Daniel Kim v. United States ( 2019 )


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  •                  FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    DANIEL KIM; GRACE KIM; HANNAH             No. 17-17432
    KIM, a minor through her guardian
    Grace Kim; FRANCIS S. LEE; VIVIAN            D.C. No.
    LEE,                                      1:16-cv-01656-
    Plaintiffs-Appellants,       LJO-SKO
    v.
    OPINION
    UNITED STATES OF AMERICA,
    Defendant-Appellee.
    Appeal from the United States District Court
    for the Eastern District of California
    Lawrence J. O’Neill, Chief District Judge, Presiding
    Argued and Submitted February 13, 2019
    San Francisco, California
    Filed October 10, 2019
    Before: Mary M. Schroeder, Diarmuid F. O’Scannlain,
    and Johnnie B. Rawlinson, Circuit Judges.
    Opinion by Judge O’Scannlain;
    Partial Concurrence and Partial Dissent by
    Judge Rawlinson
    2                    KIM V. UNITED STATES
    SUMMARY *
    Federal Tort Claims Act
    The panel affirmed the district court’s dismissal of the
    plaintiffs’ claim for fraudulent concealment, and reversed
    the dismissal of the negligence-based claims, in a Federal
    Tort Claims Act (“FTCA”) suit against federal officials for
    their failure to prevent the deaths of two boys who were
    killed when a tree limb fell onto their tent in Yosemite
    National Park.
    The FTCA’s discretionary function exception bars
    claims based upon the federal officials’ “exercise or
    performance or the failure to exercise or perform a
    discretionary function or duty.” 28 U.S.C. § 2680(a).
    The plaintiff families first argued that the district court
    erred in finding their negligence-based causes of action to be
    barred by the discretionary function exception to the FTCA.
    The panel held that regardless of whether the discretionary
    function exception might apply to some hypothetical
    decision not to inspect the campground, the panel had to
    decide whether Park officials were shielded from liability for
    their conduct in actually inspecting that area once they
    undertook to do so. The panel further held that once Park
    officials undertook to evaluate the danger of the trees in the
    campground, they were required to do so according to the
    technical criteria set forth in the Park’s official policies.
    Yosemite Park Directive No. 25 set forth the Park’s “Hazard
    *
    This summary constitutes no part of the opinion of the court. It
    has been prepared by court staff for the convenience of the reader.
    KIM V. UNITED STATES                     3
    Tree Management” program that specified how park
    officials were to evaluate the risk imposed by trees they
    inspected. An appendix to the directive detailed a Seven-
    Point system for rating tree dangers. The panel held that the
    officials in evaluating the tree under their Seven-Point
    system were not exempt from the scope of the FTCA.
    The government contended that the even if it knew or
    should have known about the danger posed by the tree, the
    plaintiffs’ negligence-based claims were still barred because
    Park officials had significant discretion regarding what to do
    in response to that danger. The panel held that as with the
    Park’s duty to take some action to abate a high-risk tree,
    fulfilling the Park’s duty to inform visitors somehow about
    that risk did not involve considerations of public policy.
    Accordingly, the discretionary function exception to the
    FTCA did not bar the plaintiffs’ claim that the government
    negligently failed to give Park visitors any warning about the
    tree.
    Plaintiffs argued that the district court erred in
    dismissing their claim that Park officials fraudulently
    concealed information about the dangers posed by the tree in
    “order to continue charging camping fees” to visitors. The
    district court found that this fraudulent concealment claim
    was barred by the FTCA’s exception for claims “arising out
    of . . . misrepresentation [or] deceit.” 28 U.S.C. § 2680(h).
    The panel held that the fraudulent concealment claim here
    was not one that involved misrepresentations only
    collaterally. The panel concluded that the district court did
    not err in dismissing the claim under the FTCA’s
    misrepresentation exception.
    Judge Rawlinson concurred in part and dissented in part.
    Judge Rawlinson agreed with the majority that the district
    4                   KIM V. UNITED STATES
    court properly dismissed the fraudulent concealment claim,
    but disagreed with the majority’s conclusion that the district
    court erred in dismissing the negligence-based claims under
    the discretionary function exception to the FTCA. Judge
    Rawlinson wrote that the majority erred in concluding that
    the Hazard Tree Management program created a mandatory
    duty on the part of officials responsible for managing
    Yosemite National Park.
    COUNSEL
    Martin N. Buchanan (argued), Law Office of Martin N.
    Buchanan APC, San Diego, California; Thomas V. Girardi
    and Kelly Winter, Girardi Keese, Los Angeles, California;
    for Plaintiff-Appellants.
