Cortes v. American Airlines, Inc. , 177 F.3d 1272 ( 1999 )


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  •                                                                        PUBLISH
    IN THE UNITED STATES COURT OF APPEALS
    FILED
    FOR THE ELEVENTH CIRCUIT
    U.S. COURT OF APPEALS
    ELEVENTH CIRCUIT
    _______________                    06/15/99
    THOMAS K. KAHN
    No. 98-4739                      CLERK
    _______________
    D. C. Docket No. 96-727-CIV-SH
    DORIS CRISTINA PIAMBA CORTES,
    Individually and as Personal
    Representative of the Estate of
    Maria Constanza Piamba Cortes,
    deceased,
    Plaintiff-Appellee-Cross-Appellant,
    versus
    AMERICAN AIRLINES, INC., a
    Delaware Corporation,
    Defendant-Appellant-Cross-Appellee.
    ______________________________
    Appeals from the United States District Court
    for the Southern District of Florida
    ______________________________
    (June 15, 1999)
    Before BIRCH and DUBINA, Circuit Judges, and MORAN*, Senior District Judge.
    BIRCH, Circuit Judge:
    *
    Honorable James B. Moran, Senior U.S. District Judge for the Northern
    District of Illinois, sitting by designation.
    In this appeal, we hold as a matter of first impression that Article 25 of the
    Warsaw Convention, as clarified by Montreal Protocol No. 4, requires a passenger to
    prove that an air carrier subjectively knew its conduct likely would result in harm to
    its passengers in order to escape the Convention’s limitations on liability. On
    summary judgment, the district court held that Article 25 measures an air carrier’s
    conduct objectively and concluded as a matter of law that, under either an objective
    or subjective standard, the passengers’ claims for damages were not limited by Article
    25's liability cap. For the reasons that follow, we conclude that the district court
    incorrectly entered summary judgment against the air carrier on this issue and remand
    for a determination by the finder of fact whether the air carrier’s conduct precludes the
    application of the Convention’s liability cap to this case.
    In addition, we hold that the district court: (1) properly applied Florida
    compensatory damages law to this case; (2) properly refused to apply Florida’s
    apportionment of liability statute; and (3) did not abuse its discretion during the
    damages trial by excluding evidence relating to the facts of the underlying plane crash
    and prohibiting reference to the legal finding of willful misconduct. We therefore
    affirm the judgment of the district court with respect to these issues.
    I. BACKGROUND
    A. Facts
    2
    On December 20, 1995, American Airlines Flight 965 (“Flight 965") crashed
    as the plane attempted to navigate its arrival to the Alfonso Bonilla Aragon airport in
    Cali, Colombia. The crash killed 151 passengers, including Maria Constanza Piamba
    Cortes, a domiciliary of Colombia who was returning home after studying in the
    United States. Appellee-Cross Appellant Doris Cristina Piamba Cortes (“Piamba
    Cortes”), acting both individually and as the personal representative of her sister
    Maria Constanza Piamba Cortes, filed a tort action against Appellant-Cross Appellee
    American Airlines, Inc. (“American”).
    The facts leading up to the crash are largely undisputed and have been detailed
    comprehensively by the district court. See In re Air Crash Near Cali, Colombia on
    December 20, 1995, 
    985 F. Supp. 1106
    , 1109-22 (S.D. Fla. 1997). We need not
    duplicate the district court’s detailed factual recitation; for purposes of our discussion,
    we set forth an abbreviated statement of facts that are relevant in resolving this appeal.
    Flight 965 left Miami International Airport on the afternoon of December 20,
    1995, bound for Cali. Captain Nicholas Tafuri and First Officer Donnie Ray Williams
    piloted the Boeing 757, which the parties agree was airworthy and in good mechanical
    and structural condition. At all material times during the flight, Williams flew the
    aircraft while Tafuri primarily handled radio communications. The Cali airport is
    located in a valley approximately forty-three miles long and twelve miles wide. The
    3
    arrival and approach paths for aircraft landing at the airport are designed to keep
    planes in an “airway” in the center of the valley and away from the mountainous
    terrain that surrounds the valley.
    American provides special training to its pilots who fly into Central and South
    America in order to acquaint them with the unusual features of these regions. Among
    other things, pilots are instructed, in no uncertain terms, not to rely on local air traffic
    controllers (“ATCs”) for information about their location or position in the sky.
    According to American’s training materials, Latin American ATCs will assume when
    providing clearance that the pilot is on course, the plane is located where the pilot says
    it is, the pilot knows where the mountains are, and the pilot will refuse a clearance that
    will take the plane into a mountain. Because these assumptions may be incorrect, the
    ATCs will clear pilots to descend below minimum safe altitudes in mountainous areas.
    American also instructs its pilots that they must continually verify their exact
    location by every means available; if they are unable to locate and cross-check their
    position or are otherwise unsure of where they are, they must suspend any descent of
    the airplane until their position is verified and the safe minimum altitude is
    determined. Furthermore, American teaches its pilots to insist on the complete
    published or assigned flight plan for the plane’s approach to the airport unless the pilot
    4
    is sure of the plane’s location and the terrain below. If the plane is operating on an
    unpublished route, American’s training materials and FAA regulations provide that
    “the pilot, when an approach clearance is received, shall maintain the last altitude
    assigned until the aircraft is established on a segment of the published route.” 
    Id. at 1129-30
    .
    The flight plan assigned to Flight 965 called for the plane to follow a specified
    route during its arrival and approach to Cali. The arrival phase typically is conducted
    in accordance with a specified route that consists of a series of waypoints that define
    the path to the landing strip. In this case, the waypoints were marked by radio
    beacons known as “navaids,” which emit radio waves that can be tuned in from the
    cockpit and allow the pilot to determine the compass direction to, and in some
    instances the distance to, the waypoint. The waypoints also may help a pilot establish
    the plane’s position in the sky, as well as its distance to a certain point.
    5
    Based on data recovered from Flight 965's digital flight data recorder and the
    statements of Tafuri and Williams on the plane’s cockpit voice recorder,1 the parties
    have reconstructed the following events that led to the crash.
    Flight 965 approached Cali at night. Originally, Flight 965 was assigned a
    published arrival path to Cali that called for the plane to fly over the “Tulua”
    waypoint, located approximately thirty-four miles northeast of the airport, proceed to
    the “D21 CLO” waypoint, and then fly over the “Rozo” waypoint, which is located
    approximately three miles north of the airport. From there, the arrival path called for
    the plane to continue south to the “Cali” waypoint, located nine miles south of the
    airport, and, after executing a 180-degree turn, return north to the airport and land.
    When Flight 965 was approximately fifty-four miles north of the airport, the
    ATC stationed in Cali cleared the plane to the Cali waypoint and instructed the pilots
    to descend and maintain 15,000 feet and to “report uh, Tulua.” 
    Id. at 1117
    . Moments
    later, however, the Cali ATC offered the pilots the option of landing straight onto the
    runway without having to turn the plane around at the Cali waypoint. The pilots
    1
    The summary judgment record contains two transcriptions of the cockpit
    voice recorder. One version is based upon the work of an investigatory group of the
    National Transportation Safety Board. The second was prepared by an expert retained
    by American, and contains interpretations of the crew’s statements at critical points
    during Flight 965's approach that are more favorable to American. When making its
    factual findings, the district court relied exclusively on the second transcription
    prepared by American’s expert. We therefore will do the same.
    6
    accepted the offer, and thus accepted a published flight route that began at the Tulua
    waypoint, proceeded to the Rozo waypoint, and ended at the runway.
    After accepting the offer, the cockpit voice recorder suggests that Williams
    erroneously believed the flight route began at the Rozo waypoint instead of the Tulua
    waypoint. Tafuri told Williams that the flight route began at the Tulua waypoint, but
    then asked the ATC for permission to go “direct to Rozo and then do the Rozo
    arrival,” a request that set in motion a chain of events that culminated in the crash. 
    Id. at 1118
    . The ATC responded by saying, “Affirmative,” but added instructions to
    “take the Rozo One” approach and to “report Tulua at twenty-one miles and five
    thousand feet.” 
    Id. at 1119
    .2
    After this exchange, one of the pilots sought to program the flight management
    computer (“FMC”) to fly automatically to the Rozo waypoint by typing the letter “R”
    into the FMC’s keypad. A total of twelve waypoints appeared on the FMC screen, the
    first of which was for the “Romeo” waypoint, located approximately 132 miles to the
    2
    The parties disagreed about what Tafuri and Williams would have understood
    by the term “direct.” According to Piamba Cortes and the passengers’ representatives,
    Latin American ATCs use “direct” to mean “direct along the published route,” and
    that Tafuri and Williams received training as to this fact. The district court concluded,
    however, that evidence adduced by American created a question of fact whether
    Tafuri and Williams understood the ATC’s use of the word “direct” to mean “direct
    along the published route” or “direct to the specified waypoint.” See In re Air Crash
    Near Cali, 
    985 F. Supp. at
    1117 & n.8, 1119.
    7
    northeast of the plane. Although the pilots were required to verify that the chosen
    waypoint was actually Rozo, the pilot did not verify the Rozo waypoint and instead
    selected the Romeo waypoint. The FMC immediately began to fly the plane in the
    direction of the Romeo waypoint, sending the plane on a prolonged, and pronounced,
    turn to the left, toward the east and toward the mountains.
    At the time the plane began turning, it was descending past an altitude of 16,880
    feet and was flying adjacent to, or slightly to the southwest of, the Tulua waypoint.
    During the turn east, Tafuri told Williams that he wished the plane to fly to the Tulua
    waypoint, but instead of dialing the proper frequency for the Tulua waypoint (117.7)
    into his electronic horizon situation indicator (“EHSI”), Tafuri unwittingly dialed
    116.7, the frequency for a different waypoint located 160 miles to the east of the
    valley. Consequently, the course deviation indicator (“D-bar”) function of his EHSI
    indicated that the Tulua waypoint was located to the left of the plane. Tafuri,
    however, instructed Williams to turn back toward the right, which sent the plane in a
    westerly direction and back toward the valley. At that time, the plane was south of the
    Tulua waypoint, well to the east of the valley, and east of the radials that define the
    flight route to the Rozo waypoint. The plane also had continued its descent, dropping
    more than 5,000 feet since the “R” had been entered into the FMC.
    8
    Less than one minute later, Tafuri dialed 117.7, the correct frequency for the
    Tulua waypoint, into his EHSI. Because the plane already had passed the Tulua
    waypoint, this caused the D-bar indicator to shift on the EHSI screen. Tafuri
    instructed Williams to fly to the Cali waypoint, although he also confirmed with the
    ATC that the flight plan called for the plane to fly first to the Tulua waypoint and then
    to the Rozo waypoint. Tafuri commented to Williams that he was having difficulty
    locating the Tulua waypoint, so Williams suggested that they intersect with the flight
    route and fly directly to the Rozo waypoint.
    At that time, the plane had descended to 10,000 feet and was still heading west.
    When the plane dropped to 8,480 feet, the plane’s ground proximity warning system
    sounded, directing the pilot to pull up. Williams attempted to climb, but the plane’s
    ability to climb rapidly was hampered by the fact that Tafuri and Williams failed to
    pull back the speed brakes, which had been deployed several minutes earlier.
    Approximately thirty seconds later the plane crashed near the summit of El Deluvio,
    a peak located approximately twenty-four miles northeast of the airport and
    approximately ten miles east of the airway.
    B. Procedural History
    After Piamba Cortes filed suit in Florida state court, American removed the case
    to federal court where it was consolidated for multidistrict pretrial proceedings with
    9
    almost 160 other passenger lawsuits. Piamba Cortes, through the Plaintiffs’ Steering
    Committee, filed a motion for partial summary judgment on the issue of American’s
    liability. After a four-day hearing on the motion, the district court granted the motion.
    In a 118-page order granting the plaintiffs’ motions for summary judgment, the
    district court concluded that all the passengers’ suits against American fell under the
    terms of the Warsaw Convention. According to the language in effect at the time the
    district court entered its order, the Convention limited an air carrier’s liability except
    in cases of “willful misconduct.” The district court concluded that Eleventh Circuit
    law allows a passenger to establish willful misconduct in three ways, one of which is
    defined as “reckless disregard of the consequences.” In re Crash Near Cali, 
    985 F. Supp. at 1127
    . Noting that all the passengers’ representatives proceeded under a
    reckless disregard theory, the district court further concluded that reckless disregard
    contemplates a “rigorous objective inquiry” that is satisfied “by showing that the
    defendant’s conduct amounted to an extreme deviation from the standard of care
    under circumstances where the danger of likely harm was plain and obvious,” even
    if the defendant did not subjectively realize that its conduct placed its passengers at
    significant risk of harm. 
    Id. at 1128, 29
    . Upon reviewing the evidence, the district
    court held that no reasonable jury could find that Tafuri and Williams’ conduct--in
    particular, the decision to continue descending at night in mountainous terrain when
    10
    the circumstances made clear that the plane had strayed dramatically from the
    published arrival route--amounted to anything less than willful misconduct. 
    Id. at 1138
    . The district court reached this conclusion by applying its objective analysis for
    reckless disregard, although the court held in the alternative that, even if reckless
    disregard contemplates a subjective test, the evidence compelled a conclusion that
    Tafuri and Williams engaged in willful misconduct.
    After entering summary judgment in Piamba Cortes’ favor on the issue of
    liability, the district court conducted a trial on the issue of damages. Although Piamba
    Cortes’ sister was a domiciliary of Colombia, the district court’s conflict-of-laws
    analysis concluded that Florida compensatory damages law determined the elements
    of compensatory damages awarded to Piamba Cortes. In addition, the district court
    held that, under the Convention, American is liable for all compensatory damages and
    thus Florida law requiring the apportionment of liability did not apply. Finally, the
    district court ruled that, during the damages trial, Piamba Cortes could not introduce
    the factual circumstances of the crash and could not mention the court’s finding that
    the conduct of Flight 965's pilots constituted willful misconduct.
    American appeals three issues, arguing that: (1) “willful misconduct” requires
    a subjective rather than an objective test, and the evidence creates a question of fact
    for the jury under this test; (2) conflict-of-laws principles warrant the application of
    11
    the compensatory damages scheme used by the decedent’s domicile, which in this
    case is Colombia; and (3) the Convention operates as a “pass-through” on the issue
    of damages, and thus the district court should have applied Florida’s apportionment
    statute. Piamba Cortes cross-appeals, arguing that, during the trial on damages, she
    should have been able to introduce the facts of the crash and inform the jury that
    Flight 965's pilots had engaged in willful misconduct as a matter of law. We consider
    each argument in turn.
    II. WARSAW CONVENTION
    American raises two distinct arguments related to the Warsaw Convention.
    First, American argues that the district court erroneously construed “willful
    misconduct” under the Convention to create an objective rather than a subjective test.
    Second, American argues that, if the subjective test is applied, a question of fact exists
    whether the conduct of Flight 965's pilots constitutes willful misconduct, and therefore
    the entry of summary judgment on the issue of liability was inappropriate.
    The first issue requires us to determine whether the district court properly
    construed the terms of a treaty, which is a question of law that we review de novo.
    See Yapp v. Reno, 
    26 F.3d 1562
    , 1565 (11th Cir. 1994).
    A. Background of the Warsaw Convention
    12
    The Warsaw Convention is the commonly used name for the Convention for the
    Unification of Certain Rules Relating to International Transportation by Air, T.S. No.
    876, 137 L.N.T.S. 11, reprinted in note following 49 U.S.C.App. § 1502 (1988)
    (hereinafter “Warsaw Convention”), which entered into force for the United States on
    October 29, 1934. See Butler v. Aeromexico, 
    774 F.2d 429
    , 430 n.1 (11th Cir. 1985).
    The Convention is the product of two international conferences, the first held in Paris
    in 1925 and the second in Warsaw in 1929. See generally Floyd v. Eastern Airlines,
    Inc., 
    872 F.2d 1462
    , 1467-69 (11th Cir. 1989) (providing overview of the history,
    policies, and goals of the Warsaw Convention), rev’d on other grounds, 
    499 U.S. 530
    ,
    
