Greg Herden v. United States ( 2012 )


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  •                    United States Court of Appeals
    For the Eighth Circuit
    ___________________________
    No. 11-3530
    ___________________________
    Greg Herden; Roger Herden; Garrett Herden
    lllllllllllllllllllll Plaintiffs - Appellants
    v.
    United States of America
    lllllllllllllllllllll Defendant - Appellee
    ____________
    Appeal from United States District Court
    for the District of Minnesota - Minneapolis
    ____________
    Submitted: May 17, 2012
    Filed: August 20, 2012
    ____________
    Before RILEY, Chief Judge, BYE and MELLOY, Circuit Judges.
    ____________
    MELLOY, Circuit Judge.
    Plaintiff cattle producers appeal the district court's dismissal of their Federal
    Tort Claims Act (FTCA) complaint. Plaintiffs allege a government employee
    negligently caused illness and death within their cattle herd by mandating a toxic plant
    mixture on pasture land enrolled in a conservation program. The district court held
    the allegation of negligence involved the government employee's exercise of protected
    discretion and therefore fell within the discretionary-function exception to the FTCA's
    waiver of sovereign immunity. Because the discretion exercised in this case was not
    the type of discretion Congress intended to shield from suit, we reverse.
    I.
    Greg Herden (Herden) along with his son Garrett Herden and father Roger
    Herden, owned and operated a cattle farm in Minnesota. Herden enrolled in the
    Environmental Quality Incentives Program (the Program) through the United States
    Department of Agriculture's Natural Resource Conservation Service (the Conservation
    Service). The Program provides financial and technical assistance in exchange for the
    implementation of conservation measures "to address soil, water, air, and related
    natural resources concerns, and to encourage enhancements on their lands in an
    environmentally beneficial and cost-effective manner." 7 C.F.R. § 1466.1 (2004).
    Pursuant to the Program, Herden agreed to accept a pasture-planting plan to be
    designed by technical specialists in exchange for the reimbursement of 90% of his
    costs. Facts pertinent to the issues on appeal include the selection and implementation
    of the planting plan, the contents of a technical guideline regarding plan selection, and
    the alleged impact of the plan on Herden's cattle.
    Determination of specific planting plans for individual sites is delegated to
    specialists able to visit sites, evaluate site conditions, and develop plans based upon
    observed conditions. In Minnesota, William Hunt served as the Conservation
    Service's State Conservationist. Hunt delegated planting plan decisions to his staff,
    including State Grazing Specialist Howard Moechnig, whom Hunt assigned to design
    a plan for Herden's farm.
    Federal regulations instruct that Program projects be carried out in accordance
    with applicable local field office technical guides. 7 C.F.R. § 1466.9(a) (2004). In
    Minnesota, Moechnig authored the relevant subsection of the applicable guide, the
    Minnesota Field Office Technical Guide. The subsection, referred to as Code 512,
    -2-
    sets forth standards for pasture and hay planting. Code 512 repeatedly employs
    permissive language. For example, Code 512 states, "This practice may be applied
    as part of a resource management system to accomplish one or more of the following
    goals . . . ." It also frequently employs arguably non-permissive terms such as "will"
    and "shall." For example, Code 512 states, "Mixtures will have a recommended
    seeding rate of 50–70 seeds per square foot."
    Importantly for our analysis, Code 512 sets forth two tables, Tables 1 and 2.
    Table 1, captioned "Seeding Rates," contains pasture seeding rates in pounds of pure
    live seed per acre for several different legumes and grasses. It also lists seeds per
    pound, which varies dramatically for different plant species because there are large
    differences in different species' seed sizes. Table 1 provides separate rates for the
    various plants for use in pure stands and for use in mixtures. Code 512 does not state
    that the listed rates in Table 1 for each plant type are maximum or minimum rates.
    Table 2, captioned, "Mixtures Recommended in Minnesota: Other mixtures may
    be used," sets forth specified mixtures of seed. Table 1 and Table 2 contain seeding
    rates for various species that, when converted to seeds per square foot, often exceed
    the 50–70 seeds per square foot figure quoted above.