    Philip A. Scarborough (argued), Assistant United States
    Attorney; McGregor Scott, United States Attorney; United
    States Attorney’s Office, Sacramento, California; for
    Defendant-Appellee.
    OPINION
    O’SCANNLAIN, Circuit Judge:
    We must decide whether the Federal Tort Claims Act
    bars a suit against federal officials for their failure to prevent
    the deaths of two boys who were killed when a tree limb fell
    onto their tent in Yosemite National Park.
    KIM V. UNITED STATES                     5
    I
    On August 14, 2015, Daniel and Grace Kim, their
    daughter Hannah, their teenaged son Dragon, and their son’s
    friend Justin Lee were camping in Campsite 29 of the Upper
    Pines Campground in Yosemite National Park (“Yosemite”
    or the “Park”). Around 5:00 in the morning, a limb from a
    large oak tree overhanging the campsite broke and fell on the
    tent where the two boys were sleeping, killing them. The
    Kims and Justin Lee’s parents (collectively, “the families”)
    sued the United States under the Federal Tort Claims Act
    (“FTCA”), alleging that National Park Service (“NPS”)
    officials were responsible for the accident.
    The families’ original complaint raised two negligence-
    based causes of action: wrongful death and negligent
    infliction of emotional distress. The complaint alleged that
    NPS officials knew or should have known of the danger
    posed by the tree, but negligently failed to abate that danger
    and to warn campers about it. The United States
    successfully moved to dismiss the complaint under the
    FTCA’s discretionary function exception, which bars tort
    claims against the United States that are “based upon the
    [government’s] exercise or performance or the failure to
    exercise or perform a discretionary function or duty.”
    28 U.S.C. § 2680(a). After reviewing Yosemite’s policies
    regarding tree maintenance, the district court found that
    decisions regarding “how to evaluate and respond to tree
    hazards” were subject to the discretion of Park officials. The
    court dismissed the complaint but “in an abundance of
    caution” granted the families leave to amend.
    The families filed an amended complaint that repeated
    the two original causes of action and added a third: that Park
    officials knew and fraudulently concealed information about
    the danger posed by the tree so that campers would continue
    6                  KIM V. UNITED STATES
    to patronize the campground. The district court again
    dismissed the complaint. First, the court adopted its analysis
    from its previous order dismissing the original complaint and
    concluded that the two negligence-based causes of action
    remained barred by the discretionary function exception.
    Second, the court concluded that, although the new
    fraudulent-concealment claim was not barred by the
    discretionary function exception, it was barred by the
    FTCA’s separate exception for “[a]ny claim arising out of
    . . . misrepresentation [or] deceit” by the government. 28
    U.S.C. § 2680(h). The court did not afford the families an
    opportunity to amend the complaint a second time.
    The families timely appealed, and they argue that the
    district court erred in dismissing each of their causes of
    action.
    II
    The families first argue that the district court erred in
    finding their negligence-based causes of action to be barred
    by the discretionary function exception to the FTCA.
    The FTCA generally authorizes private parties to sue the
    United States for the tortious conduct of federal officials, but
    the discretionary function exception bars suit under the
    FTCA for “[a]ny claim . . . based upon the exercise or
    performance or the failure to exercise or perform a
    discretionary function or duty . . . whether or not the
    discretion involved be abused.” 28 U.S.C. § 2680(a). The
    point of the exception is to “prevent judicial second-guessing
    of legislative and administrative decisions grounded in
    social, economic, and political policy.” Berkovitz v. United
    States, 
    486 U.S. 531
    , 536–37 (1988) (internal quotation
    marks omitted). The government bears the burden of
    KIM V. UNITED STATES                     7
    showing that the exception applies. See Terbush v. United
    States, 
    516 F.3d 1125
    , 1128 (9th Cir. 2008).
    We evaluate the exception in two steps. First, “we must
    determine whether the challenged actions involve an
    element of judgment or choice.” 
    Id. at 1129
    (internal
    quotation marks omitted). If “a statute or policy direct[s]
    mandatory and specific action, the inquiry comes to an end
    because there can be no element of discretion when an
    employee has no rightful option but to adhere to the
    directive.” 
    Id. (internal quotation
    marks omitted). Second,
    if the actions do involve an element of judgment, we must
    determine “whether that judgment is of the kind that the
    discretionary function exception was designed to shield,
    namely, only governmental actions and decisions based on
    considerations of public policy.” 
    Id. (internal quotation
    marks omitted). The relevant choice must be susceptible to
    some consideration of “social, economic, [or] political
    policy.” Chadd v. United States, 
    794 F.3d 1104
    , 1109 (9th
    Cir. 2015) (internal quotation marks omitted).