    111 S. Ct. 1489
    , 
    113 L.Ed.2d 569
     (1991). The Convention applies to “all international
    transportation of persons, baggage, or goods performed by aircraft for hire.” Warsaw
    Convention art. 1(1).
    Under Article 17 of the Convention, air carriers are “liable for damage sustained
    in the event of the death or wounding of a passenger . . . if the accident which caused
    the damage so sustained took place on board the aircraft or in the course of any of the
    operations of embarking or disembarking.” Warsaw Convention art. 17. The
    Convention thus “established a presumption that air carriers are liable for damage
    sustained by passengers as a result of the carrier’s negligent conduct.” Floyd, 
    872 F.2d at 1467
    . In exchange for this presumption of liability, the drafters included a
    13
    limitation on the amount of damages a passenger could recover from the carrier:
    125,000 gold francs, or approximately $8,300. See Warsaw Convention art. 22; see
    also Floyd, 
    872 F.2d at 1467
    .
    As a companion provision to the liability cap contained in Article 22, the
    drafters adopted a safety valve by which passengers could escape the liability cap if
    they established that the air carrier’s conduct that caused their injuries constituted
    “wilful misconduct.”2 Warsaw Convention art. 25(1). Specifically, Article 25(1)
    provided that:
    The carrier shall not be entitled to avail himself of the provisions of this
    convention which exclude or limit his liability, if the damage is caused
    by his wilful misconduct or by such default on his part as, in accordance
    with the law of the court to which the case is submitted, is considered to
    be the equivalent to wilful misconduct.
    
    Id.
     Consequently, in order to obtain any compensatory damages over $8,300 under
    the original version of the Convention, a passenger had to establish that his or her
    damages were the result of the air carrier’s willful misconduct.
    The $8,300 liability cap created by Article 22 proved to be a source of great
    dissatisfaction, particularly in the United States. See Floyd, 
    872 F.2d at 1468-69
    . In
    1955, a conference similar to the 1929 conference in Warsaw convened at the Hague,
    2
    This term is more commonly spelled today as “willful misconduct.” We use
    the modern spelling in this opinion except for direct quotations.
    14
    during which delegates drafted what is known as the Hague Protocol. See Protocol
    to Amend the Convention for the Unification of Certain Rules Relating to
    International Carriage by Air Signed at Warsaw on 12 October 1929 (hereinafter
    “Hague Protocol”), reprinted in Lawrence B. Goldhirsch, The Warsaw Convention
    Annotated 265-74 (1988) (hereinafter “Goldhirsch”). The Hague Protocol proposed
    to double the liability limit contained in Article 22 to 250,000 gold francs, or
    approximately $16,600. See Hague Protocol art. XI, reprinted in Goldhirsch at 268;
    see also Floyd, 
    872 F.2d at 1468
    . In addition, delegates proposed deleting the term
    “willful misconduct” from Article 25 and replacing it with language that would allow
    a passenger to escape Article 22's liability cap only if “it is proved that the damage
    resulted from an act or omission . . . done with intent to cause damage or recklessly
    and with knowledge that damage would probably result.” Hague Protocol art. XIII,
    reprinted in Goldhirsch at 269. The Senate, however, refused to ratify, and the
    President did not adhere to, the Hague Protocol.
    The rejection of the Hague Protocol by the United States prompted the
    execution of the Montreal Agreement of 1966, in which air carriers agreed to enter
    into private contractual agreements with all passengers (created by the purchase of a
    ticket) to raise the liability limit to $75,000 for all international flights originating,
    15
    terminating, or having a connecting point in the United States.3 Agreement CAB
    18900, approved by Civil Aeronautics Board Order No. E-28680, May 13, 1966, 
    31 Fed. Reg. 7302
     (1966).
    The execution of the Montreal Agreement set the stage for a concerted effort
    to update the terms of the Convention to reflect modern legal and technological
    standards. At another conference in Guatemala City in 1971, delegates proposed
    raising the liability cap to approximately $136,000. See Protocol to Amend the
    Convention for the Unification of Certain Rules Relating to International Carriage by
    Air Signed at Warsaw on 12 October 1929 as Amended by the Protocol Done at the
    Hague on 28 September 1955 (“the Guatemala City Protocol”), reprinted in
    Goldhirsch at 319-29. In 1975, delegates met once again in Montreal, Canada, and
    adopted a series of four protocols, known collectively as the Montreal Protocols. See
    Goldhirsch at 331-62 (reprinting the four Montreal Protocols). During the twenty
    years following the 1975 Montreal conference, the United States declined to ratify
    either the Guatemala City Protocol or the Montreal Protocols.
    3
    Article 22(1) of the Warsaw Convention provides that “by special contract,
    the carrier and the passenger may agree to a higher limit of liability.” Warsaw
    Convention Art. 22(1). Pursuant to the Montreal Agreement, the air carriers amended
    their contracts of carriage, applicable to the United States, by filing tariffs raising the
    limit of liability for passenger injury and death to $75,000. See 
    14 C.F.R. § 203.4
    (1998).
    16
    On September 28, 1998, the Senate ratified the fourth of the Montreal Protocols
    (“Montreal Protocol No. 4") independently of the Guatemala City Protocol and the
    three other Montreal Protocols, and the President signed the instrument of ratification
    on November 5, 1998. See El Al Israel Airlines, Ltd. v. Tsui Yuan Tseng, --- U.S. ---,
    ---, 
    119 S. Ct. 662
    , 674 & n.14 (1999). Montreal Protocol No. 4 replaces the term
    “willful misconduct” in Article 25 with the same language as contained in the Hague
    Protocol:
    [t]he limits of liability specified in . . . Article 22 shall not apply if it is
    proved that the damage resulted from an act or omission of the carrier,
    his servants or agents, done with intent to cause damage or recklessly
    and with knowledge that damage would probably result.
    Additional Protocol No. 4 to Amend the Convention for the Unification of Certain
    Rules Relating to International Carriage by Air Signed at Warsaw on 12 October 1929
    as Amended by the Protocol Done at the Hague on 28 September 1955 (“Montreal
    Protocol No. 4") art. IX, reprinted in Goldhirsch at 358.4
    4
    In 1994, the International Air Transport Association (“IATA”) launched an
    initiative for its member airlines to waive, by private contractual agreement, the
    liability cap contained in Article 22 of the Convention. See Thomas J. Whalen,
    Update on the IATA Intercarrier Agreement, 13 Air & Space Law. 1, 18 (1998). The
    IATA drafted what is known as the IATA Intercarrier Agreement on Passenger
    Liability, which imposes strict liability upon carriers for damages of up to
    approximately $130,000, but allows a carrier to exculpate itself from liability over this
    amount if it proves that “[the carrier and its agents] have taken all necessary measures
    to avoid the damage or that it was impossible for [the carrier and its agents] . . . to take
    such measures.” See id. at 18-19; see also 144 Cong. Rec. S11059-02, S11060 (Sept.
    17
    B. Application of Montreal Protocol No. 4 to This Case
    During the district court proceedings, Piamba Cortes’ ability to recover more
    than $75,000 hinged upon establishing that the pilots of Flight 965 engaged in willful
    misconduct under Article 25, thus allowing Piamba Cortes to avoid the limitations on
    liability contained in Article 22. While this case was on appeal, however, the United
    States’ adherence to Montreal Protocol No. 4 changed the language used in Article 25
    to measure such conduct. Montreal Protocol No. 4 specifies that it will enter into
    force in a ratifying jurisdiction ninety days after the instrument of ratification is
    deposited with the Polish government. See S. Exec. Rep. 105-20, at 4 (1998). As a
    result, the Protocol entered into force in the United States on March 4, 1999. See Tsui
    Yuan Tseng, --- U.S. at --- n.14, 
    119 S. Ct. at
    674 n.14. We therefore must determine
    whether the new language contained in Montreal Protocol No. 4 applies to this case.
    28, 1998) (statement of Lee S. Kreindler). Under the IATA’s system, the willful
    misconduct exception of Article 25--or, more recently, the exception as clarified by
    Montreal Protocol No. 4--is rendered irrelevant, because the carrier has contractually
    agreed to pay all a passenger’s damages over $130,000 unless the carrier can show it
    took all necessary measures to avoid the damages. See S. Exec. Rep. No. 105-20, at
    6, 13 (1998). The Department of Transportation approved the IATA Intercarrier
    Agreement on November 12, 1996. See D.O.T. Order 96-11-6, 
    1996 WL 656334
    , at
    *3 (D.O.T. Nov. 12, 1996). As of April 5, 1998, fifty-one domestic and foreign air
    carriers had adhered to the IATA Intercarrier Agreement, including American. See
    S. Exec. Rep. No. 105-20, at 57. The parties have not argued that the IATA
    Intercarrier Agreement applies retroactively to this case, and we therefore do not
    consider the issue.
    18
    We first look to see whether the amendment effects a substantive change in the legal
    standard or merely clarifies the prior law. As we explain, if the amendment clarifies
    prior law rather than changing it, no concerns about retroactive application arise and
    the amendment is applied to the present proceeding as an accurate restatement of prior
    law.
    At first, it seems intuitively appealing to conclude that, because the new
    language significantly alters the text of the original Convention, the original
    Convention’s language may be presumed to have meant the opposite. For example,
    Montreal Protocol No. 4’s language includes an express requirement that the air
    carrier must know that damage probably will result from its conduct, so one might
    conclude that such a requirement was omitted from the original Convention. This
    intuition runs contrary to our precedent, however, which holds that an amendment
    containing new language may be intended “to clarify existing law, to correct a
    misinterpretation, or to overrule wrongly decided cases. Thus, an amendment . . . does
    not necessarily indicate that the unamended statute meant the opposite” of the
    language contained in the amendment. United States v. Sepulveda, 
    115 F.3d 882
    , 885
    n.5 (11th Cir. 1997).
    Moreover, concerns about retroactive application are not implicated when an
    amendment that takes effect after the initiation of a lawsuit is deemed to clarify
    19
    relevant law rather than effect a substantive change in the law. See Beverly
    Community Hosp. Ass’n v. Belshe, 
    132 F.3d 1259
    , 1265 (9th Cir. 1997), cert. denied,
    --- U.S. ---, 
    119 S. Ct. 334
    , 
    142 L.Ed.2d 276
     (1998); Liquilux Gas Corp. v. Martin Gas
    Sales, 
    979 F.2d 887
    , 890 (1st Cir. 1992); Boddie v. American Broadcasting Cos., 
    881 F.2d 267
    , 269 (6th Cir. 1989); cf. Tsui Yuan Tseng, --- U.S. at ---, 
    119 S. Ct. at
    667-
    68 (concluding that a provision in Montreal Protocol No. 4 limiting recovery for
    bodily injuries clarifies, but does not change, prior law under the Convention). In
    effect, the court applies the law as set forth in the amendment to the present
    proceeding because the amendment accurately restates the prior law. See Liquilux,
    