    Moechnig visited Herden's farm to observe site conditions at three separate
    pastures enrolled in the program. The present dispute involves only one of the three
    pastures. The Plaintiffs do not allege any negligence related to the other two pastures.
    At the pasture involved in this case, Moechnig observed saturated soil
    conditions. According to a declaration submitted to the district court, Moechnig
    selected a high seeding rate to ensure establishment of a pasture in difficult growing
    conditions. In the declaration, consisting of a series of numbered paragraphs, he
    described Code 512 as well as several different goals and factors he considered when
    selecting the seeding mixture and rate. In particular, he stressed that he chose a high
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    seeding rate to ensure establishment of a pasture under difficult site conditions
    because a failed planting would be a waste of Program funds and therefore a poor
    investment of public funds. The seeding mixture Moechnig selected included four
    pounds per acre of Timothy (a grass), three pounds per acre of Garrison Creeping
    Foxtail (a grass), and six pounds per acre of Alsike Clover (a legume) (collectively,
    the "Recommended Seeding Mixture"). Six pounds per acre Alsike Clover was three
    times the amount stated in Tables 1 and 2 for planting Alsike Clover as part of a seed
    mixture. The overall count of seeds per square foot for the Recommended Seeding
    Mixture was far in excess of the 50–70 seeds per square foot figure quoted above.
    According to Herden, Herden complained to Moechnig that the Recommended
    Seeding Mixture called for too much Alsike Clover and that Alsike Clover can be
    toxic to cattle. Moechnig stated in his declaration that he did not recall Herden
    complaining about possible Alsike Clover toxicity, but he did recall Herden asking for
    permission to plant Alfalfa instead of the seeding mixture. Moechnig denied
    permission, and Herden's pasture was planted with the Recommended Seeding
    Mixture.
    Herden subsequently allowed his cattle to graze the pasture. In addition, he
    harvested hay from the pasture, stored the hay, and fed the hay to his herd.
    Eventually, his herd experienced illnesses, birth defects, and deaths. According to
    Herden, the planting of the Recommended Seed Mixture with its high concentration
    of Alsike Clover was the cause of illness and death in his herd and led to the loss of
    a multi-generational farming business. The Conservation Service contests Herden's
    allegations of causation, arguing that mold in improperly stored hay caused the illness
    and also arguing that technical literature as well as autopsies of Herden's cattle
    disprove Herden's claims.
    Herden brought the present suit pursuant to the FTCA alleging negligence in
    the selection of the Recommended Seeding Mixture. The government moved for
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    dismissal pursuant to Federal Rule of Civil Procedure 12(b)(1) based on a lack of
    subject matter jurisdiction. The government argued that Moechnig exercised properly
    delegated discretion and that Herden's suit was barred by the discretionary function
    exception to the FTCA's waiver of sovereign immunity. The district court held that
    Moechnig did, in fact, exercise properly delegated discretion. The district court also
    held that this discretion involved the balancing of policy goals and considerations,
    including the allocation of Program funds, and that, as such, it was the type of
    discretion Congress intended to exempt from suit. Herden appeals.
    II.
    The FTCA contains an express waiver of sovereign immunity allowing damage
    suits against the United States based upon state-law tort actions. 28 U.S.C.
    § 1346(b)(1). An exception to this waiver of immunity, referred to as the
    discretionary function exception, "provides that no liability shall lie for '[a]ny claim
    . . . based upon the exercise or performance or the failure to exercise or perform a
    discretionary function or duty on the part of a federal agency or an employee of the
    Government, whether or not the discretion involved be abused.'" Berkovitz by
    Berkovitz v. United States, 
    486 U.S. 531
    , 535 (1988) (quoting 28 U.S.C. § 2680(a)).