    The actions relevant to the families’ claims are (1) Park
    officials’ alleged failure to identify the danger presented by
    the tree that collapsed and (2) their alleged failure to abate
    and to provide warnings about such danger. The families
    urge that such actions are not subject to policy-based
    discretion of the sort covered by the exception.
    A
    The government contends, and the district court found,
    that the families’ claims fail at the outset because the
    discretionary function exception bars any claim based upon
    Park officials’ alleged failure to discover a specific tree
    hazard in the Park. The government asserts that Park
    officials maintain significant discretion over how best to
    8                  KIM V. UNITED STATES
    inspect trees in Yosemite, and thus they cannot be held liable
    for failing to identify the danger posed by the tree in
    question.
    1
    The government first argues that Park officials exercised
    considerable discretion over even whether to inspect the tree
    in question for hazards. Applicable Park policies do not
    require any particular trees to be inspected but state only that
    surveys of trees should occur in developed areas of the Park
    “on a regular periodic basis.” But we need not—and we do
    not—decide whether the government is right about the
    nature of its supposed discretion over which areas to inspect,
    because any such discretion is beside the point in this case.
    The government admits that in each of the two years prior to
    the accident the “the Upper Pines Campground was
    inspected and hundreds of hazard trees were identified and
    abated, [though] [t]hose inspections did not identify the
    subject tree as hazardous.” Regardless of whether the
    discretionary function exception might apply to some
    hypothetical decision not to inspect the campground, here
    we must decide whether Park officials are shielded from
    liability for their conduct in actually inspecting that area
    once they undertook to do so. See Myers v. United States,
    
    652 F.3d 1021
    , 1032–33 (9th Cir. 2011) (holding that once
    the choice to pursue a project is made the court “look[s] at
    the nature of the actions in conducting the . . . project, not
    the decision to undertake” it (emphasis added)).
    2
    The government next argues that, even when Park
    officials do inspect a tree, their determination of the extent
    of the hazard posed by such tree is shielded by the
    discretionary function exception.
    KIM V. UNITED STATES                              9
    Once they undertook to inspect trees in the campground,
    Park officials were required to do so in accordance with their
    established policies. See 
    id. Yosemite Park
    Directive No.
    25 sets forth the Park’s “Hazard Tree Management” program
    and, among other things, it specifies how Park officials are
    to evaluate the risk posed by trees they inspect. Directive
    No. 25 states that Yosemite “implement[s] the ‘Seven-Point’
    (Mills and Russel 1980) system, a professionally recognized,
    documented and quantified hazard tree rating system.” An
    appendix to the directive details the Seven-Point system,
    under which each tree is assigned a “Total Hazard Rating”
    (ranging from two to seven) that combines a “Defect Rating”
    based on the tree’s potential for physical failure and a
    “Target Rating” based on the potential impact in the event
    of a failure. The system provides specific criteria for how to
    rate each component based on the tree’s visible features and
    the nature of the surrounding area. Trees with a total
    rating of five or higher are considered “high” risks and,
    according to directive, “will require some type of
    abatement/mitigation.”
    Park officials certainly had substantial discretion in
    choosing whether to adopt the Seven-Point system instead of
    some other method for evaluating trees. But that decision
    was made in Directive No. 25, which must now be
    followed. 1 Regardless of the policy considerations that went
    into the choice to adopt the system, the implementation of
    such system cannot be said to turn on those same
    considerations. See Whisnant v. United States, 
    400 F.3d 1177
    , 1181 (9th Cir. 2005) (“[W]e have generally held that
    the design of a course of governmental action is shielded by
    1
    None of the dissent’s many references to the general discretion
    otherwise granted to Park officials suggest that the officials were free to
    ignore Directive No. 25’s explicit requirement to rate trees according to
    the Seven-Point system when inspecting them.
    10                    KIM V. UNITED STATES
    the discretionary function exception, whereas the
    implementation of that course of action is not.”); Marlys
    Bear Med. v. United States, 
    241 F.3d 1208
    , 1215 (9th Cir.
    2001) (same).
    The government insists, however, that even its
    implementation of the rating system is shielded by the
    discretionary function exception because the system itself
    requires officials to consider questions of public policy. See
    
    Whisnant, 400 F.3d at 1182
    n.3 (“The implementation of a
    government policy is shielded where the implementation
    itself implicates policy concerns . . . .”). The government
    appears to conflate policy considerations with technical
    considerations. “[M]atters of scientific and professional
    judgment—particularly judgments concerning safety—are
    rarely considered to be susceptible to social, economic, or
    political policy.” 