    979 F.2d at 890
     (“Clarification, effective ab initio, is a well recognized principle.”).
    Several factors are relevant when determining if an amendment clarifies, rather
    than effects a substantive change to, prior law. A significant factor is whether a
    conflict or ambiguity existed with respect to the interpretation of the relevant
    provision when the amendment was enacted. If such an ambiguity existed, courts
    view this as an indication that a subsequent amendment is intended to clarify, rather
    than change, the existing law. See Liquilux, 
    979 F.2d at 890
    . Second, courts may rely
    upon a declaration by the enacting body that its intent is to clarify the prior enactment.
    See 
    id.
     Courts should examine such declarations carefully, however, especially if the
    declarations are found in the amendment’s legislative history rather than the text of
    20
    the amendment itself. See Consumer Prod. Safety Comm’n v. GTE Sylvania, Inc.,
    
    447 U.S. 102
    , 118 n.13, 
    100 S. Ct. 2051
    , 2061 n.13, 
    64 L.Ed.2d 766
     (1980). As a
    general rule, “[a] mere statement in a conference report of [subsequent] legislation as
    to what the Committee believes an earlier statute meant is obviously less weighty”
    than a statement in the amendment itself. Id.; see also Pennsylvania Med. Soc’y v.
    Snider, 
    29 F.3d 886
    , 900 (3d Cir. 1994) (attributing no value to a House committee
    report stating that an amendment clarifies prior law when the statement is inconsistent
    with a logical reading of the earlier version of the statute and with the legislative
    history of the earlier statute). Declarations in the subsequent legislative history
    nonetheless may be relevant to this analysis, especially if the legislative history is
    consistent with a reasonable interpretation of the prior enactment and its legislative
    history. See Sykes v. Columbus & Greenville Ry., 
    117 F.3d 287
    , 293-94 (5th Cir.
    1997) (“Although a committee report written with regard to a subsequent enactment
    is not legislative history with regard to a previously enacted statute, it is entitled to
    some consideration as a secondarily authoritative expression of expert opinion.”)
    (quoting Bobsee Corp. v. United States, 
    411 F.2d 231
    , 237 n.18 (5th Cir. 1969)); SEC
    v. Clark, 
    915 F.2d 439
    , 451-52 (9th Cir. 1990) (“While a statement concerning an
    earlier statute by members of a subsequent legislature is of course not conclusive
    evidence of the meaning of the earlier statute, the later interpretation may be accorded
    21
    some deference where the subsequent legislative commentary accompanies the
    enactment of an amendment to the earlier law.”); cf. GTE Sylvania, 
    447 U.S. at
    118
    n.13, 
    100 S. Ct. at
    2061 n.13 (noting that such history is “sometimes considered
    relevant,” but “subsequent legislative history will rarely override a reasonable
    interpretation of a statute that can be gleaned from its language and legislative history
    prior to its enactment”).
    1. Ambiguities and Conflicting Interpretations of Article 25
    We first examine whether a conflict or ambiguity existed with respect to the
    application of Article 25 as originally enacted. The English translation of Article 25
    allowed a passenger to avoid the liability cap if he could establish that the injury
    resulted from willful misconduct by the air carrier. We announced the Eleventh
    Circuit’s test for willful misconduct in Butler. 
    774 F.2d at 430
    . Adopting a test used
    by the District of Columbia Circuit, we held that willful misconduct “mean[s] ‘the
    intentional performance of an act with knowledge that the . . . act will probably result
    in injury or damage’ or ‘reckless disregard of the consequences’ or ‘a deliberate
    purpose not to discharge some duty necessary to safety.’” 
    Id.
     (quoting Koninklijke
    Luchtvaart Maatschappij N.V. v. Tuller, 
    292 F.2d 775
    , 778-79 (D.C. Cir. 1961)).
    Butler thus identifies three alternative ways to prove willful misconduct: (1)
    intentional performance of an act knowing that the act likely would result in injury or
    22
    damage; (2) an action taken with “reckless disregard” of the consequences; or (3) a
    deliberate failure to discharge a duty necessary to safety. 
    774 F.2d at 430
    . The first
    prong questions whether the carrier subjectively realized at the time of the relevant
    action that this action was likely to result in injury or damage to its passengers. The
    second prong is less precise, requiring that an air carrier “recklessly disregarded” the
    consequences of its acts. Without offering further explanation of the meaning of the
    term “reckless disregard,”5 we held that the facts in Butler established that the
    defendant’s pilot had recklessly disregarded the likelihood that his conduct would
    cause a plane crash and therefore had engaged in willful misconduct. 
    Id. at 431-32
    .
    In other Eleventh Circuit precedent, the term of art “reckless disregard” has
    different meanings depending on the context in which it is used. For example, when
    examining whether an individual willfully failed to pay withholding taxes, reckless
    disregard requires “something less than actual knowledge” of a risk. Malloy v. United
    States, 
    17 F.3d 329
    , 332 (11th Cir. 1994). In libel law, on the other hand, reckless
    5
    The district court in Butler, in addition to finding that the air carrier engaged
    in willful misconduct as defined in Article 25, also pointed out “as a second string to
    its bow . . . that if it were needful to resort to local law, the Alabama concept of
    ‘wantonness’ was substantially equivalent to the Convention’s primary standard” for
    willful misconduct. Butler, 
    774 F.2d at 430-31
    . We hypothesized in dicta that, to the
    extent that Alabama’s test for wantonness differed from the Convention’s test for
    willful misconduct, the air carrier suffered no harm such that the case must be
    reversed. 
    Id. at 431
    . We did not, as American suggests, hold that the test for willful
    misconduct under Article 25 is equivalent to the Alabama standard for wantonness.
    23
    disregard requires a showing that a defendant in fact knew that a published statement
    might be false. See Meisler v. Gannett Co., Inc., 
    12 F.3d 1026
    , 1030 (11th Cir. 1994)
    (“‘Reckless disregard,’ for purposes of proving actual malice, is shown if the
    defendant entertained serious doubts as to the truth of his publication.) (internal
    quotation marks omitted). We therefore find little guidance under Butler and other
    Eleventh Circuit precedent as to the precise meaning of reckless disregard in the
    context of cases filed under the Convention.
    A similar lack of clarity exists in our sister circuits when applying the term
    “willful misconduct” in Warsaw Convention cases. Despite the fact that all circuits
    to address the issue have used the term “reckless disregard” when applying Article 25,
    see, e.g., Shah v. Pan Am. World Servs., Inc., 
    148 F.3d 84
    , 93 (2d Cir. 1998) (carrier
    must have acted either (1) with knowledge that its actions would result in injury or
    death, or (2) in conscious or reckless disregard of the fact that death or injury would
    be the probable consequences of its actions), cert. denied, --- U.S. ---, 
    119 S. Ct. 1033
    (1999); Koirala v. Thai Airways Int’l, Ltd., 
    126 F.2d 1205
    , 1209-10 (9th Cir. 1997)
    (air carrier must intentionally perform an act, or fail to perform an act, with
    knowledge that it probably will result in injury or harm, or intentionally performed an
    act in some manner as to imply a reckless disregard of the consequences of its
    performance); Saba v. Compagnie Nationale Air France, 
    78 F.3d 664
    , 666 (D.C. Cir.
    24
    1996) (same); In re Air Crash Disaster, 
    86 F.3d 498
    , 544 (6th Cir. 1996) (same), the
    courts have employed a “know-it-when-we-see-it” approach rather than articulating
    precisely what is meant by reckless disregard. See, e.g., Saba, 
    78 F.3d at 667
     (stating
    that, although the D.C. Circuit clearly has equated willful misconduct with reckless
    disregard, the court “never ha[s] been very clear as to what we meant by reckless
    disregard”); see also Perry S. Bechky, Mismanagement and Misinterpretation: U.S.
    Judicial Implementation of the Warsaw Convention in Air Disaster Litigation, 
    60 J. Air L. & Com. 455
    , 501-02 (1995) (U.S. courts have “grappled” with question
    whether reckless disregard envisions a subjective or objective test, but have “generally
    regarded ‘willful misconduct’ as equivalent to recklessness or gross negligence”).
    Notwithstanding the fact that courts have avoided precise definitions of reckless
    disregard in Warsaw Convention cases, it is possible to make inferences regarding the
    analysis the courts employed in their decisions. For example, in 1961 the District of
    Columbia Circuit upheld multiple findings of willful misconduct based on a theory
    of reckless disregard without finding that the air carrier or its pilots subjectively knew
    that their conduct likely would harm passengers. See Tuller, 
    292 F.2d at 779-80
    .6
    The Second Circuit, on the other hand, admonished a district court for “concluding
    6
    The district court insightfully discussed the Tuller opinion in its order, see In
    re Crash Near Cali, 
    985 F. Supp. at
    1128 & n.15, and we adopt this discussion for the
    purposes of our analysis here.
    25
    that the Second Circuit does not require knowledge that damage would probably
    result” when assessing willful misconduct under a theory of reckless disregard. See
    Berner v. British Commonwealth Pac. Airlines, Ltd., 
    346 F.2d 532
    , 536 (2d Cir.
    1965). The Berner court further observed that “[t]here must be a realization of the
    probability of injury from the conduct, and a disregard of the probable consequences
    of such conduct.” 
    Id. at 537
     (quoting Grey v. American Airlines, Inc., 
    227 F.2d 282
    ,
    285 (2d Cir. 1955)). Later Second Circuit opinions continue to require a showing that
    the carrier knew that its actions placed its passengers at risk. See, e.g., Republic Nat.
    Bank v. Eastern Airlines, Inc., 
    815 F.2d 232
    , 239 (2d Cir. 1987) (“factors must be
    established indicating that such a loss is likely to occur and that defendant was aware
    of the probability”).
    The opinion that has attracted the most recent attention in this area is Saba, in
    which the District of Columbia Circuit endeavored to clarify the ambiguity
    surrounding that circuit’s definitions of reckless disregard and willful misconduct.
    Saba adopts a definition of willful misconduct that is the same in all practical respects
    as the definitions adopted in Tuller and Butler: “[w]illful misconduct is the intentional
    performance of an act with knowledge that the act will probably result in an injury or
    damage, or in some manner as to imply reckless disregard of the consequences of its
    performance.” 
    78 F.3d at 666
    . The district court in Saba concluded that the carrier
    26
    engaged in willful misconduct by recklessly disregarding an obvious risk--
    specifically, the possibility that inadequate packing procedures would expose cargo
    to water damage when the cargo was left outside in the rain. 
    Id. at 670
    . The circuit
    court reversed, holding that reckless disregard cannot be based solely upon a finding
    that the risk was obvious. 
    Id. at 669-70
    . Rather, the plaintiff must prove that the
    carrier subjectively knew that the carpets would be exposed to rain or that the packing
    procedures used would create a grave risk of water damage to the cargo if it rained.
    
    Id. at 670
    .
    The District of Columbia Circuit labeled this analysis a subjective test because
    it “requires a showing of a subjective state of mind.” 
    Id. at 668
    . The court
    acknowledged that the carrier’s subjective state of mind may be established solely by
    inferences taken from circumstantial evidence; the inferences thus act as “a legitimate
    substitution for intent to do the proscribed act because, if shown, it is a proxy for that
    forbidden intent.” 
    Id.
     Saba’s test thus is satisfied if evidence allows an inference that
    the carrier “must have been aware” of a risk created by its conduct. 
    Id. at 669
    . The
    court observed that its test is more stringent than an objective test that inquires only
    if the carrier “should have known” about the danger, because the test cannot be
    satisfied by showing merely “an extreme departure from standards of ordinary care.”
    