    This exception applies where (1) the federal employee's action "involves an element
    of judgment or choice," id. at 536, and (2) the requisite judgment or choice is the type
    of government action Congress intended to protect from the "second–guessing"
    attendant to tort suits. Demery v. U.S. Dep't of Interior, 
    357 F.3d 830
    , 833 (8th Cir.
    2004) ("'The basis for the discretionary function exception was Congress' desire to
    prevent judicial second-guessing of legislative and administrative decisions grounded
    in social, economic, and political policy through the medium of an action in tort.'"
    (quoting Berkovitz, 486 U.S. at 536–37)). We have characterized the second step of
    this inquiry as identifying government actions that are "susceptible to policy analysis,"
    id., "whether or not defendant in fact engaged in conscious policy-balancing." C.R.S.
    by D.B.S. v. United States, 
    11 F.3d 791
    , 801 (8th Cir. 1993).
    -5-
    "We review de novo a district court's grant of a motion to dismiss under the
    discretionary function exception to the FTCA." Dykstra v. U.S. Bureau of Prisons,
    
    140 F.3d 791
    , 795 (8th Cir. 1998) Although federal courts are not constrained to
    consider only the pleadings when assessing questions of subject matter jurisdiction,
    and although we review Rule 12(b)(1) factual determinations for clear error,1 disputed
    facts will rarely factor into a court's analysis of the discretionary function exception.
    This is because we do not ask how the particular government actor actually exercised
    or failed to exercise discretion; we ask only if the challenged action permitted the
    exercise of discretion and whether it was the type of governmental action that is
    susceptible to policy analysis. 28 U.S.C. § 2680(a) (stating that the United States may
    not be sued based upon the "exercise or performance or the failure to exercise or
    perform a discretionary function . . . , whether or not the discretion involved be
    abused") (emphasis added); Demery, 357 F.3d at 833 ("The judgment or decision need
    only be susceptible to policy analysis, regardless of whether social, economic, or
    political policy was ever actually taken into account, for the exception to be
    1
    In Osborn v. United States, 
    918 F.2d 724
    , 730 (8th Cir. 1990), we discussed
    at some length the power of the courts to address factual questions when addressing
    the issue of subject matter jurisdiction:
    [W]hen the district court's decision to dismiss for lack of subject matter
    jurisdiction is based on the complaint alone, or on the complaint
    supplemented by undisputed facts evidenced in the record, the appellate
    court's review is limited to determining whether the district court's
    application of the law is correct and, if the decision is based on
    undisputed facts, whether those facts are indeed undisputed. If the court
    relied, however, on its own determination of disputed factual issues, the
    appellate court must then review those findings under the clearly
    erroneous standard.
    Id. (internal citations and quotation marks omitted).
    -6-
    triggered."); C.R.S., 11 F.3d at 798 ("Defendant could have considered a wide range
    of policy factors in making its decision; whether or not it actually did so is immaterial
    . . . .").
    Typically, any assessment of how the government actor actually exercised his
    or her discretion will speak to the substantive questions of whether there was
    negligence or some other violation of a state-law duty. Such questions simply are not
    before the court at this preliminary stage and cannot be considered. In fact, we have
    emphasized this distinction by expressly disavowing any approval of challenged
    governmental actions even when finding them protected by the exception. See C.R.S.,
    11 F.3d at 802 ("By so holding, we in no way endorse the decisions defendant made.
    We find only that they are the type of decisions that Congress intended to immunize
    from suit."). The only questions before our court, then, involve the proper articulation
    of the governmental action under scrutiny and determination of whether the action
    involved discretion of a type Congress intended to shield from suit by the
    discretionary function exception.
    Here, the government action at issue was Moechnig's selection of the
    Recommended Seeding Mixture. Regarding the first step of our analysis, we conclude
    that this action was "the product of 'judgment or choice,'" Dykstra, 140 F.3d at 795
    (quoting United States v. Gaubert, 
    499 U.S. 315
    , 322 (1991)), because no "statute,
    regulation, or policy mandate[d] a specific course of action." Id. Although a
    governing regulation directs Program planners to follow state technical guides, 7
    C.F.R. § 1466.9(a) (2004), the relevant technical guide in this instance is just that—a
    guide allowing for discretion rather than a menu of mandatory seeding plans.
