TURTURRO v. UNITED STATES OF AMERICA
Filing
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MEMORANDUM AND OPINION. SIGNED BY HONORABLE R. BARCLAY SURRICK ON 5/16/12. 5/17/12 ENTERED AND E-MAILED. FAXED BY CHAMBERS.[FDC]
IN THE UNITED STATES DISTRICT COURT
FOR THE EASTERN DISTRICT OF PENNSYLVANIA
JOSEPH N. TURTURRO, ADMINISTRATOR
OF THE ESTATE OF ADAM B. BRADDOCK,
DECEASED
v.
UNITED STATES OF AMERICA, FEDERAL
AVIATION ADMINISTRATION, ET AL.
CHARLES ANGELINA, INDIVIDUALLY
AND AS PERSONAL REPRESENTATIVE OF
THE ESTATE OF CHARLES ANTHONY
ANGELINA, DECEASED, ET AL.
v.
UNITED STATES OF AMERICA, FEDERAL
AVIATION ADMINISTRATION, ET AL.
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SURRICK, J.
CIVIL ACTION
NO. 10-2460
CIVIL ACTION
NO. 10-3063
MAY 16 , 2012
MEMORANDUM
Presently before the Court are Defendant United States of America’s Motions to Dismiss
for Lack of Jurisdiction. (ECF Nos. 34, 36, No. 10-2460.) For the following reasons, the
Motions will be denied.
I.
BACKGROUND
These consolidated lawsuits arise as a result of an airplane accident that caused the death
of flight instructor Adam Braddock and his student Charles Angelina.1 Plaintiff Joseph Turturro,
1
On October 15, 2010, these two actions—Turturro v. United States, No. 10-2460 (E.D.
Pa. May 21, 2010), and Angelina v. United States, No. 10-3063 (E.D. Pa. June 24, 2010)—were
consolidated for all purposes under Civil Action No. 10-2460. (ECF No. 22.) The substantive
administrator of Braddock’s estate, and Plaintiffs Charles and Virginia Angelina, representatives
of Angelina’s estate, allege the following facts.
On May 22, 2008, Angelina was taking flight lessons in a small aircraft (“accident
aircraft”) at the Northeast Philadelphia Airport with Braddock. Angelina was practicing touchand-go landings, during which an aircraft lands on a runway and takes off again without coming
to a complete stop. The pilot enters into a traffic pattern, circles the airport, communicates with
air traffic control for clearance, and then repeats the process. Defendant United States operates
the air traffic control system at the airport.
The accident aircraft departed the end of Runway 33 and was about to enter into the
traffic pattern when an air traffic controller switched traffic patterns from left to right, without
giving the instruction to make this maneuver “speed and altitude permitting,” as previously
instructed. (Turturro SAC ¶ 15.) Immediately prior to this final departure, a large helicopter
controlled by Defendant Agusta was hovering in the vicinity of the Gulf and Juliet taxiways. (Id.
at ¶ 20.) Plaintiffs allege that the helicopter generated invisible wake vortices, rotor downwash
and wake turbulence. After hovering, the helicopter commenced forward flight, and either
crossed over the departure end of Runway 33, or came within its proximity. (Id. at ¶ 35.) This
forward movement increased the helicopter’s wake turbulence and rotor downwash, and created
a closure and collision risk with the accident aircraft. (Id. at ¶¶ 20-21.) In addition, shortly
before the accident aircraft was cleared for takeoff, a jet departed from Runway 24, which
facts alleged in the Turturro Second Amended Complaint (ECF No. 33) are, for the most part,
identical to those alleged in the Angelina Second Amended Complaint (ECF No. 23, No. 103063). We will refer to the allegations in the Turturro Second Amended Complaint (“SAC”),
unless otherwise noted.
2
created wake turbulence and vortices for the accident aircraft as it prepared to depart from
Runway 33. (Id. at ¶ 22.)
Angelina followed the right traffic pattern as advised. (Id. at ¶ 23.) This instruction
placed the accident aircraft in the helicopter’s and jet’s invisible wake vortices, and created a
collision risk. The accident aircraft lost control and crashed into a parking lot, killing Angelina
and Braddock.