    Id.
    27
    The holdings of Saba, Berner, and Tuller thus are not readily reconcilable and
    do not provide a clear definition of what is meant by reckless disregard in Convention
    cases. An examination of the interpretations of willful misconduct by other countries
    that are signatories to the Warsaw Convention reveals a lack of uniformity similar to
    that contained in United States case law. Cf. Zicherman v. Korean Air Lines Co.,
    Ltd., 
    516 U.S. 217
    , 226, 
    116 S. Ct. 629
    , 634, 
    133 L.Ed.2d 596
     (1996) (“Because a
    treaty ratified by the United States is not only the law of this land, [cit.], but also an
    agreement among sovereign powers, we have traditionally considered as aids to its
    interpretation . . . the post-ratification understanding of the contracting parties.”).
    According to one collection of case law interpreting the Warsaw Convention, foreign
    jurisdictions have adopted both subjective and objective tests for willful misconduct,
    with France, Germany, Greece, and Korea adopting objective tests and Switzerland
    adopting a subjective test. See Goldhirsch at 121 (collecting cases).7
    This brief discussion addresses only a handful of the published cases that have
    construed willful misconduct under Article 25. Even this limited review, however,
    reveals a body of law that frequently is inconsistent and that provides a vague and
    nebulous definition of willful misconduct, rendering it difficult to apply. Under these
    7
    Goldhirsch observes--without citing any cases--that the objective test is “the
    one usually applied” in United States courts when assessing claims of willful
    misconduct. See Goldhirsch at 121.
    28
    circumstances, this ambiguity supports a conclusion that Montreal Protocol No. 4
    clarifies, rather than effects a substantive change to, Article 25.
    2. Declarations of Intent Concerning Montreal Protocol No. 4
    Montreal Protocol No. 4 contains no statements concerning an intent to clarify
    or change prior law. We therefore will examine the drafting and legislative history
    of the amended language to discern the intentions behind enacting the amendment.
    As we have explained, Montreal Protocol No. 4 adopts the Hague Protocol’s
    substituted language for Article 25; we therefore will look first to the drafting history
    of the Hague Protocol, where the negotiations surrounding the adoption of this
    language occurred.
    The delegates at the 1955 Hague Conference began their deliberations with a
    draft proposal that narrowed Article 25 to allow unlimited liability only where the
    carrier committed a “deliberate act or omission . . . done with intent to cause damage.”
    ICAO Doc. 7686 LC/140, Vol. II, Documents 99 (1956). The Norwegian delegation
    proposed an amendment to Article 25 that would force the carrier to bear unlimited
    liability if “the act or omission was committed either with the intention to cause
    damage or recklessly by not caring whether or not damage was likely to result.” Id.
    at 174. The Norwegian delegate explained this language to mean that “the person in
    question understood that there might be damage caused by his act or omission, but,
    29
    nevertheless, he took the position of saying: ‘I am quite indifferent as to whether
    damage will occur or not.’” ICAO Doc 7686-LC/140 Vol. I, Minutes 196 (1956)
    (hereinafter “Hague Conference Minutes”) (emphasis added).            Other countries
    interpreted the proposal the same way. See id. at 194-96 (statements of Spanish and
    British delegates).
    The Dutch delegation observed that, if the delegates intended to include a
    requirement that the carrier subjectively realize that damage likely would result from
    its actions, the Norwegian proposal’s failure to specify the requirement expressly left
    the proposal open to the same interpretive problems encountered with the language
    used in the original Convention. See id. at 197-98. The Dutch delegation thus
    proposed replacing the phrase “not caring whether or not damage was likely to result”
    with the phrase “with full realization of the reckless character of his or their conduct
    and of the danger that damage would result.” Id. at 198. After several other delegates
    concurred with the Dutch proposal, the conference finally adopted the phrase “with
    knowledge that damage would probably result.” See id. at 198-206. Significantly,
    both the Norwegian proposal and the final adopted language reflected an effort to
    retain the same standard of conduct that had been adopted under the text of the
    Convention. See id. at 196 (statement by British delegate that “[o]ne of the most
    important elements in cases decided by courts on the Warsaw Convention was that it
    30
    must be shown that the servants or agents of the operator . . . had knowledge of the
    probable consequences of their acts”); id. at 197 (statement by United States delegate
    that the proposed alteration to Article 25, “although different in drafting from the text
    of the present Article 25, continued as nearly as possible to establish the same rules
    of law as existed in American jurisprudence”).8
    We next turn to the legislative history surrounding the United States’ adherence
    to Montreal Protocol No. 4, which supports this interpretation. According to a report
    prepared by the Senate Committee on Foreign Relations, the language that replaces
    willful misconduct in Article 25 “does not modify the scope of the standard . . . [but
    rather serves as] a clarifying response to the difficulties that arose from differing
    translations of the text” of the original Convention. S. Exec. Rep. No. 105-20, at 15
    8
    In fact, Nathan Calkins, the United States’ delegate to the Hague Conference,
    wrote that:
    While the revised [Article 25] is believed to be substantially a paraphrase
    of the present Article 25 as it is administered by United States courts,
    there appears to be no doubt that it considerably tightens the article as it
    is now currently administered in certain foreign courts. Some foreign
    countries presently regard gross negligence as sufficient to bring this
    article into play. [Application of the revised language] would bring about
    the result of maintaining substantially the same rule of law as is presently
    applied in courts within the United States. . . .
    G. Nathan Calkins, Grand Canyon, Warsaw and the Hague Protocol, 
    23 J. Air L. & Com. 253
    , 266-67 (1956).
    31
    (1998). In the view of the Senate Committee, the Protocol replaces the term “willful
    misconduct” with “the common law definition of ‘willful misconduct.’” 
    Id.
    The State Department, in response to questions from members of the Senate
    Committee, explained further that the language contained in Montreal Protocol No.
    4 “is merely an alternative interpretation of the original French text [of the
    Convention], developed to harmonize the various legal interpretations that had
    developed from the original.” Id. at 47. Use of the term “willful misconduct” in the
    original Convention resulted, in the State Department’s view, in a:
    discrepancy between common and civil law concerning the nature of
    conduct required to remove limits on liability. Because the concept of
    willful misconduct came to have different connotations in the civil and
    common law systems, the drafters [of the amended language] . . .
    replaced the legal standards with a description of the conduct itself.
    Id. The State Department therefore concluded that “this change does not modify the
    scope of the standard,” id., and that “the amendment to Article 25 will have no
    practical effect on the rights of claimants in cases under the Warsaw Convention.” Id.
    at 53.
    The Senate Committee and State Department premised their views upon the
    express requirement in Montreal Protocol No. 4 that a passenger must prove that the
    carrier knew its conduct would likely result in damage. Among other things, the
    Senate report quotes two Second Circuit opinions that require passengers seeking to
    32
    establish willful misconduct to prove knowledge on the part of the carrier that injury
    likely will result from its actions. See S. Exec. Rep. 105-20, at 53 (quoting Pekelis
    v. Transcontinental & W. Airlines, Inc., 
    187 F.2d 122
     (2d Cir. 1951), and Grey v.
    American Airlines, Inc., 
    227 F.2d 282
     (2d Cir. 1955)). In fact, in Grey, the Second
    Circuit emphasized that “[t]here must be a realization of the probability of injury from
    the conduct, and a disregard of the probable consequences of such conduct.” 
    227 F.2d at 285
    .9
    In sum, the Senate Committee and the State Department concluded that Article
    25 always has required a passenger to prove knowledge on the part of the air carrier
    that its conduct would likely result in damage, and that Montreal Protocol No. 4
    clarifies the existing law to codify expressly this requirement. We pay close attention
    to this conclusion, as “[r]espect is ordinarily due the reasonable views of the
    9
    The Senate Report also quotes the Restatement (Second) of Torts’ definition
    of reckless disregard, which does not require that an actor subjectively realize that his
    conduct is placing others at risk of harm. See S. Exec. Rep. 105-20, at 53 (quoting
    Restatement (Second) of Torts § 500 (1965) (actor is liable if he performs an act or
    fails to perform an act “knowing or having reason to know of facts which would lead
    a reasonable man to realize” that his conduct creates an unreasonable risk of harm and
    is substantially greater than is necessary to make his conduct negligent) (emphasis
    added)). We are unable to explain the inclusion of this citation in the Senate Report,
    as the Restatement’s definition is impossible to square with the express language used
    in Montreal Protocol No. 4 and the remaining discussion contained in the Report.
    Under these circumstances, we cannot conclude that the citation is intended to
    contradict the express language of the Protocol and create an objective test under
    Article 25.
    33
    Executive Branch concerning the meaning of an international treaty.” Tsui Yuan
    Tseng, --- U.S. at ---, 
    119 S. Ct. at 671
    . At the same time, we are mindful of the
    admonition that subsequent legislative history purporting to clarify prior law should
    be viewed skeptically if it is inconsistent with a reasonable interpretation of the text
    and legislative history of the earlier enactment. See GTE Sylvania, 
    447 U.S. at
    118
    n.13, 110 S. Ct. at 2061 n.13. We therefore will examine the language and drafting
    history of the original Convention to ensure that the subsequent declarations of intent
    are consistent with the earlier law.
    The delegates to the 1929 Warsaw conference drafted the Convention in
    French, and used the word “dol” to describe the level of misconduct that allows a
    passenger to bypass Article 22's liability cap.10 Although the term “dol” has “no
    precise analogue in the English language,” Second International Conference on
    Private Aeronautical Law, Oct. 4-12, 1929, Warsaw, Minutes at v. (Robert C. Horner
    & Didier Legrez trans. 1975) (hereinafter “Warsaw Minutes”), “[i]t implies an act or
    10
    The authentic French text of Article 25(1) states:
    Le transporteur n’aura pas le droit de se prévaloir des dispositions de la
    présente Convention qui excluent ou limitent sa responsabilité, si le
    dommage provient de son dol ou d’une faute qui, d’après la loi du
    tribunal saisi, est considérée comme équivalente au dol.
    Goldhirsch at 193.
    34
    omission that was done intentionally to cause a harm.” Goldhirsch at 121. The use
    of the word “dol” resulted from the drafters’ dissatisfaction with the phrase
    “intentional illicit act,” which had been included in an earlier draft of Article 25. See
    Warsaw Minutes at 265.11 Initially, the delegates could not agree on proposed
    substitutions to replace “intentional illicit act.” The German delegation suggested the
    term “faute lorde,” which the delegates equated with a common-law gross negligence
    standard, see id. 58-59, 61, 278, 290, while the British delegation proposed to limit
    the exemption to acts committed deliberately for the purpose of injury. See id. at 298.
    The Brazilian delegate, Alcibiades Pecanha, presciently observed that the competing
    proposals raised the question whether the air carrier’s conduct was to be measured by
    an objective or subjective standard, and consequently endorsed a compromise
    approach. See id. at 61.
    Ultimately, the delegates rejected the inclusion of “faute lorde” and retained the
    French word “dol,” adding that a court may apply the legal equivalent of “dol” as
    defined by the law of the forum jurisdiction. Warsaw Convention art. 25(1). As noted
    by British delegate Sir Alfred Dennis, the adopted language reflects the delegates’
    agreement that “dol” was to be translated into English as willful misconduct, see
    11
    In the draft considered at the Warsaw conference, the provisions contained
    in Article 25(1) of the Convention initially were found in Article 24. See Warsaw
    Minutes at 214. A subsequent amendment placed the provisions in Article 25(1).
    35
    Warsaw Minutes at 213, which Sir Dennis defined as “cover[ing] not only deliberate
    acts but also careless acts done without regard for the consequences.” Id. at 59-60.
    The drafting history thus reveals that conferees rejected an effort to define
    willful misconduct to encompass gross negligence.               Although Sir Dennis’
    characterization of willful misconduct suggests that the standard may be satisfied
    without establishing that the carrier knew its actions placed its passengers at risk, the
    language adopted by the conference does not expressly embody this characterization.
    We therefore find the 1929 drafting history to be ambiguous in this respect.
    In sum, the recent legislative history surrounding Montreal Protocol No. 4 is
    consistent with a reasonable interpretation of the original text, and the drafting history
    for the original Convention does not suggest otherwise. Given the uniform and clear
    statements of those who enacted and adopted the amended language contained in
    Montreal Protocol No. 4, we find these statements to be persuasive indicators that the
    Protocol clarifies, rather than effects a substantive change to, existing law.
    C. Summary of Law
    For the reasons that we have explained, we conclude that Montreal Protocol No.
    4 clarifies the definition of willful misconduct under Article 25, rather than effecting
    a substantive change in the law. The amended language provides a more precise
    articulation of the standard, requiring a passenger to prove that the carrier, or its
    36
    servants or agents, acted: (1) “with intent to cause damage,” or (2) “recklessly and
    with knowledge that damage would probably result.” Montreal Protocol No. 4, art.
    IX, reprinted in Goldhirsch at 358. This definition of the standard replaces the less
    precise articulation set forth in Butler, including the reckless disregard standard
    employed by the district court. Under the clarified standard, we no longer inquire as
    to reckless disregard, but rather examine whether the pilots of Flight 965, at a
    minimum, acted recklessly and with knowledge that their conduct likely would result
    in damage.
    Before applying the Protocol’s clarified definition of the standard to this case,
    we believe it is necessary to comment upon the type of evidence that may be used to
    satisfy the standard. For this task, we refer to Farmer v. Brennan, 
    511 U.S. 825
    , 
    114 S. Ct. 1970
    , 
    128 L. Ed. 811
     (1994), where the Court announced its standard for
    “deliberate indifference” in Eighth Amendment cases. 
    511 U.S. at 837
    , 
    114 S. Ct. at 1979
    . The Farmer Court’s discussion is helpful here because the Court explained in
    great detail how a plaintiff may prove that a defendant subjectively knew that his or
    her actions would likely result in harm to the plaintiff. See 
    id. at 836-44
    , 
    114 S. Ct. at 1978-82
    ; see also Saba, 
    78 F.3d at 669
     (analogizing the Farmer Court’s discussion
    to a plaintiff’s claim that air carrier engaged in willful misconduct under Article 25).
    37
    Farmer begins its analysis by dividing the legal definition of recklessness into
    two distinct standards, one measured objectively and the other subjectively. 
    511 U.S. at 836-37
    , 
    114 S. Ct. at 1978-79
    . An objective test, according to Farmer, examines
    whether an actor acts or fails to discharge a duty to act “in the face of an unjustifiably
    high risk of harm that is either known or so obvious that it should be known.” 
    Id. at 836
    , 
    114 S. Ct. at 1978
    . A subjective test, on the other hand, asks whether an actor
    has disregarded a risk of harm of which he is aware. 
    Id. at 836-38
    , 
    114 S. Ct. at
    1978-
    79. Stated differently, to satisfy the subjective test the actor “must both be aware of
    facts from which the inference could be drawn that a substantial risk of serious harm
    exists, and he must also draw the inference.” 
    Id. at 837
    , 
    114 S. Ct. at 1979
    . Because
    the language set forth in Montreal Protocol No. 4 also requires a plaintiff to establish
    that the carrier knows that its conduct likely will result in damage--in other words, that
    the carrier has drawn an inference that a risk of harm exists--Article 25 creates what
    Farmer defines as a subjective test.
    Under Farmer, establishing knowledge on the part of the actor need not be
    accomplished solely by direct evidence; a factfinder is permitted to infer from
    circumstantial evidence that the actor actually drew the inference that the
    circumstances posed a substantial risk of harm. 
    Id. at 842
    , 
    114 S. Ct. at 1981
    . Indeed,
    it is possible to premise this inference on “the very fact that the risk was obvious.” 
    Id.
    38
    Obviousness of the risk thus plays a role in both the subjective and the objective tests.
    The difference, when the tests are put into practice, is a fine one. The objective test
    is satisfied if a grave risk is sufficiently obvious, because the person “should have”
    been aware of the risk regardless of whether he actually recognized it. See Saba, 
    78 F.3d at 669
    . The subjective test, on the other hand, precludes a finding of liability if
    the factfinder concludes that, even though a grave risk is obvious, no inference can be
    made that the actor actually became aware of the risk. See Farmer, 
    511 U.S. at 844
    ,
    