    The parties agree the relevant technical guide in this case is Code 512. The
    portion of Code 512 that addresses seed mixture selection employs permissive
    language couched in terms of recommendations; firm mandates are absent. Code 512
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    Table 2 is even entitled "Mixtures Recommended in Minnesota: Other mixtures may
    be used." (Emphasis added). Further, although Plaintiffs argue Code 512 strictly
    mandates seed application rates of between 50–70 seeds per square foot, a simple
    conversion of figures from the tables that are presented in pounds of seed per acre
    show several "Seeding Rates" and "Mixtures Recommended in Minnesota" that
    exceed the purported maximum of 70 seeds per square foot recited by Plaintiffs. This
    internal inconsistency, the predominant use of permissive language, and the express
    statement that other mixtures may be used show Code 512 contains no strict mandates
    for seed mixture selection. Accordingly, we conclude Moechnig's selection of a
    seeding plan was discretionary.
    The harder question arises in the second step of our analysis: whether this
    discretion was of the kind Congress intended to shield from suit—whether it was
    susceptible to policy, economic, and social analysis. "'When established
    governmental policy . . . allows a Government agent to exercise discretion, it must be
    presumed that the agent's acts are grounded in policy when exercising that discretion.'
    The plaintiff must rebut this presumption. Otherwise, the court will presume the
    decision was based on public policy considerations." Demery, 357 F.3d at 833
    (quoting United States v. Gaubert, 
    499 U.S. 315
    , 324 (1991)) (other internal citations
    and marks omitted).
    We believe Plaintiffs have overcome the presumption in this case. Moechnig's
    role was to observe site conditions and apply his technical expertise to design a seed
    mixture likely to thrive under those conditions and likely to provide benefits in the
    form of forage for cattle, habitat for wildlife, protection for surface and groundwater,
    and protection for soil and air quality. Because he was to design a mixture to meet
    these goals, and because Program funds would be expended to execute his plan, cost
    effectiveness was also a relevant consideration. Technical experts charged with the
    duty of designing such a plan, however, are given the policy goals to consider; they
    are not instructed to identify or consider some different possible set of goals. Cost in
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    this setting is a consideration for a person like Moechnig only to the extent that a
    failed planting would result in expenses without satisfaction of the program goals.
    Other persons determine larger issues of cost: whether particular landowners are
    eligible for the program, what goals should be set for the plan designers, and how
    costs should be shared with landowners.
    Several aspects of this process stand out when drawing comparisons to other
    FTCA discretionary-function cases. First, the consideration of cost arguably can, but
    need not, be characterized as an economic analysis of the type Congress intended to
    protect. C.R.S., 11 F.3d at 802 ("[C]ost alone is not always sufficient to protect
    discretionary government conduct."). Second, in a broad sense, "protecting the
    environment and aquatic habitats . . . are obvious issues of policy." Demery, 357 F.3d
    at 833. Moechnig, as already stated, however, was not required to decide, as a policy
    matter, whether to champion environmental protection in general or on Plaintiffs' land
    specifically. He instead was simply required to apply his scientific knowledge to
    balance pre-defined interests as best he could given the site conditions. In this regard,
    we believe it is highly material that Moechnig's decision rested largely on technical
    considerations. As with cost considerations, however, our analysis does not rest on
    any type of firmly established, single-factor litmus test such as a technical/policy
    divide. Compare Lather v. Beadle Cnty., 
    879 F.2d 365
    , 368 (8th Cir. 1989) (finding
    a government medical professional's conduct not protected and stating, "Where only
    professional, nongovernmental discretion is at issue, the discretionary function
    exception does not apply.") with C.R.S., 11 F.3d at 797 ("[T]here is no bright line rule
    removing 'professional' or 'technical' judgments, whatever these may be, from the
    scope of the exception. The inquiry does not depend on labels . . . ."). Finally, even
    though a technical expert such as Moechnig makes decisions on an individualized and
    site-specific basis (rather than on a large-scale and program-wide basis) we have not
    recognized the scale of impact as a stand-alone test for application of the discretionary
    function exception. See, e.g., Riley v. United States, 
    486 F.3d 1030
    , 1033 (8th Cir.