Following the accident, Plaintiff Joseph Turturro and Plaintiffs Charles and Virginia
Angelina filed separate, but similar, Standard Form 95s with the Federal Aviation
Administration. (Turturro Form 95, Turturro Resp. Ex. 1, ECF No. 45; Angelina Form 95,
Angelina Resp. Ex. B, ECF No. 46.)2 Turturro alleged in his administrative claim that as the
accident aircraft approached the departure end of Runway 33, “it encountered the vortex of a
helicopter, operated by Agusta . . . resulting in the accident aircraft being thrown to the ground by
that helicopter wake turbulence which caused the crash.” (Turturro Form 95 at 1.) The
controllers were fully aware of the wake turbulence that emanates from large helicopters and the
danger it creates for small aircraft. Notwithstanding this knowledge, and in violation of air
traffic control instructions, the controllers cleared the helicopter “across the duty runway and
then allow[ed] it to slowly hover in the vicinity of the departure end with the wind blowing the
turbulence right at the departure end, knowing they had cleared the accident aircraft to make a
touch and go landing on the same runway.” (Id. at 2.) The accident occurred without a required
wake turbulence warning, without a suggestion to abandon the touch-and-go landing, and
without a warning to the helicopter to depart from a separate runway.
2
We refer to the allegations in the Turturro Form 95, unless otherwise indicated.
3
In addition to these allegations, both administrative claims incorporate by reference the
identical expert report of Richard Wentworth. (Wentworth Report, Turturro Resp. Ex. 2;
Wentworth Report, Angelina Resp. Ex. B.) Wentworth is a former air traffic control investigator
with the National Transportation Safety Board. In his report, Wentworth advised that at the time
of the accident, there were three controllers in the airport’s tower. (Wentworth Report 1.) The
local controller, who had been in position for five minutes, “failed to provide service, she failed
to issue traffic information, she failed to provide adequate spacing and sequence and finally she
failed to issue a wake turbulence advisory.” (Id.) Wentworth also advised that “the local
controller should have been very familiar with the scenario she was faced with concerning the
[accident aircraft] conducting a touch and go and the Agusta waiting to depart.” (Id.) In
addition, Wentworth indicated that the “fact that no traffic information was given to the [accident
aircraft] may have created a startle effect once the instructor realized there was a helicopter in
close proximity to their position.” (Id. at 2.) After reviewing the radar data, Wentworth
determined that at the time of the accident, the helicopter and the accident aircraft were 900 feet
apart—significantly less than the required minimum distance of 3,000 feet between successive
departures. (Id.) Wentworth asserted that the helicopter should not have been permitted to
depart in front of the accident aircraft. The controllers should have known that “the presence of
rotor wash from the departing helicopter was highly likely.” (Id. at 3.) “In summary, the
decision to allow the helicopter to depart ahead of and in front of the [accident aircraft] was
irresponsible.” (Id.)
4
On June 17, 2010, the FAA denied both administrative claims.3 (Angelina Mot. Dismiss
Ex. 4, ECF No. 34; Turturro Mot. Dismiss Ex. 3, ECF No. 36.) Turturro and the Angelinas filed
lawsuits on May 21, 2010 and June 24, 2010, respectively. Plaintiffs thereafter took several
depositions and filed separate Second Amended Complaints, which include claims against the
United States for negligence (Count I) and spoliation of evidence, obstruction of justice, and
unconstitutional violation of due process (Count II), and against Agusta for negligence (Count
III) and breach of contract (Count IV).
The United States now moves to dismiss the Second Amended Complaints for lack of
subject matter jurisdiction. The United States argues that many of the substantive allegations in
the Second Amended Complaints are new and were never presented to the FAA for review.
II.