    114 S. Ct. 1982
     (“That a trier of fact may infer knowledge from the obvious . . . does
    not mean that it must do so.”). In this way, a plaintiff may rely solely upon
    circumstantial evidence related to the obviousness of a grave risk to satisfy both tests,
    but the subjective test is satisfied only if the circumstances also permit an inference
    that the actor “must have known” about the risk. Id. at 842-43, 
    114 S. Ct. at 1981-82
    .
    “It is not enough merely to find that a reasonable person would have known, or that
    the defendant should have known,” of the risk. 
    Id.
     at 843 n.8, 
    114 S. Ct. 1982
     n.8.
    Thus, while an objective test asks whether an actor “should have known” of an
    obvious risk, the subjective test requires, at a minimum, a showing that the actor
    39
    “must have known” of the risk. Cf. Spruce v. Sargent, 
    149 F.3d 783
    , 786 (8th Cir.
    1998).12
    D. Entry of Summary Judgment Against American
    Having determined the proper test to be applied, we now turn to American’s
    argument that the district court improperly entered summary judgment in favor of the
    passengers on the issue of willful misconduct. Without having the benefit of Montreal
    Protocol No. 4’s more precise language, the district court applied a test for willful
    misconduct that is at odds with the conclusions contained in our opinion. Acting
    perhaps out of an abundance of caution, however, the district court held in the
    alternative that, because the pilots of Flight 965 decided to continue descending even
    12
    Courts have spoken of a “liability continuum” that runs from simple
    negligence to intentional conduct undertaken with the purpose of harming others. See
    Saba, 
    78 F.3d at 668
    . The subjective test described in this opinion lies closer on this
    continuum to intentional misconduct than does the objective test. While we take great
    care to specify that the two standards are distinct, we acknowledge that the differences
    are indeed subtle, especially when a plaintiff relies solely on circumstantial evidence.
    Cf. West v. Waymire, 
    114 F.3d 646
    , 651 (7th Cir.) (“Granted, there may be less here
    than meets the eye. The difference between a ‘plainly obvious’ and an actually known
    danger--the critical difference between the [subjective] and [objective] standards of
    recklessness--may have little significance in practice, given the difficulty of peering
    into minds. . . .”), cert. denied, --- U.S. ---, 
    118 S. Ct. 337
     (1997); Goldhirsch at 122
    (“Despite the difference in approach [in a subjective and objective test], the results are
    more or less the same. In cases where the courts have applied the subjective test, the
    wrongdoer’s knowledge of harm was often implied. Therefore, a case that purports
    to use the subjective standard but which accepts circumstantial evidence to prove the
    state of mind of the wrongdoer is so closely akin to an objective test that there is no
    longer any necessity to distinguish between the two.”).
    40
    though they knew they were off course in a dangerously mountainous region, Piamba
    Cortes was entitled to summary judgment on the issue of willful misconduct even
    under a subjective test. If correct, the district court’s decision may be affirmed on this
    ground without requiring a remand.
    We review a district court's entry of summary judgment de novo. See City of
    Tuscaloosa v. Harcros Chems, Inc., 
    158 F.3d 548
    , 556 (11th Cir. 1998). Summary
    judgment is appropriate only if no genuine issue of material fact exists and the moving
    party is entitled to judgment as a matter of law. See Fed. R. Civ. P. 56(c). In
    assessing whether the movant has met its burden of demonstrating the absence of a
    genuine issue of fact, the court must view the evidence and all factual inferences in
    the light most favorable to the party opposing the motion.             See Reynolds v.
    Bridgestone/Firestone, Inc., 
    989 F.2d 465
    , 469 (11th Cir. 1993). An issue of fact is
    genuine, thus barring the entry of summary judgment, unless “the record taken as a
    whole could not lead a rational trier of fact to find for the non-moving party.”
    Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 
    475 U.S. 574
    , 587, 
    106 S. Ct. 1348
    , 1356, 
    89 L.Ed.2d 538
     (1986).13
    13
    Like the district court, we reject American’s broad assertion that, because
    Article 25 requires a factual finding regarding an actor’s state of mind, the issue defies
    determination as a matter of law on summary judgment. See In re Air Crash Near
    Cali, 
    985 F. Supp. at 1123, 1124
     (“[T]he principles of Rule 56 apply to all lawsuits.
    . . . [E]ven assuming that the term willful misconduct requires a subjective inquiry .
    41
    Piamba Cortes argues that the pilots of Flight 965 knew that, by continuing
    their descent even though they knew the plane was off course in a mountainous
    region, their conduct likely would result in harm to the passengers. To justify entering
    summary judgment in her favor on this claim, Piamba Cortes must show that no
    genuine dispute exists with respect to three distinct factual issues: (1) the pilots of
    Flight 965 knew that the plane was significantly off course in a mountainous region;
    (2) the pilots knowingly elected to continue descending the plane; and (3) the pilots
    knew that descending the plane under such circumstances would likely result in harm
    to the passengers.
    The second and third issues are easily resolved in Piamba Cortes’ favor. The
    record is replete with convincing circumstantial evidence that both Tafuri and
    Williams knew that continuing a descent in a mountainous region when the aircraft
    was significantly off course would create a risk of danger to the passengers. Most
    compelling, however, is the fact that American did not argue to the contrary in the
    district court and does not argue to the contrary on appeal. Tafuri and Williams’
    . ., there are many instances in the law where the evidence of state of mind is so
    unequivocal that summary judgment is proper and, indeed, expressly mandated by
    Rule 56."). Our holding that Piamba Cortes’ evidence fails to meet this standard does
    not imply that, given a different set of facts, a passenger cannot be awarded summary
    judgment with respect to the application of the Convention’s liability cap under
    Article 25.
    42
    awareness that such conduct would create a risk of injury to passengers therefore is
    not at issue here.
    The same is true with respect to the pilots’ knowledge that the plane was
    descending. Statements by the pilots recorded by the cockpit voice recorder reveal
    that the pilots were actively monitoring the plane’s altitude during the descent.
    Furthermore, American once again poses no argument to the contrary on appeal.
    The final, and most difficult, question is whether the pilots in fact knew that the
    aircraft was off course while it was descending. We narrow this inquiry to reflect the
    fact that, in order to enter summary judgment in favor of the passengers, the pilots
    must have known that the aircraft was “significantly” off course14--in other words, at
    risk of leaving the valley while the pilots continued their descent. If the pilots
    believed that the plane was slightly off course, yet well within the safety of the valley,
    a factfinder reasonably might infer that the pilots were not actually aware that their
    actions probably would result in injury to the passengers.15 On the other hand, the
    14
    The district court also used the words “profoundly” and “radically” off
    course.
    15
    The converse, of course, also is true, that even if the pilots believed they
    were close to the published flight path, it is possible to infer that the pilots nonetheless
    recognized that their conduct placed the passengers at risk of injury, thus creating a
    question to be resolved by the factfinder. As we explain, however, this inference is
    not mandatory under the facts of this case.
    43
    pilots need not have realized that the aircraft had flown all the way out of the valley
    to realize that their conduct placed the passengers at risk of harm. As American
    concedes, if the pilots knew the plane was significantly off course, the only reasonable
    inference a factfinder could make is that the pilots knew the plane was at risk of
    crashing into the mountains. Consequently, entry of summary judgment in favor of
    Piamba Cortes hinges upon a narrow finding that a reasonable juror could only infer
    that Tafuri and Williams realized the aircraft was significantly off course during the
    time they continued their descent.
    The district court concluded that the only plausible inference to be taken from
    the evidence was that the pilots knew that they had strayed significantly away from
    the published arrival path. We agree with the district court that a reasonable factfinder
    must conclude that the pilots knew they were off course. We disagree, however, that
    the only reasonable inference was that the pilots knew they were significantly off
    course; to the contrary, even though more plausible interpretations suggest otherwise,
    a factfinder reasonably might conclude that the pilots believed they were near enough
    to the published arrival path that they did not realize they had placed the passengers
    at risk of harm.
    The district court set forth a detailed and thorough account of the circumstantial
    evidence supporting a finding that the pilots realized they were not on the published
    44
    flight arrival path to Cali. See generally In re Crash Near Cali, 
    985 F. Supp. at
    1138-
    43. This occurred after the pilots mistakenly entered “Romeo” instead of “Rozo” into
    the FMC and the plane turned east toward the mountains. According to the district
    court, the pilots likely would have realized that, in light of the amount of time they
    had been flying east, the aircraft in fact was significantly off the published course to
    the Tulua waypoint. Nonetheless, the evidence did not show conclusively that the
    pilots perceived the amount of time that they had been flying east toward the
    mountains, thus allowing a reasonable inference that the pilots believed the aircraft
    to be near the published arrival path even after the turn.         
    Id. at 1140
    .    The
    circumstances changed, however, at the moment marked 21:38:54 on the cockpit
    voice recorder, when the pilots realized that the aircraft was headed in the wrong
    direction and must turn to the right to intercept the proper course. As summarized by
    the district court, the pilots’ statements--such as “[w]here’re we going” and “we got
    fucked up here didn’t we?”--added with expert testimony describing this portion of
    the flight--allow only one reasonable inference: that the pilots realized that the plane
    was not on the published arrival path.
    The evidence is not equally compelling, however, with respect to the pilots’
    knowledge of the extent that they had traveled off course. We agree with the district
    court that, given the pilots’ statements on the cockpit voice recorder, a highly
    45
    plausible inference to be taken from the evidence is that “the pilots did not even know
    precisely where they were in the sky.” 
    Id. at 1142
    . Nonetheless, at one point during
    the pilots’ discussion of the aircraft’s location Tafuri says, “You’re okay, you’re in
    good shape now,” which the district court concedes “can be read as an indication that
    Tafuri, at least, believed the plane was on or very near the published route.” 
    Id. at 1143
    .
    The district court considered this statement by Tafuri in the context of other
    circumstantial evidence. We do the same, and conclude that evidence relating to the
    plane’s instrument readings permit a reasonable inference that Tafuri’s statement
    actually reflects a belief that the plane was not at risk of leaving the valley. At the
    moment marked 21:39:24 on the cockpit voice recorder, Tafuri dialed the correct
    frequency for the Tulua waypoint into his EHSI, which prompted the plane’s D-bar
    indicator to shift on the computer screen. Up until that moment, the EHSI had been
    programmed using the frequency for an incorrect waypoint located well to the east of
    the valley, thus causing the D-bar indicator to indicate that the Tulua waypoint was
    located to the left of the plane. American argues that the shift of the D-bar indicator
    allowed Tafuri to believe that they had passed the Tulua waypoint or a vector leading
    to the published arrival path, and thus supports a conclusion that Tafuri believed that
    46
    he was close to the published arrival path and needed only to continue a right-hand
    turn in order to intersect the arrival path.
    Piamba Cortes and the district court offer several reasons why this inference
    should be rejected as unreasonable.16 First, the compass heading during this portion
    of the flight was approximately 120 degrees compared to the proper compass heading
    (a radial heading south and slightly west at approximately 202 degrees) used in the
    published arrival path. The district court found that even a brief glance at the compass
    heading would have informed the pilots that they had veered dramatically off course.
    Second, once Tafuri dialed the proper frequency for the Tulua waypoint, the pilots
    necessarily realized that the Tulua waypoint was located to the left and behind the
    plane; thus, the district court found that the right-hand turn executed by the pilots was
    inconsistent with an attempt to fly over the Tulua waypoint or to intercept the flight
    path. Third, the pilots noted at one point that their distance to the airport was thirty-
    eight miles, but recognized that this distance remained thirty-eight miles even after the
    passage of one minute and fourteen seconds, which the district court found would
    16
    The district court’s discussion of the permissible inferences to be taken from
    the plane’s instruments is contained in the portion of the order addressing whether the
    pilots engaged in willful misconduct as measured under an objective test, and thus the
    district court’s analysis is framed in the context of whether the pilots “should have
    recognized” how far they veered off course based on this evidence. The reasoning
    underlying the district court’s discussion nonetheless is useful to our discussion of
    whether the pilots “must have known” how far they veered off course.
    47
    have communicated to the pilots not only that they were not heading towards the
    airport, but that they had traveled a significant distance off course.
    Considered together, this circumstantial evidence certainly permits a factfinder
    to infer that the pilots realized that the aircraft had veered significantly off course.
    This interpretation, however, is not the only reasonable inference that can be taken
    from this evidence, as the entry of summary judgment requires. No evidence
    conclusively demonstrates that the pilots actually monitored their compass heading,
    or that the pilots in fact recognized that, because they failed to reduce the distance
    between the aircraft and the airport, they had traveled a significant distance from the
    published flight path. If the pilots failed to put these connections together, a factfinder
    reasonably may infer that the shift in the D-bar indicator led the pilots to believe that
    they had just intersected the vector leading to the published flight path and thus were
    close to the flight path and within the valley. Combined with the plausible inference
    taken from Tafuri’s comment that “[y]ou’re okay, you’re in good shape now,” it is not
    unreasonable to infer that the pilots believed they were close to the published flight
    path and thus did not recognize that their actions placed their passengers at risk of
    injury.
    Piamba Cortes also places great reliance upon the fact that Tafuri and Williams’
    actions violate FAA regulations and the principles of flying in Latin America that
    48
    American teaches its pilots. We agree with Piamba Cortes that the pilots’ failure to
    comply with their training and with FAA regulations certainly constitute
    circumstantial evidence that supports a finding that Tafuri and Williams knew their
    conduct placed the passengers at risk. Under the totality of the evidence in this case,
    however, a factfinder may reasonably infer that, despite the pilots’ training and
    compliance with FAA regulations, they were not subjectively aware at the time they
    executed their descent into Cali that the descent probably would result in damage.17
    The District of Columbia Circuit observed that when “no one knows exactly
    what happened” to cause a pilot to commit errors and crash and the plaintiff has no
    unequivocal direct evidence, “questions [of willful misconduct] depend upon
    inferences to be drawn from essentially circumstantial evidence . . . [and] [o]ne can
    hardly imagine a clearer case in which such questions should have been left to the
    jury.” In re Korean Air Lines Disaster of September 1, 1983, 
    932 F.2d 1475
    , 1481
    (D.C. Cir. 1991) (first and third alterations in original). Of course, Korean Air did not
    include a recording of the pilots’ conversations in which they stated that they were off
    the published arrival path. Nonetheless, under the circumstances of this case, other
    17
    Piamba Cortes also places great reliance upon “admissions” that American
    has made during the course of the proceedings. In our view, none of the admissions,
    when viewed in a light most favorable to American, compel a finding that Tafuri and
    Williams knew that Flight 965 was significantly off course or that Tafuri and Williams
    knew that their conduct likely would result in damage.
    49
    statements in the pilots’ conversation and circumstantial evidence permit a reasonable
    inference that the pilots believed they were close to the flight path, creating a question
    of fact whether the pilots recognized that their conduct probably would result in
    damage.
    For these reasons, we conclude that the district court erred in entering summary
    judgment against American with respect to unlimited liability under the Warsaw
    Convention. We therefore vacate the district court’s entry of summary judgment on
    the issue of American’s liability in excess of the Convention’s liability cap, and
    remand for a determination by the trier of fact whether Piamba Cortes may seek
    compensatory damages in excess of the limit created by the Convention.
    III. CONFLICT OF LAWS CONCERNING COMPENSATORY DAMAGES
    The district court concluded that, under the relevant conflict-of-laws rules,18
    Florida’s compensatory damages scheme governed all claims arising from the crash
    of Flight 965 that were filed in the Southern District of Florida, regardless of whether
    the claims were filed on behalf of domiciliaries of Florida or Colombia. The district
    18
    American removed this case to federal court under both diversity and federal
    question jurisdiction. The district court observed that Florida’s conflict-of-laws rules
    are the same as federal common-law conflict-of-laws rules, because both have adopted
    the Restatement (Second) of Conflict of Laws. See SR-365-5-6 n.3. Therefore, the
    same rules would be applied under either diversity jurisdiction or federal question
    jurisdiction. See 
    id.
    50
    court therefore applied Florida law to determine the compensatory damages to which
    Piamba Cortes was entitled for the death of her sister, who was a domiciliary of
    Colombia at the time of the crash. American argues that the proper conflict-of-laws
    analysis must focus upon the decedent’s domicile, and thus the district court should
    have applied Colombia’s compensatory damages scheme to Piamba Cortes’ claims.
    A district court’s resolution of a conflict-of-laws issue is a legal question that
    we review de novo. See LaFarge Corp. v. Travelers Indem. Co., 
    118 F.3d 1511
    , 1514-
    15 (11th Cir. 1997).
    Before turning to the merits of this issue, it is necessary to clarify the scope of
    this opinion as it relates to the many cases arising out of the crash of Flight 965. In
    its order on conflict-of-laws issues, the district court determined that, with certain
    limited exceptions, Florida compensatory damages law applies across the board to all
    cases filed in the Southern District of Florida. Here, we are presented with a much
    narrower inquiry, that is, determining which compensatory damages law must be
    applied to Piamba Cortes’ claims. Although the district court at times considered the
    conflict-of-laws problem in the context of all the passenger lawsuits aggregated
    together--in other words, regardless of the domiciles of the individual decedents--the
    district court tailored its final resolution of the conflict-of-laws problem by separating
    the decedents by domicile. See, e.g., SR-365-30 n.10. The district court thus relied
    51
    upon independent reasons for applying Florida compensatory damages law to claims
    involving decedents who, like Piamba Cortes’ sister, were domiciliaries of Colombia.
    Consequently, we are able to review the district court’s ruling as it pertains
    specifically to Piamba Cortes’ claims. Our analysis focuses upon this narrow issue,
    however, and we do not purport to review the conflict-of-laws issues raised by any
    other cases related to the crash of Flight 965.
    A. Applicable Law
    Piamba Cortes’ claims arise under the Warsaw Convention, which provides that
    air carriers shall be liable “for damage sustained” in the event of the death or
    wounding of a passenger on a flight that falls under the scope of the Convention.
    Warsaw Convention art. 17. In Zicherman v. Korean Air Lines Co., 
    516 U.S. 217
    ,
    