    2007) (finding protected conduct in the decision to place mailboxes curbside near an
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    intersection rather than to place the boxes elsewhere or deliver mail to a particular set
    of individual houses).
    The factor that most strongly suggests a possible need for policy judgment in
    the exercise of discretion in this setting is the need to consider costs. Here, however,
    we believe any need to consider costs is not a sufficiently important aspect of seed
    plan selection to permit characterization of the decision as a protected economic
    analysis. Regarding policy analysis, a technical expert like Moechnig designing a
    seeding plan does not weigh and balance policy interests in a manner Congress likely
    sought to protect. Taking as a given that the provision of forage, the creation of
    wildlife habitat, and the protection of water, soil, and air quality are all goals to be
    achieved, any balancing of these goals against site conditions is merely the delegation
    of the final technical step in a process that has already hammered out the policy and
    societal issues embedded in the Program.
    In this regard, we find an analogy to military or veteran's administration
    physicians compelling. Such physicians necessarily possess discretion bounded by
    the range of choices permitted under governing standards of professional care. In a
    very real sense, every decision they make with regard to each patient is at least
    susceptible to a cost benefit analysis—the government is paying for the physician's
    time and the services and facilities being utilized. As with any physician, these
    government employees should not—and hopefully do not—order wildly unnecessary
    tests or procedures (although there undoubtedly exist debatable cost-benefit
    determinations with almost every patient). Rather, the physicians exercise their
    technical expertise in making practical decisions as to individual courses of treatment
    for their patients.
    Resting behind such technical and medical decisions, however, are larger issues
    that more clearly constitute policy choices. Such policy choices include determining
    which veterans qualify for government-funded services, how heavily a facility should
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    be staffed, and how much money should be spent to ensure a chosen level of
    timeliness in the provision of services.
    The discretionary function exception does not protect such physicians from tort
    actions. See, e.g., Lather, 879 F.2d at 368 (refusing to apply the discretionary
    function exception and stating, "It is evident that Lather has alleged an improper
    medical, rather than policy, decision. We therefore conclude that . . . the discretionary
    function exception . . . cannot be applied at this point."). We find this analogy
    compelling because it represents a relationship that necessarily plays out in many
    areas of government programs. This relationship involves, on the one hand, a broader
    program with obvious policy, economic, and societal issues inherent in decisions not
    subject to attack in a proposed suit. On the other hand, it involves a challenge to the
    actions of an individual decisionmaker vested with discretion to apply some form of
    specialized knowledge to deliver upon the program's stated goals with reference to
    individual participants. In the functioning of our modern government, the types of
    functions delegated for consideration by federal employees often and necessarily vest
    an employee with some degree of specialized discretion and inherent spending
    authority in the final stages of execution. In assessing the applicability of the
    discretionary function exception, however, the courts must avoid undue reliance on
    labels and strive to divine, in each varied circumstance, if the discretion was of the
    type Congress likely intended to shield from suit. C.R.S., 11 F.3d at 802 ("The proper
    focus, rather, is on whether a decision is 'of the nature and quality that Congress
    intended to shield from tort liability.'" (quoting United States v. S.A. Empresa de
    Viacao Aerea Rio Grandense (Varig Airlines), 
    467 U.S. 797
    , 813 (1984))). If the
    physician in Lather falls outside the protection of the discretionary function exception,
    we find little in the way of meaningful distinctions that justify treating an actor like
    Moechnig any differently.