    Id. at 1181;
    see also Kennewick Irrigation
    Dist. v. United States, 
    880 F.2d 1018
    , 1031 (9th Cir. 1989)
    (“[D]eciding whether to remove unsuitable materials during
    construction [of a canal] was based not on policy judgments
    but on technical, scientific, engineering considerations.”).
    Yet scientific and professional judgment is all the Park’s
    rating-system requires. The system directs officials to assign
    certain hazard ratings based on a tree’s structural defects and
    its likelihood of damaging various Park features. 2 The only
    flexibility built into the rating system is to allow officials to
    modify the standards to “reflect variations in [tree] species
    2
    The criteria for determining the Defect Rating relate to the nature
    of the tree’s visible decay and damage, such as the presence of dead
    limbs, rot, or fungus. The criteria for the Target Rating are even “more
    standardized,” and relate to the tree’s proximity to features such as
    campgrounds, lodges, residences, trails, roads, and picnic areas.
    KIM V. UNITED STATES                            11
    and environmental factors”—i.e.,                   to    accommodate
    additional technical considerations.
    Certainly, the system requires the careful—perhaps even
    difficult—application of specialized knowledge. As the
    government points out, the parties have presented competing
    experts with opposing views as to what rating should have
    been assigned to the tree. So the appropriate evaluation of a
    tree under the system is not free from debate. But
    technicians, like anyone else, can disagree about their craft.
    The mere fact that experts might reach different conclusions
    when conducting a technical analysis does not mean that the
    analysis somehow turns on questions of public policy. Even
    if the Seven-Point system requires officials to make difficult
    choices, it still does not ask them to make policy choices and
    it does not afford them an opportunity to rate a tree based on
    their social, economic, or political views. Indeed, neither the
    government nor the dissent has identified even a single
    policy-based consideration that might influence the rating
    assigned to a tree. 3
    In sum, once Park officials undertook to evaluate the
    danger of the trees in the campground, they were required to
    do so according to the technical criteria set forth in the Park’s
    official policies. While it is unclear whether the families will
    succeed in showing that officials were actually negligent in
    evaluating the tree under the Seven-Point system, such
    evaluation is not exempt from the scope of the FTCA. Cf.
    3
    The dissent essentially ignores the requirement that, to be shielded
    by the discretionary function exception, the relevant government action
    must be subject to considerations of social, economic, or political policy.
    It argues that the hazard rating assigned to a tree is discretionary rather
    than mandatory, but it fails to explain how that rating is a choice rooted
    in public policy rather than in technical considerations of a tree’s
    structural health and its likelihood of causing damage to nearby Park
    facilities. See Dissent at 27–28.
    12                 KIM V. UNITED STATES
    
    Whisnant, 400 F.3d at 1181
    –83 (“professional and scientific
    judgment” regarding how to remediate mold not protected
    by the exception); Kennewick Irrigation 
    Dist., 880 F.2d at 1031
    (decision whether to remove hazardous materials
    from a construction site based on “sound engineering
    practices” not protected by the exception).
    3
    A final error undermines the district court’s conclusion
    that the government cannot be sued for its failure to discover
    the danger presented by the tree: the families have separately
    alleged that Park officials in fact knew of such danger,
    because the tree had similarly broken in the past and had
    begun to bow noticeably above the campsite in question.
    Even if the district court were correct that the government
    could not be held liable for failing to discover the threat of
    the tree, that conclusion has no bearing if the government
    actually knew of the threat.
    The government suggests that this question has already
    been answered in its favor. It asserts that the “only evidence
    concerning the Park’s actual knowledge shows that it did not
    know the tree presented a hazard,” citing records that
    indicate the tree in question was not selected for abatement
    during 2014 and 2015 surveys of the campground. In its
    order dismissing the first complaint, the district court
    similarly observed that the families “ha[d] not offered any
    evidence that Defendant in fact rated . . . the Subject Tree as
    a high or very high hazard.” But, at this point in litigation,
    this should hardly be surprising. Although they were
    allowed to submit evidence addressing issues raised in the
    government’s motion to dismiss, the parties have not yet
    conducted discovery. Indeed, the district court denied the
    families’ request for limited discovery to unearth evidence
    regarding what Park officials knew about the tree.
    KIM V. UNITED STATES                              13
    At this stage, the court “must accept as true the factual
    allegations in the complaint,” including the allegation that
    the government knew about the risks posed by the tree.