    116 S. Ct. 629
    , 
    133 L. Ed. 2d 596
     (1996), the Supreme Court held that, with respect
    to the types of compensatory damages awarded to passengers, the Convention
    “provide[s] nothing more than a pass-through, authorizing [courts] to apply the law
    that would govern in absence of the Warsaw Convention.” 
    516 U.S. at 229
    , 
    116 S. Ct. at 636
    . Here, the district court concluded that the question of compensatory
    damages created a conflict-of-laws problem and thus applied the “most significant
    relationship” test articulated in the Restatement (Second) of Conflict of Laws (1971)
    (hereinafter “Restatement”). The parties do not challenge this decision.
    52
    The Restatement provides that, in a wrongful death action, “the local law of the
    state where the injury occurred determines the rights and liabilities of the parties
    unless, with respect to the particular issue, some other state has a more significant
    relationship . . . to the occurrence and the parties, in which event the local law of the
    other state will be applied.” Restatement § 175 (general rule); see also id. § 178
    (specific rule for wrongful death actions). This preference for the state in which the
    injury occurred all but disappears, however, when the conflict of laws involves the
    issue of damages in wrongful death actions. As the commentary observes, the fact
    that conduct leading to a wrongful death--as well as the death itself--occurred in a
    certain jurisdiction does not, by virtue of these contacts alone, create a significant
    interest for that jurisdiction to apply its damages law to a subsequent lawsuit. See id.
    § 178 cmt. b. Courts instead are instructed to refer to the general conflict-of-laws
    principles set forth in section 6, as well as principles specific to tort claims set forth
    in section 145, to identify jurisdictions that possess the greatest interest in applying
    their compensatory damages schemes. See id. §§ 175 & 178. For these reasons, no
    rigid rules exist for resolving conflict-of-laws problems in wrongful death actions
    governed by the Restatement, requiring instead an examination of the interests created
    by the facts and circumstances presented in each case. See Judge v. American Motors
    Corp., 
    908 F.2d 1565
    , 1568 (11th Cir. 1990).
    53
    B. Interested Jurisdictions Under Section 145
    Section 145 lists four types of contacts to be taken into account when
    identifying jurisdictions that possess an interest in applying their compensatory
    damages schemes:
    (a) the place where the injury occurred;
    (b) the place where the conduct causing the injury occurred;
    (c) the domicile, residence, nationality, place of incorporation, and place
    of business of the parties; and
    (d) the place where the relationship, if any, between the parties is
    centered.
    Restatement § 145(2). Under the facts and circumstances of this case, we identify four
    jurisdictions that possess interests in applying their compensatory damages schemes
    to this case: Colombia, the place of the crash and the domicile of both the plaintiff and
    the decedent; Florida, the domicile of the two deceased pilots and the state in which
    their estates were probated,19 as well as a place where American transacts significant
    business; Texas, the principal place of American’s business; and Delaware, the state
    of American’s incorporation. The parties argue in favor of only two jurisdictions,
    19
    In her Complaint, Piamba Cortes named the estates of the two pilots as
    defendants.
    54
    Colombia and Florida, so we need not consider further the interests of Texas and
    Delaware.
    American argues that Florida’s interests in this case are illusory for two reasons.
    First, American observes that it agreed to satisfy any judgment against the estates of
    the pilots, thus eliminating the contacts created by these defendants. American further
    points out that Piamba Cortes dismissed her claims against the pilots’ estates several
    months after the district court resolved the conflict-of-laws issue. Second, American
    argues that its business activities in Florida are not sufficient to create a relationship
    with Florida under section 145(2)(c). We consider each argument in turn.
    American’s agreement to satisfy a judgment against the estates of the two pilots
    does not, under the circumstances of this case, extinguish the relationship with Florida
    under section 145(2). We first observe that American has not pointed to any evidence
    in the record to support its assertion that such an agreement exists. Even if such
    evidence existed, satisfaction agreements may be disputed in later stages of litigation
    and do not always remove the defendant entirely from the scope of the case. Of equal
    concern is the possibility that a defendant, seeking to avoid the application of a
    jurisdiction’s generous damages scheme, could agree to satisfy judgments against any
    co-defendants who are domiciliaries of that jurisdiction. We do not imply, of course,
    that American’s agreement with the estates of the two pilot defendants reflected this
    55
    type of strategic behavior; we make the observation solely to demonstrate the
    possibilities for opportunistic conduct that might arise if such agreements could
    dictate the results of conflict-of-laws problems.
    Piamba Cortes’ decision to dismiss her claims against the estates of the pilots
    several months after the district court resolved the conflict-of-laws issue does not alter
    our conclusion. American has not shown, and does not argue, that at the time of the
    district court’s decision the estates were improperly named parties to the lawsuit.
    Consequently, at the time the district court resolved the conflict-of-laws issue, the
    inclusion of the pilots’ estates as defendants created a viable relationship with
    Florida.20
    Second, American’s argument concerning the insufficiency of its business
    contacts with the state of Florida misconstrues the language used in section 145.
    According to American, a state has a relationship under section 145(2)(c) only if the
    state is a party’s “principal place of business.” The text of the Restatement, however,
    directs courts to consider the “place of business of the parties.” Restatement §
    145(2)(c). The authors of the Restatement were familiar with the term of art
    20
    Because the record contains no indication that the estates of the two pilots
    were improperly named defendants in this case, we need not concern ourselves with
    the possibility that Piamba Cortes included these defendants solely for forum-
    shopping purposes.
    56
    “principal place of business” and used it several times in the commentary to section
    145, see § 145 cmt. e, at 421. Given the authors’ use of the less specific phrase “place
    of business” in the text of the section, as well as in other portions of the commentary,
    see id, we conclude that, had the authors intended to limit § 145(2)(c) to a
    corporation’s “principal place of business,” they would have done so expressly.
    We agree that a party’s principal place of business ordinarily should be afforded
    more weight than a jurisdiction in which the party has only business interests, but we
    cannot agree that a jurisdiction in which the party has sizeable business activities--
    especially when the activities are directly related to the relevant litigation--has no
    relationship with the litigation for purposes of section 145(2). This case exemplifies
    this principle, as the district court found not only that Miami serves as one of
    American’s primary transportation hubs, but also that Miami is the site from which
    American orchestrates its Latin American operations. Consequently, while we do not
    overstate the relationship created by these circumstances, see id. (“[t]he fact . . . that
    one of the parties . . . does business in a given state will usually carry little weight of
    itself”), we conclude that American’s substantial business activities in Florida in this
    case justify the district court’s finding that Florida has an interest in this litigation
    under section 145(2).
    C. Most Significant Interests Under Section 6(2)
    57
    Having identified both Florida and Colombia as interested sovereigns, we now
    must specify which sovereign’s interests are more “significant.” Judge, 
    908 F.2d at 1569
    .
    To discharge this task, we cannot simply add up the factors delineated in
    section 145(2) and then apply the law of the sovereign with the greatest
    numerical total. . . . Rather, we must, as mandated by section 145(1),
    turn to the factors delineated in section 6 to determine which sovereign
    has the most significant contact.
    
    Id.
     Section 6(2) lists seven factors to consider when weighing the interests of a
    sovereign in a particular case:
    (a) the needs of the interstate and international systems;
    (b) the relevant policies of the forum;
    (c) the relevant policies of other interested states and the relative
    interests of those states in the determination of a particular issue;
    (d) the protection of justified expectations;
    (e) the basic policies underlying the particular field of law;
    (f) certainty, predictability and uniformity of result; and
    (g) ease in the determination and application of the law to be applied.
    Restatement § 6(2)(a)-(g). As we explain, the importance of these factors varies
    depending on the nature of the issue that underlies the conflict of laws. Id. § 145 cmt.
    b.
    1. Balancing of Interests Under Sections 6(2)(b) and (c)
    58
    We observed in Judge that the section 6(2) analysis for wrongful death claims
    “turns in large part on the balance of competing interests contemplated by sections
    6(2)(b) and 6(2)(c).” 
    908 F.2d at 1569
    . This balancing occurs in three steps. First,
    we identify the particular rule of law to be applied by each interested state. 
    Id.
    Second, we identify the purposes or policies underlying each state’s rule. 
    Id.
     Third,
    we “assess the degree to which the purposes underlying each rule would be furthered
    by the rule’s application.” 
    Id. at 1569-70
    . “As a general proposition, ‘it is fitting that
    the state whose [policy] interests are most deeply affected should have its local law
    applied.’” 
    Id. at 1570
     (citation omitted).
    Identifying the particular rule of law to be applied by each interested state has
    proven to be a difficult enterprise. Florida law is rather straightforward, permitting
    “survivors,” meaning one’s spouse, children, parents, dependent blood relatives, and
    adoptive siblings, to collect the value of lost support and services, future loss of
    support and services, loss of companionship or parental companionship, mental pain
    and suffering, medical or funeral expenses, loss of earnings, and net accumulations.
    