LEGAL STANDARD
Federal Rule of Civil Procedure 12(b)(1) requires a court to grant a motion to dismiss if it
lacks subject matter jurisdiction over the case. Rule 12(b)(1) motions may present either a facial
or factual challenge to subject matter jurisdiction. Mortensen v. First Fed. Sav. & Loan Ass’n,
549 F.2d 884, 891 (3d Cir. 1977). If a defendant brings a facial attack, the court confines itself to
the pleadings and views the allegations in the light most favorable to the plaintiff. United States
3
Although the procedural history of these cases is complicated, it has no impact on the
disposition of these Motions. For an outline of the numerous lawsuits that have been filed based
on the same underlying airplane accident, see Turturro v. Agusta Aerospace Corp., No. 10-2894,
2010 WL 3239199, at *1 (E.D. Pa. Aug. 13, 2010). It is sufficient to note that Turturro and the
Angelinas brought separate suits against Agusta in the Court of Common Pleas of Philadelphia
County. Agusta then filed third-party joinder complaints against the United States. On June 16,
2010, both cases were removed to this Court. The United States filed motions to dismiss for lack
of subject-matter jurisdiction, which were granted in both matters. Turturro, 2010 WL 3239199;
Angelina v. Agusta Aerospace Corp., No. 10-2895 (E.D. Pa. June 16, 2010), ECF No. 11.
Turturro and the Angelinas then filed new actions, which are the ones presently consolidated
before the Court.
5
ex rel. Atkinson v. Pa. Shipbuilding Co., 473 F.3d 506, 514 (3d Cir. 2007). If a defendant
presents a factual attack, the court is free to review evidence outside the pleadings. Id.
The parties agree that the United States has launched a factual attack on subject matter
jurisdiction because it contends that Plaintiffs have failed to satisfy the jurisdictional
prerequisites of the Federal Tort Claims Act (“FTCA”), 28 U.S.C. § 2671 et seq. Consequently,
“the Court is free to weigh the evidence and satisfy itself whether it has power to hear the case.”
Carpet Grp. Int’l v. Oriental Rug Imps. Ass’n, Inc., 227 F.3d 62, 69 (3d Cir. 2000).
III.
DISCUSSION
The FTCA waives the sovereign immunity of the United States for certain tort claims.
Dolan v. U.S. Postal Serv., 546 U.S. 481, 483 (2006). The FTCA provides that with respect to
tort claims, the federal government shall be liable “in the same manner and to the same extent as
a private individual under like circumstances.” 28 U.S.C. § 2674. To maintain suit against the
United States, a claimant must first satisfy the statutory notice requirement of 28 U.S.C.
§ 2675(a), which states, “action shall not be instituted upon a claim against the United States” for
damages “caused by the negligent or wrongful act or omission of any employee of the
Government while acting within the scope of his office or employment, unless the claimant shall
have first presented the claim to the appropriate Federal agency and his claim shall have been
finally denied.”
The filing of an administrative claim is a “jurisdictional requirement and an absolute
prerequisite to maintaining a civil action against the government under the FTCA.” Valenzuela
v. Thrifty Rent-A-Car, No. 94-7752, 1995 WL 708109, at *3 (E.D. Pa. Nov. 20, 1995); Roma v.
United States, 344 F.3d 352, 362 (3d Cir. 2003). The purpose of the notice requirement is to
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“ease court congestion and avoid unnecessary litigation, while making it possible for the
Government to expedite the fair settlement of tort claims asserted against the United States.”
Tucker v. U.S. Postal Serv., 676 F.2d 954, 958 (3d Cir. 1982) (quoting legislative history). In
addition, claim presentment to the appropriate federal agency provides for “more fair and
equitable treatment of private individuals and claimants when they deal with the Government or
are involved in litigation with their Government.” Id.
In the Third Circuit, an individual satisfies the Congressional requirement of “minimal
notice” if the claimant (1) gives the agency written notice of his or her claim sufficient to enable
the agency to investigate, and (2) places a value on his or her claim. Id. at 958-59; Roma, 344
F.3d at 362-63; Mennecke v. St. Vincent Health Ctr., No. 98-50, 2000 U.S. Dist. LEXIS 20006, at
*7 (W.D. Pa. Mar. 31, 2000). “Although an administrative claim need not propound every
possible theory of liability in order to satisfy section 2675(a) . . . a plaintiff cannot present one
claim to the agency and then maintain suit on the basis of a different set of facts.” Roma, 344
F.3d at 362 (citations omitted).