    That having been said, we do not mean to suggest reliance upon a scale-based
    (individual vs. program-wide) distinction as a dispositive test. In many of our cases,
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    we have found the exception applicable where a discrete and site-specific act of
    warning or failing to warn, or maintaining or failing to maintain a facility, led to a tort
    action. See, e.g., Demery, 357 F.3d at 834 (finding the exception applicable to the
    decision of a government employee to provide a warning regarding open water in
    winter and the decision of what form that warning should take); E. Ritter & Co. v.
    Dep't of the Army, Corps of Eng'rs, 
    874 F.2d 1236
    , 1241 (8th Cir. 1989) (holding that
    the discretionary function exception precluded suit based upon the design and
    construction of a flood control ditch but that it did not preclude suit based upon the
    non-policy-judgment-related failure to maintain the ditch). In those cases, however,
    we typically have found an absence of discretion or an underlying decision where the
    balancing of policy issues such as safety concerns and project cost appeared to be
    substantial and important factors. In the case of the government physician and in the
    present case, policy-based and economic-based factors may not be wholly lacking, but
    their importance to the challenged decision is tenuous at best—in the case of a
    government physician, determining what medical treatment is best for a patient, and
    in the case of a government pastureland specialist, what plants are likely to thrive,
    improve the soil, and feed the cattle at a particular site.
    In summary, we do not purport to be able to identify a clear line or easily
    articulated test separating protected from unprotected conduct in all cases. "The issue
    of whether conduct is truly discretionary and whether there are real and competing
    policy considerations implicated is what separates" protected from unprotected
    conduct. C.R.S., 11 F.3d at 802. Here such policy considerations were not at issue
    in any meaningful way.
    We reverse the judgment of the district court and remand for further
    proceedings consistent with this opinion.
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    BYE, Circuit Judge, dissenting.
    The critical question in this case is whether Moechnig's decisions in formulating
    a seeding mixture for the Herdens' pasture were "susceptible to policy analysis."
    United States v. Gaubert, 
    499 U.S. 315
    , 325 (1991). Because I believe they were, I
    respectfully dissent.
    I agree with the majority's statement that Moechnig's role was to "design a seed
    mixture likely to thrive under . . . conditions [unique to a particular pasture, which
    would] provide benefits in the form of forage for cattle, habitat for wildlife, protection
    for surface and groundwater, and protection for soil and air quality." Ante at 8.
    Further, I agree that "cost effectiveness was also a relevant consideration[,]" and that
    technical experts such as Moechnig are "given . . . policy goals to consider[.]" Id. I
    disagree, however, with the majority's claim that Moechnig "was not required to
    decide, as a policy mater, whether to champion environmental protection in general
    or on Plaintiffs' land specifically[,]" and that instead he "was simply required to apply
    his scientific knowledge to balance pre-defined interests as best he could given the site
    conditions." Id. at 9.
    Specifically, I disagree with the majority's characterization of Moechnig's
    decision-making process as a simple application of his scientific knowledge. Instead,
    as the majority concedes, Moechnig was attempting to balance pre-defined
    interests—cattle pasture production, with environmental concerns, with a return on
    taxpayers’ investment. And while the majority admits the Program's designers had
    to consider these "policy and societal issues" when they originally designed the
    program, Id. at 10, it declines to acknowledge that a grazing specialist such as
    Moechnig must weigh those same policy considerations when he makes site-specific
    recommendations. I fail to see how Moechnig’s decision in weighing those pre-
    determined considerations is any less a policy-based choice.
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    Simply because Moechnig had pre-defined interests to balance does not mean
    his decision was not policy-based, particularly when those interests compete with each
    other. The majority contends that any policy considerations—specifically cost—were
    not at issue in any meaningful way. I disagree.
    First, I do not believe cost was the only competing policy interest Moechnig had
    to consider. The majority concludes that cost is "[t]he factor that most strongly
    suggests a possible need for policy judgment in the exercise of discretion[.]" Id. at 10.