    Fla. Stat. Ann. §§ 768.18
     & 768.21 (West 1997). Identification of the proper
    Colombian law that would apply in this case, on the other hand, raised “pervasive and
    profound” differences of opinion among the parties not only on the subject of the
    proper elements of compensatory damages, see SR-365-19-26, but also on the role of
    59
    judicial authority under Colombia’s civil law system to resolve this question. See id.
    at 27-29. After an exhaustive examination of Colombia’s law on compensatory
    damages, the district court found itself unable to reach any final conclusions with
    respect to whether limitations exist in the types of compensatory damages recoverable
    under Colombian law. See id. at 19.
    American nonetheless assumes on appeal that Colombian law imposes a cap on
    the recovery of non-pecuniary damages (approximately $8,000) and disallows
    recovery of net accumulations. American does not challenge directly the conclusions
    of the district court with respect to the lack of clarity in Colombian law; if American
    intended to do so implicitly, it points to no evidence that calls into question the district
    court’s ruling.21 Even so, because we conclude that the district court correctly applied
    Florida’s compensatory damages scheme regardless of whether Colombian law
    restricts recovery, we will follow American’s assumption for purposes of our analysis
    in this opinion. We nonetheless observe that, under the present state of the record, it
    21
    American cites only an affidavit prepared by its expert, a Colombian law
    professor and former judge, that suggests that Colombian law caps non-pecuniary
    damages and restricts recovery of net accumulations. American, however, overlooks
    a contrary affidavit prepared by a former judge of Colombia’s Supreme Court of
    Justice that states that no such limitations exist. See SR-365-20-22. The district court
    considered both affidavits, performed its own review of the relevant Colombian legal
    authority, and found that the record did not conclusively establish the validity of either
    position. Id. at 22-29. American’s citation to the affidavit filed by its expert, by itself,
    fails to persuade us that the district court’s analysis is erroneous.
    60
    is equally likely that Colombian law imposes none of the limitations alleged by
    American; under such circumstances, the conflict of laws at issue in this appeal
    essentially vanishes, providing a separate ground for affirming the decision of the
    district court.
    We are able to identify several policies that underlie Colombia’s compensatory
    damages scheme as described by American. First, the law seeks to compensate
    Colombian domiciliaries for the wrongful death of a relative caused by a third party.
    Second, the restrictions on recovery serve to protect domiciliary defendants from what
    Colombia has deemed to be excessive damages awards. American extends this goal
    to non-domiciliary defendants as well, arguing that the restrictions on damages
    encourage foreign corporations to transact business in Colombia without fear of
    oppressive damages awards.
    Similarly, the primary purpose underlying Florida’s compensatory damages
    scheme is “to shift the losses resulting when wrongful death occurs from the survivors
    of the decedent to the wrongdoer.” 
    Fla. Stat. Ann. § 768.17
    . Although Florida has not
    enacted restrictions on recovery similar to those adopted by Colombia, we agree with
    the district court that a secondary purpose underlying Florida’s compensation scheme
    is that damages awards are sufficient to compensate survivors of a decedent while not
    posing an excessive and unfair burden upon domiciliary defendants. Cf. Fla. Stat.
    61
    Ann. § 768.74(1) (conferring discretion to courts to review damages awards to ensure
    that they are neither excessive nor inadequate).
    We first examine whether Colombia’s policy of compensating its domiciliaries
    would be served in this case. Piamba Cortes argues that, if another available
    jurisdiction’s compensatory damages scheme is more generous than Coumbia’s
    scheme, Colombia’s policy of compensating survivors of the decedent would be
    frustrated by applying its less generous compensatory damages scheme. The district
    court concluded that, although Colombia’s interest in applying its less generous
    compensatory damages scheme “might diminish” under these circumstances,
    Colombia nonetheless possesses a “compelling” interest in applying its damages
    scheme in cases involving Colombian decedents injured on Colombian soil. SR-365-
    38. We agree with the district court. The fact that the decedent was a domiciliary of
    Colombia, combined with the fact that the primary claimants--including Piamba
    Cortes--also are Colombian domiciliaries, creates an interest on Colombia’s behalf to
    ensure proper compensation for these claimants.
    The same cannot be said with respect to the policies underlying Colombia’s
    restrictions on compensatory damages. No Colombian domiciliaries are named as
    defendants, and the general rule in this circuit is that “a limit on recovery should not
    be applied when there is no domiciliary defendant because it advances no policy
    62
    behind the limitation.” Foster v. United States, 
    768 F.2d 1278
    , 1283 (11th Cir. 1985).
    Notwithstanding this general rule, we have recognized in dicta that a restrictive
    damages scheme may be designed to encourage non-domiciliary corporations to
    transact business within a jurisdiction and that this policy may be furthered by
    applying the scheme to a non-domiciliary defendant. See Judge, 
    908 F.2d at 1572-73
    .
    We also observed that, although the “foreign investment interest” theory is plausible,
    a party invoking the theory must adduce evidence to support the assumptions
    underlying the theory. Judge, 
    908 F.2d at 1572-73
    . In this case, the district court
    found that American had adduced no evidentiary support for this theory, see SR-365-
    35, and American points to no evidence on appeal to discredit this finding. In the
    absence of such evidence, the assumptions underlying this theory are “too strained to
    merit serious weight under section 6(2)(c),” Judge, 
    908 F.2d at 1573
    , and the district
    court correctly rejected American’s argument.
    We next examine whether the policies underlying Florida’s compensatory
    damages scheme would be furthered by applying Florida law to this case. As the
    district court noted, the policies underlying Florida’s compensatory damages scheme
    for wrongful death claims would indeed be served if claimants filing on behalf of the
    decedent included Florida domiciliaries. Piamba Cortes, however, identifies no
    Florida domiciliaries among the possible survivors who possess a claim under Florida
    63
    law in this case. In fact, our review of the record reveals that the decedent was, and
    the primary claimants are, domiciliaries of Colombia.            Although Florida’s
    compensatory damages scheme is apparently more generous than Colombia’s, the
    purpose underlying Florida law is to provide an adequate remedy for its own
    domiciliaries. 
    Fla. Stat. Ann. § 768.17
    . Florida thus possesses no interest in
    compensating domiciliaries of other jurisdictions more richly than they would receive
    in their own courts. See In re Air Crash Disaster Near New Orleans, Louisiana on
    July 9, 1982, 
    821 F.2d 1147
    , 1175 (5th Cir. 1987) (Gee, J., concurring in part and
    dissenting in part), vacated on other grounds sub nom. Pan Am. Airways, Inc. v.
    Lopez, 
    490 U.S. 1032
    , 
    109 S. Ct. 1928
    , 
    104 L.Ed.2d 400
     (1989).
    Florida nonetheless retains an interest in ensuring that a compensatory damages
    award against its own domiciliary defendants is not excessive. In this case, Piamba
    Cortes named as defendants the estates of the pilots, who were domiciliaries of Florida
    and whose estates were probated in Florida. Consequently, although Florida’s interest
    in this case is not as compelling as Colombia’s interest in applying its compensatory
    damages scheme to the claims of its own domiciliaries, the fact remains that this
    interest would be furthered by applying Florida’s compensatory damages scheme to
    this case.
    64
    In sum, the policies of both Colombia and Florida would be furthered by
    applying their compensatory damages schemes to this case. Balanced together, this
    analysis weighs slightly in favor of applying Colombian law because, as noted above,
    the policy to be served under Colombian law is more compelling than the policies
    served by applying Florida law. This conclusion, however, does not end our analysis
    under section 6(2), and we must proceed to examine the remaining factors.
    2. Remaining Factors Under Section 6(2)
    Section 6(2)(a) reminds courts that the resolution of a conflict-of-laws problem
    should “further harmonious relations between states and . . . facilitate commercial
    intercourse between them.” Restatement § 6 cmt. d. Noting that the choice of the
    damages law to be applied to this case must accommodate existing political and
    commercial relationships, the district court concluded that both Florida and Colombia
    law “could be applied across the board without significantly disturbing interstate
    comity.” SR-365-45. We agree. If we continue to accept, for the sake of argument,
    American’s contention that Colombia has adopted a more restrictive compensatory
    damages scheme,22 the absence of a defendant who is a Colombian domiciliary and
    who would benefit from Colombia’s damages scheme allows Florida’s more generous
    22
    As discussed earlier, if Columbian law does not contain the restrictions on
    damages as described by American, the conflict of laws presented in this appeal
    essentially vanishes, providing a separate ground for affirming the district court.
    65
    law to be applied without threatening international comity. Likewise, because no
    claimant is a domiciliary of Florida, the application of Colombia’s more restrictive
    damages scheme would pose no threat to international comity as well. This factor
    therefore favors neither Florida nor Colombia.
    The commentary to the Restatement advises that the factors listed in sections
    6(2)(d) and (f) typically have little significance in tort cases. See Restatement § 145
    cmt. b, at 415-16. It is rarely the case that parties in a tort suit--especially when the
    injury is unintended--plausibly can argue that they possessed justified expectations
    concerning the law to be applied to the suit or planned their conduct according to a
    jurisdiction’s damages law. See id.; see also id. § 6 cmt. g (in unintentional harm
    suits, “the parties have no justified expectations to protect, and this factor can play no
    part in the decision of a choice-of-law question”); id. § 6 cmt. I (“Predictability and
    uniformity of result are of particular importance in areas where the parties are likely
    to give advance thought to the legal consequences of their transactions.”). This
    commentary accurately describes this case, where no evidence suggests that the
    decedent’s travel plans, or the plans of any claimants, hinged upon the advance
    recognition of, or reliance on, either jurisdiction’s law governing compensatory
    damages. As a result, we heed the Restatement’s advisory that, “[b]ecause of the
    66
    relative insignificance of [factors (d) and (f)] . . . in the tort area of choice of law, the
    remaining factors listed in § 6 assume greater importance.” Id. § 145 cmt. b at 416.
    We next consider the policies underlying the field of law involved in the lawsuit
    pursuant to section 6(2)(e). The commentary to the Restatement instructs that, where
    the policies of the interested states are largely the same but the rules contain minor
    differences, “there is good reason for the court to apply the local law of that state
    which will best achieve the basic policy, or policies, underlying the particular field of
    law involved.”23 Restatement § 6 cmt. h. Although a number of important policies
    underlie the field of tort law, the Restatement identifies two in particular: the
    provision of compensation for injured victims and the deterrence of tortious conduct.
    Id. § 145 cmt. b, at 416. If we continue to accept, for the sake of argument,
    American’s contention that Colombia’s compensatory damages scheme is more
    restrictive than Florida’s,24 application of Colombian law arguably would frustrate
    these goals by limiting the amount the tortfeasor must pay to compensate the victim
    23
    The field of law involved in this lawsuit is the law of torts. The policies
    underlying tort law are not necessarily the same as the policies underlying a particular
    rule or statute adopted by an interested jurisdiction. The latter are considered under
    § 6(2)(b) and (c). Here, we consider only the policies underlying the law of torts.
    24
    The observation expressed in footnote 24 applies with equal force to our
    discussion here.
    67
    and her survivors. Consequently, this factor weighs slightly in favor of applying
    Florida law.
    Finally, we consider the ease in determination and application of the law to be
    applied under § 6(2)(g). Here, two eminent Colombian jurists and scholars expressed
    profound disagreement whether Colombian law caps non-pecuniary damages and
    restricts the recovery of net accumulations, and the district court’s review of the
    available legal authorities failed to reconcile this debate. The district court therefore
    concluded that the process of determining and applying Colombian law would be
    extremely complicated, expensive, and time consuming. As recognized earlier,
    American assumes on appeal that Colombian law unequivocally contains these
    restrictions but relies only upon the same evidence presented to the district court to
    support this assumption. This showing fails to persuade us that the district court’s
    interpretation of Colombian law was erroneous.              Because the measure of
    compensatory damages available under Florida law is straightforward and easy to
    apply, we conclude that this factor weighs heavily in favor of applying Florida law.
    D. Summary
    The resolution of a conflict-of-laws problem “represents an accommodation of
    conflicting values.” Restatement § 6 cmt. c. This case is no exception. On the one
    hand, the policies underlying each jurisdiction’s compensatory damages scheme
    68
    weigh slightly in favor of applying Colombian law. On the other hand, the policies
    underlying tort law, as well as the severe difficulties in determining and applying
    Colombian law, weigh in favor of applying Florida law.
    Given the circumstances of this case, an overall balancing of these factors tips
    in favor of applying Florida law. Although Colombia possesses an interest in
    applying its compensatory damages scheme to the claims of Colombian domiciliaries
    on behalf of a Colombian decedent, the absence of a Colombian defendant who would
    benefit from Colombia’s more restrictive damages scheme renders these interests less
    compelling. In contrast, the application of Florida law furthers the policies underlying
    Florida’s compensatory damages scheme as well as the field of tort law in general,
    and--importantly--would not frustrate the policies underlying Colombia’s damages
    scheme.
    Consequently, the scales are approximately even when we come to the problem
    of ascertaining Colombia’s law on compensatory damages in wrongful death cases.
    In light of the severe difficulties presented by such an exercise, the well-defined and
    straightforward rules of Florida law tip the scales in favor of applying Florida’s
    compensatory damages scheme to this case. Indeed, this case serves as an ideal
    example of how this factor, as contemplated by the Restatement itself, can assume
    particular significance when the tremendous expenditures of time and resources
    69
    necessary to interpret and apply an interested jurisdiction’s law would exact a
    significant toll on the parties as well as the court.
    For these reasons, we conclude that the district court correctly determined that
    Florida law governed the compensatory damages to be awarded to Piamba Cortes.
    IV. APPORTIONMENT OF LIABILITY
    American next argues that the district court erred by refusing to apply Florida’s
    comparative fault statute, which directs courts to apportion liability for noneconomic
    damages according to fault.25       According to American, although the Warsaw
    Convention contains no express language providing for apportionment of liability,
    Article 17's broad language on the issue of damages acts as a “pass-through” to local
    law and thus requires the application of Florida’s apportionment statute. The district
    court rejected this argument, holding that the overall scheme of liability created by the
    Convention obliges the air carrier to be liable for all damage sustained by a passenger.
    In re Crash Near Cali, 
    985 F. Supp. at 1153
    .
    25
    The district court concluded that, because Florida’s apportionment statute
    does not apply to this case, the court did not need to address conflict-of-laws issues
    related to the application of a state apportionment statute. We reach the same
    conclusion on appeal.
    70
    American’s claim requires us to determine whether the district court properly
    construed the terms of the Warsaw Convention, which is a question of law that we
    review de novo. See Yapp v. Reno, 
    26 F.3d 1562
    , 1565 (11th Cir. 1994).
    Article 17 of the Warsaw Convention provides that an air carrier “shall be liable
    for damage sustained in the event of the death or wounding of a passenger.” Warsaw
    Convention art. 17. The plain meaning of the text suggests that the carrier bears
    liability for the damages suffered by its passengers; a contrary interpretation that the
    carrier is liable for damage for which it alone is responsible, or for damage caused by
    no other tortfeasor, inserts words and inferences into the text when it is not clear that
    such additions are intended.
    An examination of the surrounding provisions supports this interpretation.
    Article 21, for example, adopts a comparative liability standard if actions taken by the
    injured passenger caused or contributed to the passenger’s damages. Warsaw
    Convention art. 21. Article 20 provides that the carrier is absolved from liability if it
    can prove that it took “all necessary measures” to avoid the damage. 
    Id.
     art. 20.
    These provisions suggest that the drafters expressly contemplated when a carrier’s
    liability should be reduced based on the conduct of others; if the drafters intended to
    reduce further the carrier’s liability based on the conduct of other tortfeasors, they
    would have added such a provision.
    71
    Our conclusion is not altered by the Supreme Court’s holding in Zicherman.
    In that case, the Court concluded that, because Article 17 uses only the term
    “damage,” the issue of compensation for one’s injuries is unresolved by the
    Convention and is governed by the law of the forum jurisdiction. See Zicherman, 
    516 U.S. at 229
    , 
    116 S. Ct. at 636
    . The Court restated this position in Tsui Yuan Tseng,
    observing that “[the] Warsaw drafters intended to resolve whether there is liability,
    but to leave to domestic law (the local law identified by the forum under its choice of
    law rules or approaches) determination of the compensatory damages available to the
    suitor.” --- U.S. at ---, 
    119 S. Ct. at 672
    . The comparative fault regime urged by
    American goes beyond the issue of the amount of damages available to the suitor; it
    acts to limit the liability, or fault, of the air carrier. See 
    Fla. Stat. Ann. § 768.81
    (3)
    (“the court shall enter judgment against each party liable on the basis of such party’s
    percentage of fault”). Under this system, if a defendant and a nonparty each are found
    to be fifty percent at fault for a plaintiff’s injury, the defendant is liable only for fifty
    percent of the plaintiff’s damages. See Fabre v. Marin, 
    623 So.2d 1182
    , 1187 (Fla.
    1993), receded from on other grounds, Wells v. Tallahassee Mem. Reg’l Med. Ctr.,
    Inc., 
    659 So.2d 249
     (Fla. 1995). Application of Florida’s comparative fault regime
    thus would intrude upon the determination of an air carrier’s liability for a passenger’s
    72
    injuries, which the Supreme Court recognized is governed exclusively by the terms
    of the Convention.26
    Our decision will not require American to pay more damages than the amount
    for which it is responsible. Florida, like most other jurisdictions, has recognized a
    right of contribution on behalf of a tortfeasor who pays for the wrongdoings of
    additional tortfeasors. See 
    Fla. Stat. Ann. § 768.31
     (1997); see also Restatement
    (Second) of Torts § 886A (1982 App.) (noting that, by 1982, eighty percent of states
    had recognized right of contribution). American thus is able to pursue a separate
    cause of action, independent of the Warsaw Convention, against other potential
    tortfeasors that contributed to the passenger’s injuries. See West Am. Ins. Co. v. Best
    Prods. Co., 
    541 So.2d 1302
    , 1304 (Fla. Ct. App. 1989) (a cause of action for
    contribution against a joint tortfeasor exists by virtue of a right and remedy created
    by statute); cf. Restatement (Second) of Torts § 886A(2) (1977) (right of contribution
    arises after one tortfeasor has discharged more than his equitable share of common
    26
    American cites In re Crash Disaster Near Cerritos, California, on August 31,
    1986, 
    982 F.2d 1271
     (9th Cir. 1992), to support its argument that liability has been
    apportioned in a Warsaw Convention context before. We note that the procedural
    context in which the Cerritos court apportioned liability is far from clear in the
    opinion. At any rate, the issue of whether liability may be apportioned under the
    Warsaw Convention was not before the Cerritos court, and we therefore do not find
    the case to be persuasive authority on this issue.
    73
    liability). Indeed, American has filed precisely such an action related to the crash of
    Flight 965.
    For these reasons, we conclude that the district court correctly rejected
    American’s request to apportion liability according to Florida law.
    V. ADMISSION OF FACTS SURROUNDING CRASH DURING
    DAMAGES TRIAL
    Piamba Cortes has filed a cross-appeal in which she argues that the district
    court erred by preventing any reference during the trial on damages to the factual
    circumstances surrounding the crash. Piamba Cortes claims these facts are relevant
    to the determination of compensatory damages for mental pain and suffering.
    Moreover, Piamba Cortes contends that, for the same reason, the jury should have
    been informed of the legal determination that the pilots of Flight 965 engaged in
    willful misconduct resulting in the crash.
    The district court held that “[c]ounsel will not be permitted to make any
    reference in voir dire, opening statements, testimony, or closing argument to . . . [the
    court’s] finding of willful misconduct against American.” SR-602-4. The district
    court later clarified its ruling during the following colloquy with counsel:
    THE COURT: Counsel will not be permitted to make any reference
    during the course of the trial in opening statement or otherwise to the
    finding . . . of willful misconduct against American Airlines. You may
    tell them, as the Court will tell them, that the issue of liability has been
    settled, the only issue in this matter is the matter of damages. . . .
    74
    ....
    MR. PARKS: You have no problem, as I understand it, though, of us
    giving a brief overview, that the airplane crashed, without going into the
    facts of the case?
    THE COURT: Without going into the facts. I am going to tell them the
    airplane crashed when I begin my voir dire.
    MR. PARKS: Yes, sir.
    THE COURT: But, in any event, no details about conduct, all right?
    MR. PARKS: I understand that. And we do object to it but thank you.
    SR-7-9-10.
    We review a district court’s ruling on the admissibility of evidence for abuse
    of discretion, and evidentiary rulings will be overturned only if the moving party
    establishes that the ruling resulted in a “substantial prejudicial effect.” Judd v.
    Rodman, 
    105 F.3d 1339
    , 1341 (11th Cir. 1997). When applying an abuse of
    discretion standard, “we must affirm unless we at least determine that the district court
    has made a ‘clear error of judgment,’ or has applied an incorrect legal standard.”
    SunAmerica Corp. v. Sun Life Assurance Co. of Canada, 
    77 F.3d 1325
    , 1333 (11th
    Cir. 1996) (citation omitted).
    The admissibility of evidence in a federal action is governed by the Federal
    Rules of Evidence, not state law. See Heath v. Suzuki Motor Corp., 
    126 F.3d 1391
    ,
    1396 (11th Cir. 1997). Nonetheless, state law may assist in defining what evidence
    75
    is material to an issue, and we previously have relied upon Florida authority when
    identifying evidence that is material to a determination of damages under Florida’s
    wrongful death statute. See Hiatt v. United States, 
    910 F.2d 737
    , 743 (11th Cir.
    1990). In light of the absence of federal law on this issue, we will look to Florida law
    for guidance.27
    Florida law provides that, when computing damages for pain and suffering
    endured by a plaintiff, “[i]n most instances . . . evidence describing the details of an
    accident is logically relevant and admissible, even where liability has been admitted,
    to place the extent of injuries suffered by the plaintiff, as well as the degree of pain
    endured, in the proper context.” White v. Westlund, 
    624 So.2d 1148
    , 1152 (Fla. Ct.
    App. 1993). The admissibility of such evidence in a wrongful death action brought
    by a survivor of the decedent is not as clear. Damages for such mental pain and
    suffering, among other things, “must bear some reasonable relation to the facts” of the
    case. See Florida Dairies Co. v. Rogers, 
    161 So. 85
    , 88 (Fla. 1935) (petition for re-
    hearing). On at least one occasion a court has admitted evidence depicting an accident
    27
    At any rate, Florida evidence law governing the relevance of and prejudice
    created by evidence is essentially the same as the Federal Rules of Evidence. See
    Brown v. State, 
    719 So.2d 882
    , 887 (Fla. 1998) (observing that § 90.403 of Florida’s
    Evidence Code, which governs the admissibility of evidence when it presents the risk
    of prejudicing a party, “is in essence a restatement of Federal Rule [of Evidence]
    403").
    76
    scene to establish the survivor’s damages for mental pain and suffering, although the
    court also excluded a graphic photo of the decedent because its probative value was
    outweighed by the danger of unfair prejudice. See Johnson v. Florida Farm Bureau
    Cas. Ins. Co., 
    542 So.2d 367
    , 370 (Fla. Ct. App. 1988). Given this law, American
    posits, and we agree, that Florida law may permit the introduction of facts underlying
    a fatal accident to establish a survivor’s pain and suffering but does not require that
    such evidence be admitted under all circumstances. Cf. White, 624 So.2d at 1152
    (facts underlying accident usually are relevant, but “the extent of information that may
    be received in evidence will vary depending upon the circumstances of each case”).
    In this case, the district court excluded not only any reference to the legal
    finding that the pilots of Flight 965 engaged in willful misconduct prior to the crash,
    but also any evidence relating to the facts of the crash. Although it appears that the
    evidence relating to the facts of the crash may have been admissible under Florida
    law, we cannot conclude that the district court’s decision to exclude this evidence
    constitutes an unreasonable balancing of the probative value of this evidence with its
    potential for undue prejudice. As for Piamba Cortes’ request to inform the jury of the
    legal finding of willful misconduct, this action undoubtedly would have unduly
    prejudiced American when compared to the value of this information in determining
    77
    compensatory damages. Consequently, the district court did not abuse its discretion
    in excluding the evidence.
    VI. CONCLUSION
    For the reasons set forth in this opinion, we VACATE IN PART the district
    court’s entry of summary judgment on the issue of American’s liability, and
    REMAND the case for further proceedings consistent with this opinion. We AFFIRM
    the district court’s determination that Florida compensatory damages law governs
    Piamba Cortes’ claims, that Florida’s comparative fault statute is not applicable to this
    case, and that evidence relating to the facts of the crash may be excluded during a trial
    to determine Piamba Cortes’ compensatory damages.
    78
    