    
    Terbush, 516 F.3d at 1128
    . Curiously, in its order dismissing
    the second complaint, the district court appears to have
    assumed that (as alleged) the government knew about the
    danger posed by the tree. In fact, the court found that the
    families’ fraudulent concealment was not barred by the
    discretionary function exception based largely on this
    assumption. The court found that the exception did not
    apply because, if the government knew of the danger, then
    its alleged decision to conceal such information from
    campers could not have been based in considerations of
    public policy. This same assumption should have applied
    with respect to the families’ negligence-based claims, as
    well. 4
    B
    Even if it knew or should have known about the danger
    posed by the tree, the government contends that the families’
    negligence-based claims are still barred because Park
    officials had significant discretion regarding what to do in
    response to that danger. The families counter by arguing
    that, while Park officials had discretion regarding what to do
    4
    Contrary to the dissent’s suggestion, we may not simply disregard
    the complaint’s allegation that the government knew of the danger posed
    by the tree. See Dissent at 28–29. Certainly, we need not credit “legal
    conclusions” asserted in a complaint, but we must “assume [the]
    veracity” of the complaint’s “well-pleaded factual allegations.” Ashcroft
    v. Iqbal, 
    556 U.S. 662
    , 678–79 (2009) (emphasis added). The
    complaint’s allegations that Park officials were actually aware of the
    danger posed by the tree because they knew that it had broken in the past
    and because the tree’s remaining limb had begun to bow visibly are not
    the sort of “[t]hreadbare recitals of the elements of a cause of action” that
    we may disregard at this stage of litigation. 
    Id. at 678.
    14                 KIM V. UNITED STATES
    in response to the danger, applicable policies required
    officials to do something, including at least to warn campers.
    They argue that the government’s failure to do anything at
    all to mitigate the risk was not subject to the sort of policy
    choices protected by the discretionary function exception.
    1
    Once again, the extent and nature of Park officials’
    discretion over how to address hazardous trees is defined by
    Yosemite Directive No. 25. As mentioned, the families
    allege that the tree should have been rated a five or a six
    under the Park’s Seven-Point system—a “high” risk
    according to Directive No. 25. According to the directive,
    trees rated “high or above require a management action,”
    and “will require some type of abatement/mitigation.”
    Though “some type of” mitigation is required, the directive
    lists a wide range of specific mitigation efforts that NPS
    officials may undertake—from pruning or repairing the tree
    to removing it or closing the surrounding area. Accordingly,
    the government insists that its officials maintained
    significant policy-based discretion in deciding how best to
    abate the hazard posed by the tree. This is likely true, and
    the families may not be able to pursue a claim challenging
    the government’s choice of one mitigation approach over
    some other. See, e.g., 
    Chadd, 794 F.3d at 1113
    –14 (holding
    that discretionary function exception shielded NPS officials’
    decision to implement “non-lethal management options” for
    an aggressive goat, rather than to kill the goat).
    But the government’s argument ignores the families’
    contention that Park officials failed to satisfy their baseline
    duty to do something about the tree. Even if the directive
    gives officials broad leeway in deciding how to abate the
    danger posed by a high-risk tree, the directive still instructs
    that they do something toward that goal. But the families
    KIM V. UNITED STATES                     15
    contend—and at this point we assume—the government did
    nothing at all. Given the requirements of Yosemite Directive
    No. 25, this fundamental decision of whether to act in any
    way to abate the hazard remains subject to challenge under
    the FTCA. See Navarette v. United States, 
    500 F.3d 914
    ,
    917–18 (9th Cir. 2007) (“[T]he Army Corps certainly
    retained discretion as to how to mark fence drop offs, but that
    does not mean it retained discretion whether to do so.”).
    2
    The families further claim that Park officials were
    negligent in failing to warn visitors that the tree was
    dangerous. Once again, Directive No. 25 makes clear that
    officials’ duty to warn visitors of known dangers is
    mandatory:
    The park will provide reasonable public
    information . . . about the known potential for
    risk of exposure in the park to hazard tree
    conditions. The intent is to make the public
    aware of potential tree hazards that are
    known to exist in developed areas within the
    park or sections of the park.             This
    information/public outreach should be on a
    level commensurate with other public safety
    information . . . .
    As for the families’ failure-to-warn claim, the
    government has not identified even a single policy-based
    consideration that might stop Park officials from notifying
    visitors about known tree hazards. In its brief, the
    government simply asserts, without elaboration, that the
    decision “whether to post a warning” is “subject to policy
    considerations.” The only source cited in support is a
    provision in Directive No. 25, which states that, prior to
    16                    KIM V. UNITED STATES
    taking any action to abate tree hazards, “a review of resource
    issues should be made considering the various
    environmental laws and the resources potentially impacted.”
    But this statement has nothing to do with posting warnings.
    It specifically applies to the government’s consideration of
    how best to abate the hazard itself, for example by pruning
    or repairing trees or closing endangered areas of the Park.