The United States argues that Plaintiffs placed a single issue before the FAA in their
Form 95s: that wake turbulence from a departing Agusta helicopter caused the crash. (Mot.
Dismiss Angelina 2-3 (quoting Angelina Form 95 (“As the aircraft in which Mr. Angelina was
training approached the departure end of Runway 33, it encountered the vortex of a helicopter,
operated by Agusta . . . when it was thrown to the ground by the wake turbulence.”)); Mot.
Dismiss Turturro 2-3 (quoting Turturro Form 95 (same)).) The United States argues that the
Second Amended Complaints contain ten new factual claims that were not presented to the FAA.
These allegations include: 1) rotor downwash generated by the helicopter as it hovered at the
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intersection of the Golf and Juliet taxiways caused the crash; 2) the helicopter created a “closure
and collision risk and hazard”; 3) wake turbulence from a jet that departed from Runway 24
caused the crash; 4) the controllers were improperly trained on rotor downwash from a hovering
helicopter; 5) the controllers did not say “speed and altitude permitting” when instructing the
pilots to make right traffic, leading the pilots to believe there was immediacy to the instruction;
6) the controllers allowed the helicopter to depart “in a manner inconsistent with a proposed
Letter of Agreement between Agusta and the FAA PNE tower”; 7) the FAA failed to initiate a
Letter of Agreement with Agusta prior to the accident; 8) the controllers failed to provide wind
speed and direction to the pilots; 9) the FAA inadequately staffed the control tower “both in
number and competency of personnel”; and 10) the controllers were not given adequate relief,
subjecting them to fatigue. (Mot. Dismiss Angelina 4-6; Mot. Dismiss Turturro 4-5.) In
addition, the United States argues that the Angelina Second Amended Complaint contains an
eleventh new factual claim: the controllers instructed the accident aircraft to make right traffic so
as to unlawfully provide preferential treatment to the Agusta.
The United States maintains that these new claims must be dismissed because Plaintiffs
failed to exhaust their administrative remedies. According to the United States, the crux of
Plaintiffs’ administrative claims—that this was a wake turbulence accident—was the notion that
the Agusta helicopter was allowed to cross over, and hover in the vicinity of, Runway 33 before
the accident aircraft departed. The United States points out that prior to filing their Second
Amended Complaints, Plaintiffs deposed the pilot of the Agusta helicopter, who testified that the
helicopter did not hover over the end of Runway 33 and that wake turbulence and wake vortices
had “[a]bsolutely nothing” to do with the accident. (Farr Dep. 222-24, Mot. Dismiss Turturro
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Ex. 1.) The United States argues that Plaintiffs now improperly seek to “maintain suit on the
basis of a different set of facts” after learning through discovery that their original understanding
of the accident was flawed.
The United States asserts that Plaintiffs now allege that instead of crossing over Runway
33 and creating wake turbulence, the helicopter created rotor wash as it hovered at the
intersection of the Golf and Juliet taxiways, which is approximately 3,000 feet behind the
departure end of Runway 33. (Mot. Dismiss Angelina 5 n.5, 10.) The United States protests that
“[s]imply saying wake turbulence is not enough to cover every aircraft operating at the airport no
matter where it is located, or when it departs.” (Id. at 10.) Moreover, the United States argues
that the administrative claims made no mention of the jet on Runway 24, collision risks,
improper instructions, inadequate tower staffing, controller fatigue, or a proposed letter of
agreement. The United States contends, in short, that Plaintiffs cannot end-run the statutory
notice requirement of the FTCA.
Plaintiffs respond that they do not present “new facts” or a “different set of facts,” but
instead, merely bolster their Form 95s with more detailed allegations learned during the course of
discovery. They argue that the facts alleged in the administrative claims were more than
sufficient to enable the FAA to conduct its investigation.
