to whether it was intended to do so. See Penn Dairies, 318 U.S. at 623-24
(noting that “[c]ourts should guard against resolving [] competing considerations of policy by
imputing to Congress a decision which quite clearly it has not undertaken to make”).
Defendant has not cited any portion of the legislation related to the USPS or any
statements of Congress’ intent when enacting that legislation which would suggest that Congress
intended to make USPS mail carriers exempt from state traffic laws, particularly with regard to
performing U-turns as described in Section 1161. The statements from Ms. Sattler that rural
letter carriers often engage in conduct that might violate state traffic laws do not establish an
“expressed purpose of Congress” to categorically exempt rural letter carriers from the applicable
33
traffic law. Therefore, the Court finds that the lack of a discernable Congressional law or policy
that conflicts with Section 1161 means that the Supremacy Clause does not bar enforcement of
Section 1161 against the United States.
Additionally, as Plaintiff notes, 29 U.S.C. § 401 gives the USPS the authority to “adopt,
amend, and repeal such rules and regulations, not inconsistent with this title, as may be necessary
in the execution of its functions.” (Dkt. No. 69, at 12 [Pl.’s Reply Mem. of Law].) Plaintiff cites
portions of the USPS’ handbook related to Fleet Management and a Postal Operations Manual,
which both state that (a) employees driving postal vehicles must comply with state and local
traffic laws and (b) postal vehicle drivers have no special right-of-way over private vehicles.
(Dkt. No. 69, Attach. 2, at 4 [Fleet Mgmt. Handbook]; Dkt. No. 69, Attach. 3, at 4 [Postal
Operations Manual].) The prefatory material of the Postal Operations Manual states that the
purpose of the Manual is to “set[] forth policies, regulations, and procedures of the Postal
Service governing retail, philatelic, collection, mail processing, transportation, delivery, and
vehicle operations.” (Dkt. No. 69, Attach 3, at 2 [Postal Operations Manual].) These handbooks
therefore refute Defendant’s argument that the USPS’ broad duty of service was a Congressional
implication that letter carriers are not subject to state traffic laws. Defendant has not submitted
any admissible record evidence that would contradict this evidence regarding official federal
policy. Accordingly, the Court finds that there is no genuine dispute of material fact as to
whether USPS policy, enacted under authority from Congress, holds employee drivers
responsible for following state traffic laws in the course of their work as a letter carrier. Based
on this evidence and Penn Dairies, the Court finds that the Supremacy Clause does not bar the
use of Mr. Wachtel’s violation of Section 1161 against the United States as evidence of per se
negligence.
34
C.
Whether the Discretionary Function Exception to the FTCA Bars Plaintiff’s
Second Claim
After carefully considering the matter, the Court answers this question in the affirmative
for the reasons stated in Defendant’s memoranda of law. (Dkt. No. 57, Attach. 3, at 13-18
[Def.’s Mem. of Law]; Dkt. No. 70, at 6-7 [Def.’s Reply Mem. of Law].) To those reasons, the
Court adds the following analysis.
The discretionary function exception suspends the FTCA from applying in two
situations: (1) “any claim based upon an act or omission of an employee of the Government,
exercising due care, in the execution of a statute or regulation;” and (2) any claim “based upon
the exercise or performance, 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.” Molchatsky v. United States, 713 F.3d 159, 162 (2d Cir. 2013)
(quoting 28 U.S.C. § 2680[a]). “‘[T]he [discretionary function exception] bars suit only if two
conditions are met: (1) the acts alleged to be negligent must be discretionary, in that they involve
an element of judgment or choice and are not compelled by statute or regulation; and (2) the
judgment or choice in question must be grounded in considerations of public policy or
susceptible to policy analysis.’” Molchatsky, 713 F.3d at 162 (quoting Coulthurst v. United
States, 214 F.3d 106, 109 [2d Cir. 2000]). “Plaintiff bears the initial burden to state a claim that
is not barred by the discretionary function exception.” Id. (citing United States v. Gaubert, 499
U.S. 315, 324-25 [1991]).
Plaintiff concedes that the second prong of the above test has been met, namely that the
judgment related to determining postal routes is grounded in considerations of public policy or
susceptible to policy analysis. (Dkt. No. 62, Attach. 4, at 8-9 [Pl.’s Opp’n Mem. of Law].)
35
However, Plaintiff argues that there is at least an issue of fact as to whether the first prong has
been met. The Court therefore need only address the first prong.