    No similar statement appears following the Directive’s
    separate instruction to “provide reasonable public
    information” about hazardous tree conditions. Indeed, it
    makes little sense (and the government does not attempt to
    explain) how the decision simply to inform Park visitors
    about known dangers could similarly impact environmental
    resources. Cf. Sutton v. Earles, 
    26 F.3d 903
    , 910 (9th Cir.
    1994) (“A decision not to warn of a specific, known hazard
    for which the acting agency is responsible is not the kind of
    broader social, economic, or political policy decision that the
    discretionary function exception is intended to protect.”). 5
    As with the Park’s duty to take some action to abate a
    high-risk tree, fulfilling the Park’s duty to inform visitors
    somehow about that risk does not involve considerations of
    public policy. See Faber v. United States, 
    56 F.3d 1122
    ,
    1125 (9th Cir. 1995) (“[A] failure to warn involves
    considerations of safety, not public policy.”); 
    Sutton, 26 F.3d at 910
    (same). Accordingly, the discretionary function
    exception does not bar the families’ claim that the
    5
    When considering whether to dismiss the families’ fraudulent
    concealment claim, the district court made a similar observation:
    “Defendant has not advanced any argument that the failure to warn, set
    apart from the decision not to abate the Subject Tree, involved an
    exercise of discretion.” For this very reason, the district court rejected
    the government’s argument that the discretionary function exception
    barred the fraudulent concealment claim. The same analysis prevents
    the exception from applying to the families’ negligence-based failure to
    warn claims, as well.
    KIM V. UNITED STATES                     17
    government negligently failed to give Park visitors any
    warning about the tree.
    III
    The families argue that the district court also erred in
    dismissing their claim that Park officials fraudulently
    concealed information about the dangers posed by the tree
    “in order to continue charging camping fees” to visitors.
    They allege that if they had been informed of such dangers
    during the campsite reservation process, they never would
    have camped there.
    The district court found that this fraudulent concealment
    claim was barred by the FTCA’s exception for claims
    “arising out of . . . misrepresentation [or] deceit.” 28 U.S.C.
    § 2680(h). Under such exception, “claims against the United
    States for fraud or misrepresentation by a federal officer are
    absolutely barred.” Owyhee Grazing Ass’n, Inc. v. Field,
    
    637 F.2d 694
    , 697 (9th Cir. 1981). It goes without saying
    that the families’ fraudulent concealment claim sounds in
    fraud or misrepresentation. See Robinson v. Helicopter Co.
    v. Dana Corp., 
    102 P.3d 268
    , 274 (Cal. 2004) (describing
    claim as a species of “fraud and misrepresentation”). The
    families contend, however, that the exception does not apply
    because their claim seeks damages for personal injury. They
    insist that, decades ago, our court limited the exception only
    to cases where the “plaintiff is seeking to recover for
    economic loss suffered as a result of a commercial decision
    the plaintiff made in reliance on a government
    misrepresentation.”
    Our cases impose no such limitation. The families are
    correct that some cases have observed that the exception
    primarily applies to claims of economic loss flowing from
    commercial transactions. See, e.g., United States v.
    18                 KIM V. UNITED STATES
    Neustadt, 
    366 U.S. 696
    , 711 n.26 (1961) (observing that the
    torts covered by the exception are “confined very largely to
    the invasion of interests of a financial or commercial
    character, in the course of business dealings” (internal
    quotation marks omitted)); Green v. United States, 
    629 F.2d 581
    , 584 (9th Cir. 1980) (“[T]he misrepresentation
    exception precludes liability where the plaintiff suffers
    economic loss as a result of a commercial decision which
    was based on a misrepresentation by [the] government
    . . . .”). But such cases do not hold that the exception cannot
    apply in other contexts. Indeed, in Green—the principal
    case on which the families rely—we explicitly rejected the
    notion that the exception applies only to claims for economic
    loss. See 
    Green, 629 F.2d at 584
    (“[T]he test is not whether
    the injury was economic but whether it resulted from a
    commercial decision based on a government
    misrepresentation.” (quoting Preston v. United States,
    
    596 F.2d 232
    , 239 (7th Cir. 1979))). More recently, we have
    applied the exception even to claims of personal injury
    resulting from non-fraudulent failures to warn. See Doe v.
    Holy See, 
    557 F.3d 1066
    , 1084 n.10 (9th Cir. 2009) (per
    curiam); Lawrence v. United States, 
    340 F.3d 952
    , 958 (9th
    Cir. 2003).