Addressing each of the eleven purportedly new factual claims in turn, the United States
argues that Plaintiffs never presented to the FAA their claim that rotor downwash generated by
the helicopter as it hovered at the intersection of the Golf and Juliet taxiways caused the accident.
This is too narrow a reading of Plaintiffs’ Form 95s. Plaintiffs do, indeed, advance wake
turbulence caused by the departing helicopter as their primary factual explanation of the accident.
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However, Plaintiffs also provided the United States with notice of their rotor downwash theory.
Plaintiffs’ expert, Richard Wentworth, opined that the accident aircraft had “encountered the
rotor wash” of the departing helicopter and that the controllers “should have known that the
presence of rotor wash from the departing helicopter was highly likely.” (Wentworth Report 3.)
Plaintiffs specifically mentioned the helicopter throughout their administrative claims and
emphasized that the accident aircraft encountered its vortex. Plaintiffs need not identify the
precise location of the helicopter to survive the United States’ Motions. Plaintiffs must only
provide the FAA with “minimal notice,” which they have done. Based on the facts alleged in the
Form 95s, the United States certainly knew that an investigation of the position of the helicopter
at the time of the accident as well as the effects of rotor downwash was appropriate.
The United States maintains that Plaintiffs’ administrative claims contain no facts from
which they could have known to investigate the “closure and collision risk.” However,
Wentworth advised that the “fact that no traffic information was given to the [accident aircraft]
may have created a startle effect once the instructor realized there was a helicopter in close
proximity to their position.” (Wentworth Report 2.) Moreover, Wentworth found that the
controller “failed to provide adequate spacing and sequence” and that the pilots may have been
“startled by the presence of the helicopter.” (Id. at 1, 3.) These statements put the FAA on
notice to investigate the closure and collision risk.
The United States argues that Plaintiffs did not put them on notice of their claim
regarding wake turbulence from a jet on Runway 24 causing the accident. We agree that much of
Plaintiffs’ administrative claims focuses on the wake turbulence generated by the helicopter.
However, the fact that they did not mention another aircraft as a possible source of wake
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turbulence does not defeat notice. Wentworth cites FAA guidelines, which state, “[i]ssue
cautionary information to any aircraft if in your opinion, wake turbulence may have an adverse
effect on it.” (Id. at 3.) The factual matter in the administrative claims should have generated an
investigation into the general role of wake turbulence, including a determination of whether other
aircrafts in the vicinity of Runway 33 could have caused the crash.
Plaintiffs allege in their Second Amended Complaints that the controllers were
improperly trained with regards to the effects of rotor downwash. The United States argues that
this claim was not procedurally exhausted. Wentworth’s report states that the controller “failed
to provide service, she failed to issue traffic information, she failed to provide adequate spacing
and sequence and finally she failed to issue a wake turbulence advisory.” (Id. at 1.) In
Wentworth’s opinion, the “local controller should have been very familiar with the scenario she
was faced with concerning the [accident aircraft] conducting a touch and go and the Agusta
waiting to depart.” (Id.) These allegations in the Form 95s concerning the controller’s
negligence were sufficient to put the United States on notice of Plaintiffs’ improper training
claims.
Plaintiffs allege that the controllers unlawfully instructed the accident aircraft to make
right traffic, and failed to advise the pilots that this instruction was “speed and altitude
permitting.” Plaintiffs asserted in their administrative claims that the controller “abruptly
switched patterns from left to right,” an order that steered the accident aircraft into the wake
turbulence. (Angelina Form 95 at 1; Turturro Form 95 at 2.) This factual allegation was
sufficient to notify the United States that it should investigate the controller’s instructions.
Plaintiffs allege that the controllers improperly authorized the helicopter to depart in a
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manner that was inconsistent with a proposed Letter of Agreement between Agusta and the FAA.