A defendant fails to meet the first prong of the test for the discretionary function
exception if “a ‘federal statute, regulation, 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.’” Gaubert, 499 U.S. at 322 (quoting Berkovitz v. United States, 486 U.S. 531, 536
[1988]). Plaintiff argues that the USPS did not have the discretion to devise routes that include
U-turns which violate Section 1161 because various USPS employee handbooks state that postal
drivers must follow the same state and local traffic laws as other motorists. (Dkt. No. 62, Attach.
4, at 10-12 [Pl.’s Opp’n Mem. of Law].) Plaintiff argues that this directive is a federal policy
that eliminates the USPS’ discretion to devise routes containing violations of the VTL. Id.
However, the Court is not persuaded by this argument. The handbook sections that
Plaintiff cites expressly limit the discretion of postal drivers. They do not, however, purport to
impose any duties on the Postmaster who is devising postal routes. Consequently, even if these
sections are deemed federal policies as discussed in Gaubert, they do not specifically prescribe a
course of action that Postmasters or others must follow when devising postal routes. Plaintiff
relies on a case from the Tenth Circuit to argue that the fact that Mr. Wachtel was required to
violate Section 1161 when following the line of travel instructions for Rural Route 6 establishes
that there was also a violation of federal policy (presumably based on the handbook sections
stating that letter carriers must obey state and local traffic laws). (Dkt. No. 62, Attach. 4, at 9-10
[Pl.’s Opp’n Mem. of Law].) However, that case is distinguishable. In Lopez v. United States,
376 F.3d 1055 (10th Cir. 2004), the Tenth Circuit found that a requirement in the Postal
36
Operations Manual that mailboxes “must be placed to conform with state laws and highway
regulations” was a nondiscretionary mandate. Lopez, 376 F.3d at 1058. Although Lopez did find
that the USPS handbook constituted a sufficient federal policy (as Plaintiff argues), the
handbook section at issue in Lopez specifically instructed that state laws had to be complied with
when designing the placement of mailboxes. However, the handbook sections Plaintiff cites do
not state that Postmasters or others devising mail routes must ensure that routes comply with
state and local laws; rather, they state only that postal drivers must comply with those laws.
(Dkt. No. 62, Attach. 4, at 10-12 [Pl.’s Opp’n Mem. of Law].) Plaintiff has not cited any
sections of the USPS handbook that state that postal routes must be designed in accordance with
state and local laws. Additionally, a declaration from Rural Delivery Specialist Ms. Sattler, who
states that she assists post offices with establishing and changing “line of travel” (i.e., postal
routes) for Rural Routes, states that “[t]here is no federal statute, rule, or regulation that dictates
how the USPS must design its mail routes,” as well as “no federal statute, rule, or regulation that
dictates where the USPS must place U-turns on a Rural Route.” (Dkt. No. 57, Attach. 23, at 2-3
[Sattler Decl.].) Ms. Sattler also notes that there is “no specific USPS policy directive [in
various handbooks] that dictates how a Postmaster must design a mail route, other than a general
requirement that they balance efficiency, cost, and safety.” (Id. at 3.) Based on Ms. Sattler’s
statements and Plaintiff’s failure to provide evidence of any federal law or policy that
specifically mandates that the USPS devise mail routes that comply with state traffic laws, the
Court finds that Plaintiff has not met his burden to show that his claim is not barred by the
discretionary function exception. Molchatsky, 713 F.3d at 162.
37
While it may appear inconsistent to find that the USPS has the discretion to design routes
that force postal drivers to violate state law while recognizing that the USPS has enacted policies
that require their own postal drivers to obey those same state law, the Second Circuit has
recognized that the discretionary function exception “is not about fairness, it is about power.”
See Molchatsky, 713 F.3d at 162 (noting also that “the sovereign ‘reserves to itself the right to
act without liability for misjudgment and carelessness in the formation of policy’”) (citation
omitted); see also Nat’l Union Fire Ins. v. United States, 115 F.3d 1415, 1422 (2d Cir. 1997)
(noting that “[a]pplication of the [discretionary function] exception is often troubling, because it
may be a shield for carelessness and poor judgment,” but ultimately concluding that it was the
United States’ right as sovereign to pass a statute that imposed only a discretionary duty on the
Government to maintain a breakwater in a safe condition after it was built). The question before
the Court is not whether the USPS’ policies as a whole make practical sense, but rather whether
the USPS was subject to any federal mandate that eliminated its discretion to include maneuvers
that violate state traffic law when designing postal routes. There is no such federal law or policy
that eliminated the USPS’ discretion to design Rural Route 6 as it did. The Court therefore
grants Defendant’s motion for summary judgment and dismisses Plaintiff’s Second Claim based
on a finding that the discretionary function exception bars that claim.
E.