    The only case the families cite in which our court refused
    to apply the exception to a claim for personal injury is
    Ramirez v. United States, 
    567 F.2d 854
    (9th Cir. 1977) (en
    banc). In that case, we held that the exception did not bar a
    claim of medical malpractice based upon a surgeon’s
    negligent failure to warn his patient of certain surgical risks.
    
    Id. at 856.
    We explained that the exception was reserved for
    torts representing a “distinct cause of action” for
    misrepresentation or deceit, rather than for claims of
    ordinary negligence that might involve “misrepresentation”
    in some colloquial sense. See 
    id. (internal quotation
    marks
    KIM V. UNITED STATES                     19
    omitted). We opined that the exception must not be
    interpreted so broadly as to swallow claims by “the victim of
    negligent conduct [and] not of an esoteric form of
    misrepresentation.” 
    Id. at 857.
    The families argue that Ramirez is in tension with later
    cases like Doe and Lawrence which applied the exception to
    bar claims of ordinary negligence. But no such tension
    arises here, because the families’ fraudulent concealment
    claim is not one of ordinary negligence (or any negligence at
    all). Rather, their claim of fraudulent concealment is indeed
    a “distinct cause of action” for deceit and an “esoteric form
    of misrepresentation.” 
    Id. at 856–57
    (internal quotation
    marks omitted). Such claim—that the families detrimentally
    relied on the government’s fraudulent misrepresentation in a
    commercial transaction—bears the hallmarks of traditional
    misrepresentation claims described in Ramirez. And shortly
    after Ramirez, in Green, our court relied on a case in which
    the Seventh Circuit held that the exception might apply
    where a governmental misrepresentation in a commercial
    transaction led to personal or property damages. See
    
    Preston, 596 F.2d at 238
    –39. In that case, the Seventh
    Circuit explained that the critical distinction is not the type
    of harm but rather whether the cause of action is
    “fundamentally grounded on the common law tort of
    misrepresentation” or instead “only collaterally involve[s]
    misrepresentations.” 
    Id. at 238.
    The fraudulent concealment
    claim here is not one that involves misrepresentations only
    collaterally. Even if the families are right that a tension
    between Ramirez and later cases like Doe and Lawrence will
    need to be resolved at some point, we need not do so now.
    The district court did not err in dismissing the fraudulent
    concealment claim under the misrepresentation exception.
    20                 KIM V. UNITED STATES
    IV
    The district court’s dismissal of the families’ claim for
    fraudulent concealment is AFFIRMED, the court’s
    dismissal of the negligence-based claims is REVERSED,
    and the case is REMANDED for further proceedings. Each
    party shall bear its own costs on appeal.
    RAWLINSON, Circuit Judge, concurring in part and
    dissenting in part:
    I agree with the majority that the district court properly
    dismissed the fraudulent concealment claim. However, I
    disagree with the majority’s conclusion that the district court
    erred in dismissing the negligence-based claims under the
    discretionary function exception to the Federal Tort Claims
    Act.
    In my view, the majority goes astray by concluding that
    the Hazard Tree Management program created a mandatory
    duty on the part of officials responsible for managing
    Yosemite National Park. Specifically, the majority relies on
    Park Directive # 25 as setting forth the mandated duty. See
    Majority Opinion, p.9. But Directive # 25 is replete with
    references to the exercise of discretion, which by definition
    negates the concept of a mandated duty. See Gonzalez v.
    United States, 
    814 F.3d 1022
    , 1027 (9th Cir. 2016)
    (referencing a “discretionary act” as falling within the
    exception); see also Marlys Bear Medicine v. United States,
    
    241 F.3d 1208
    , 1214 (9th Cir. 2001) (noting that even
    limited discretion fits within the discretionary function
    exception); Sabow v. United States, 
    93 F.3d 1445
    , 1453 (9th
    Cir. 1996) (same).
    KIM V. UNITED STATES                    21
    In 2006, the National Park Service (Park Service)
    published its Management Policies for management of the
    national park system, including Yosemite. In addressing
    visitor safety, that policy provides:
    The saving of human life will take
    precedence over all other management
    actions as the Park Service strives to protect
    human life and provide for injury-free visits.
    The [Park] Service will do this within the
    constraints of the 1916 Organic Act. The
    primary—and very substantial—constraint
    imposed by the Organic Act is that
    discretionary management activities may be
    undertaken only to the extent that they will
    not impair park resources and values.
    ...
    The means by which public safety concerns
    are to be addressed is left to the discretion of
    superintendents and other decision-makers at
    the park level who must work within the
    limits of funding and staffing. . . .