Plaintiffs did not mention this proposed Letter in their administrative claims. During discovery,
Plaintiffs learned that at the time of the accident the FAA and Agusta were negotiating a Letter of
Agreement, which sought to establish departure routes that did not require Agusta to pass over
active runways. (Angelina Resp. 15.) Plaintiffs have submitted a copy of the Letter, which
became effective on August 15, 2008, three months after the date of the accident. (Angelina
Resp. Ex. M; Turturro Resp. Ex. 12.) Plaintiffs alleged in their administrative claims that the
controllers were aware that helicopter departures can be made in any direction and that they do
not have to be made on the duty runway. This statement provided notice to the United States that
it should investigate lawful departure routes for the helicopter, which would entail an inquiry into
any controlling letters of agreement.4
Plaintiffs allege that the FAA failed to initiate a Letter of Agreement with Agusta prior to
the accident. For the above reasons, the statements made in the Form 95s placed the FAA on
notice of this claim. The United States was informed that it should investigate appropriate
departure routes. Its failure to execute a Letter of Agreement may affect this analysis.
Plaintiffs allege that the controllers did not provide wind speed and direction information
to the pilots of the helicopter. In his expert report, Wentworth quoted the controller’s instruction
to the Agusta prior to the accident: “the [accident aircraft] will be in a left downwind departure,
from Golf and Juliet cleared for takeoff, proceed on course wind three three zero at eight,
4
It is unclear how a negotiated, but unconsummated, agreement between the FAA and
Agusta would affect the legality of the Agusta departure. Nevertheless, the United States was put
on notice that Plaintiffs would attempt to discover all materials that pertain to the underlying
facts in this case.
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altimeter two niner six six.” (Wentworth Report 1.) This citation to the air traffic control
transcript placed the United States on notice that Plaintiffs were entitled to bring a claim alleging
improper instructions. The United States certainly should have included the nature and propriety
of the controller’s orders in its investigation.
Plaintiffs allege that the air traffic control tower was inadequately staffed “both in number
and competency of personnel.” Plaintiffs argue that there are two statements in Wentworth’s
report that provided the United States with notice of this claim. First, Wentworth advised, “[a]t
11:52:08, the local controller was relieved from the position and gave a relief briefing to his
replacement.” (Wentworth Report 1.) Second, he noted that at the time of the accident, “the
tower was manned with 3 controllers. The local controller had been on the position for just a
little over 5 minutes.” (Id.) In Wentworth’s opinion, the controller “failed to provide service,
she failed to issue traffic information, she failed to provide adequate spacing and sequence and
finally she failed to issue a wake turbulence advisory.” (Id.) These references to the number of
employees on duty at the time of the accident, coupled with the statements concerning the
controller’s alleged instances of negligence, provided the United States with notice of a potential
inadequate staffing claim.
Plaintiffs allege that the controllers were not given appropriate relief, which caused
fatigue. Plaintiffs argue that the foregoing statements regarding the inadequacy of the control
staff also provide the basis for this claim. These averments in the expert report provided the
United States with notice that Plaintiffs could assert a claim based on the insufficient number of
controllers on duty, which could plausibly include this fatigue claim. As the FTCA only requires
“minimal notice,” we find that Plaintiffs presented this claim to the FAA such that it could
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commence its investigation.
Finally, the Angelinas allege in their Second Amended Complaint that the controllers
directed the accident aircraft to make right traffic in order to provide preferential treatment to the
helicopter. Wentworth maintained that the controller failed to issue traffic information and that
she “should have been very familiar with the scenario she was faced with concerning the
[accident aircraft] conducting a touch and go and the Agusta waiting to depart.” (Wentworth
Report 1.) Plaintiffs alleged throughout their administrative claims that the controller
inappropriately instructed the helicopter to depart the runway before the accident aircraft
departed. These statements provided the factual foundation for this preferential treatment claim.
The United States, therefore, had notice.
IV.
CONCLUSION
For the foregoing reasons, we are satisfied that Form 95s filed by the Plaintiffs properly
put the United States on notice of the claims included in the Second Amended Complaints filed
by Plaintiffs. Accordingly, the Motions to Dismiss for Lack of Subject Matter Jurisdiction will
be denied.
An appropriate Order follows.
BY THE COURT:
R. BARCLAY SURRICK, J.
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