Whether Toxicology Evidence Should Be Excluded Under Federal Rule of
Evidence 403
After carefully considering the matter, the Court answers this question in the negative for
the reasons stated in Defendant’s reply memorandum of law. (Dkt. No. 70, at 10-11 [Def.’s
Reply Mem. of Law].) To those reasons, the Court adds the following analysis.
38
The Court agrees with Defendant that Plaintiff’s cross-motion is essentially a motion in
limine seeking to exclude certain evidence that is premature at this stage. See Jones v. Harris,
665 F. Supp. 2d 384, 404 (S.D.N.Y. 2009) (denying motion in limine at summary judgment stage
without prejudice as premature because “in limine motions deal with evidentiary matters and are
not to be filed until the eve of the trial”). To the extent that Plaintiff argues that this evidence
cannot be considered even on a motion for summary judgment if it is not admissible, Plaintiff
fails to show how this evidence is relevant to the issues raised in the present motions. (Dkt. No.
62, Attach. 4, at 29-30 [Pl.’s Reply Mem. of Law].) Notably, this evidence has no bearing on
any issue before the Court other than proximate cause, and Plaintiff does not seek summary
judgment on the element of proximate cause. (Dkt. No. 51, Attach. 18, at 5, 24 [Pl.’s Mem. of
Law].) Although Defendant does request summary judgment in its favor on Plaintiff’s First
Claim, there is other evidence that creates a sufficient genuine dispute of material fact
(including, but not limited to, the condition of the motorcycle Plaintiff was driving, his actions
when breaking and approaching Mr. Wachtel’s vehicle, and whether Mr. Wachtel’s hazard lights
were operational at the time of the accident) such that summary judgment for either party is not
appropriate on the element of proximate cause. Because this evidence is not relevant or
necessary for the adjudication of the current summary judgment motions, the Court finds that it
would be more prudent to consider such a motion in limine before trial should Plaintiff wish to
raise it again at that time.
ACCORDINGLY, it is
ORDERED that Plaintiff’s motion for partial summary judgment (Dkt. No. 51) is
GRANTED as discussed above in this Decision and Order; and it is further
39
ORDERED that the first and second elements of Plaintiff’s First Claim (i.e., the
elements of duty of care and breach of duty of care of Plaintiff’s claim for negligence) shall be
treated as established in this case;23 and it is further
ORDERED that Defendant’s motion for summary judgment (Dkt. No. 57) is
GRANTED in part and DENIED in part as discussed above in this Decision and Order; and it
is further
ORDERED that Plaintiff’s Second Claim is DISMISSED; and it is further
ORDERED that Plaintiff’s cross-motion to exclude toxicology test results (Dkt. No. 62)
is DENIED without prejudice; and it is further
ORDERED that SURVIVING these motions for summary judgment is Plaintiff’s First
Claim for negligence, specifically, the remaining element of proximate cause.
ORDERED that counsel are direct to appear on January 16, 2018 at 2:00 pm in
Syracuse, NY, in chambers for a pretrial conference, at which time counsel are directed to appear
with settlement authority, and in the event that the case does not settle, trial will be scheduled at
that time to begin on March 26, 2018 with pretrial submissions being due on March 5, 2018.
23
While it is somewhat unusual for a plaintiff to seek summary judgment on only
some of the elements of his or her claim, it is permissible under the Federal Rules of Civil
Procedure. See Fed. R. Civ. P. 56(a) (“A party may move for summary judgment, identifying
each claim or defense–or the part of each claim or defense–on which summary judgment is
sought.”) (emphasis added); see, e.g., In re Monahan Ford Corp. of Flushing, 390 B.R. 493, 501
(E.D.N.Y. 2008) (“Although ultimate judgment cannot be awarded unless all elements are
established, nothing prevents the court, under Rule 56(a), from awarding summary judgment on
the first two elements of the claim, where, as here, none of the material facts necessary to
establish those elements are in dispute.”); cf. Fed. R. Civ. P. 56(g) (“If the court does not grant
all the relief requested by the motion, it may enter an order stating any material fact–including an
item of damages or other relief–that is not genuinely in dispute and treating the fact as
established in the case.”).
40
Plaintiff is further directed to forward a written settlement demand to Defendants no later than
January 2, 2018, and the parties are directed to engage in meaningful settlement negotiations
before the conference. In the event that counsel feel settlement is unlikely, counsel may file a
letter request at least one week before the scheduled conference advising that settlement is not
feasible, and the Court will cancel the conference and issue a trial order scheduling trial for
March 26, 2018.
Dated: December 18, 2017
Syracuse, NY
________________________________
Hon. Glenn T. Suddaby
Chief U.S. District Judge
41
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