Document Info

Docket Number: 98-4739

Citation Numbers: 177 F.3d 1272

Filed Date: 6/15/1999

Precedential Status: Precedential

Modified Date: 2/19/2016

Authorities (40)

Eastern Airlines, Inc. v. Floyd , 111 S. Ct. 1489 ( 1991 )

Consumer Product Safety Commission v. GTE Sylvania, Inc. , 100 S. Ct. 2051 ( 1980 )

Lisa Beth JUDD, Plaintiff-Appellant, v. Dennis RODMAN, ... , 105 F.3d 1339 ( 1997 )

in-re-air-crash-disaster-near-cerritos-california-on-august-31-1986 , 982 F.2d 1271 ( 1992 )

rose-marie-floyd-and-terry-floyd-her-husband-connie-gale-and-michael , 872 F.2d 1462 ( 1989 )

carolyn-butler-widow-and-dependent-of-james-mccoy-butler-individually-and , 774 F.2d 429 ( 1985 )

Johnson v. Florida Farm Bureau Cas. Ins. Co. , 542 So. 2d 367 ( 1988 )

Robert McK Foster, as Personal Representative of the ... , 768 F.2d 1278 ( 1985 )

United States v. Sepulveda , 115 F.3d 882 ( 1997 )

White v. Westlund , 624 So. 2d 1148 ( 1993 )

susan-a-malloy-plaintiff-counter-claim-john-e-malloy-jr , 17 F.3d 329 ( 1994 )

Farmer v. Brennan , 114 S. Ct. 1970 ( 1994 )

Zicherman Ex Rel. Estate of Kole v. Korean Air Lines Co. , 116 S. Ct. 629 ( 1996 )

El Al Israel Airlines, Ltd. v. Tsui Yuan Tseng , 119 S. Ct. 662 ( 1999 )

West American Ins. Co. v. Best Products Co., Inc. , 541 So. 2d 1302 ( 1989 )

Heath v. Suzuki Motor Corporation , 126 F.3d 1391 ( 1997 )

Securities and Exchange Commission v. John Naylor Clark, ... , 915 F.2d 439 ( 1990 )

Wells v. Tallahassee Mem. Med. Center , 659 So. 2d 249 ( 1995 )

Brown v. State , 719 So. 2d 882 ( 1998 )

in-re-air-crash-disaster-near-new-orleans-louisiana-on-july-9-1982-luis , 821 F.2d 1147 ( 1987 )

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