    However, I believe we must also recognize that decisions regarding environmental
    protection, and the methods employed to achieve the best, and most acceptable results
    to all parties involved, are firmly rooted in policy. See Demery v. U.S. Dep't. of
    Interior, 
    357 F.3d 830
    , 833 (8th Cir. 2004) (stating "decision[s to] . . . protect[] the
    environment and aquatic habitats [involve] . . . obvious issues of policy").
    Second, by not properly acknowledging that decisions concerning
    environmental protection are firmly rooted in policy choices, the majority fails to
    recognize that developing cattle pasture and protecting the environment are often
    competing interests. If the interests were not competing, there would be no need for
    the EQIP Program. Rather, the Program exists, and the government provides financial
    and technical assistance to individuals such as the Herdens, in order to incentivize
    private landowners to emphasize conservation measures. To be sure, environmental
    protection and pasture production goals can be compatible; if they were completely
    incompatible, no rational rancher would sign up for the program. For example, in
    many cases a grazing specialist should be able to choose a particular grass or legume
    mixture that can provide good forage for cattle, while meeting environmental goals,
    including wildlife habitat creation and erosion prevention.
    On occasion, however, those goals compete with each other. In such a case, the
    specialist implementing EQIP on the ground—in this case Moechnig—must have the
    discretion to choose environmental protection over cattle production in order for the
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    program to be worth the government’s significant investments. For example, what
    should happen if a grazing specialist recognizes a particular pasture to be unusually
    susceptible to erosion because of exceptionally wet conditions? Under such
    conditions, the specialist might choose a species more tailored to environmental
    concerns over another species with higher nutritional content for cattle—a species that
    could nevertheless survive, but had less potential to stabilize ground conditions. In
    that case, because the environmental and ranching priorities would be competing, the
    specialist should⎯and in this case did—have the discretion to weigh the competing
    policy goals in formulating a plan best tailored to that particular location, which will
    meet the needs of all parties on some level. I see this as more than a simple
    application of technical expertise.
    The majority analogizes to Lather v. Beadle County, 
    879 F.2d 365
     (8th Cir.
    1989), by comparing Moechnig's professional judgment in developing a seeding plan
    with that of a psychologist's exercise of medical judgment. But in doing so, the
    majority only considers the issue of cost as a policy consideration. I recognize
    virtually any decision involves a cost-benefit analysis on some level. I further agree
    that cost analysis is not (or should not be) a meaningful part of the psychologist's
    decision-making process when she applies her specialized knowledge in treating a
    patient. See also Fang v. United States, 
    140 F.3d 1238
    , 1242-44 (9th Cir. 1998)
    (finding an emergency medical technician's actions in assisting a victim did not
    involve a need to balance competing policy concerns; rather, the goal was
    singular—to aptly assist accident victims). And, if in this case the only policy
    consideration competing with providing cattle forage was Moechnig's desire to choose
    a high enough seed density to ensure proper germination, thus resulting in a good
    return on taxpayer's investment, then I may agree with the majority's ultimate
    decision.
    Yet as I stated above, I do not believe cost was the only policy choice Moechnig
    faced. Instead, I believe Moechnig’s job required him to balance protecting the
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    environment with providing nutritious cattle forage, while reducing taxpayer cost.
    This job undoubtedly required Moechnig to draw on his technical expertise in order
    to determine what seed mixture would thrive under various environmental conditions.
    But, the fact a specialist needs a technical background in order to develop an
    appropriate seeding plan, does not mean his decision was not also susceptible to
    policy analysis. I believe the decisions Moechnig made when he developed the
    Herdens' seeding plan were capable of being based in policy considerations, and
    therefore decisions Congress meant to insulate from suit. See Chantal v. United
    States, 
    104 F.3d 207
    , 212 (8th Cir. 1997) ("It is well established that a decision which
    requires the weighing of competing interests is 'susceptible to policy analysis' and
    typifies the kind of governmental decisions which Congress intended to shield from
    judicial second-guessing.") (quoting Gaubert, 499 U.S. at 325).
    Accordingly, I would conclude the discretionary function of the FTCA applies
    in this case, and affirm the district court.
    ______________________________
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