    The language in this policy is explicitly discretionary. See
    Merando v. United States, 
    517 F.3d 160
    , 169 (3rd Cir. 2008)
    (addressing a prior version of this policy and concluding that
    nothing in the policy “mandate[d] how the Government
    should locate or deal with hazardous trees.”)
    Directive # 25 was promulgated under the auspices of
    the Pacific West Region Directive for hazard tree
    management (PW-062). That directive contains similar
    language of discretion.
    22                KIM V. UNITED STATES
    The introduction to this regional directive begins with
    the acknowledgment that natural hazards, including tree
    hazards, are among the potential dangers inherent in the
    environment. The directive explains that it “provides
    guidance in the management of tree hazards.” (emphasis
    added).
    The directive encompasses the following additional
    discretionary passages (discretionary language emphasized):
    • The primary purpose of this Directive is
    safety of the visiting public and park
    employees, along with conservation of
    park resources;
    •   The management activities identified in
    this Directive are to be undertaken to the
    fullest extent feasible and consistent with
    available resources while still providing
    for the safety of park operations;
    •   The program should address developed
    areas as identified by local park
    managers;
    •   The Park Superintendent retains
    discretion to administer the program with
    available park staff and financial
    resources in the context of other legal
    requirements and other considerations;
    •   Surveys/inspections of tree hazards
    should be made on a regular periodic
    basis; the frequency of surveys in each
    developed area should be documented in
    the hazard tree plan. Surveys/inspections
    KIM V. UNITED STATES                    23
    should also be made following storms,
    fires, or other environmental events;
    •   A park may consider the knowledge,
    experience and judgment of the park’s
    field staff in conjunction with the
    numerical hazard tree rating system to
    determine the appropriate management
    response for a species- and target-specific
    hazard.
    Against this backdrop of national and regional directives
    granting discretion to Park Superintendents, the Park
    Superintendent for Yosemite promulgated Directive # 25 to
    address hazard tree management in Yosemite National Park.
    As with the national and regional directives Directive # 25
    contains express discretionary provisions, including the
    following (discretionary language emphasized):
    • This directive provides guidance in the
    management of tree hazards and any
    other potentially hazardous vegetation;
    •   The management activities identified in
    this directive are undertaken to the fullest
    extent feasible and consistent with
    available resources while still providing
    for the safety of park operations;
    •   The objective of this directive is to
    provide Yosemite with a framework for a
    hazard tree program that will minimize
    threats to life and property from the
    failure of hazard trees within developed
    areas, consistent with the [National Park
    24              KIM V. UNITED STATES
    Service] mission of conserving the park’s
    natural and cultural resources;
    •   The     park    superintendent    retains
    discretion to administer the [hazard tree
    management] program with available
    park staff and financial resources in the
    context of other legal requirements and
    other considerations;
    •   A rating system [for hazard tree
    assessment] should consider the
    following [factors];
    •   A park may consider the knowledge,
    experience and judgment of the park’s
    field staff in conjunction with the
    numerical hazard tree rating system to
    determine the appropriate management
    response for a species- and target-specific
    hazard;
    •   The park will provide reasonable public
    information . . . about the known potential
    for risk of exposure in the park to hazard
    tree conditions. The intent is to make the
    public aware of potential tree hazards that
    are known to exist . . . This
    information/public outreach should be on
    a level commensurate with other public
    safety information;
    •   Where wilderness or backcountry
    campsites or other developments are
    designated and assigned by the [National
    Park Service], e.g. permitted campsites,
    KIM V. UNITED STATES                      25
    these areas should be identified for
    inclusion in the hazard tree management
    program, and such sites should be
    surveyed and hazards abated/mitigated;
    •   It is the responsibility of each park
    superintendent to determine the need for
    and, as appropriate, to develop,
    implement, and keep up-to-date a hazard
    tree management program;
    •   The regional director should ensure that
    each park has an adequate hazard tree
    management program.
    Comparable discretionary language is present in the
    corollary Vegetation Management Plan for Yosemite:
    “Reasonable and prudent measures should be taken to
    protect safety and property. Hazardous tree and limb
    conditions should be rated and abated to provide a balance
    between preservation of park resources and protection of
    people and property.” (Emphasis added).
    We have consistently held that language of the type used
    in these park directives confers discretion, rather than
    imposing a mandatory obligation. In Marlys Bear 
    Medicine, 241 F.3d at 1213
    , we explained that, in determining whether
    the discretionary function exception applies we “consider
    whether the action is a matter of choice.” (citation omitted).
    In other words, if the “ultimate choice is left to the [agency],”
    discretion is conferred. 
    Id. at 1214.
    We clarified that
    “[d]iscretion may be either affirmatively conferred or tacitly
    implied.” 
    Id. at 1213
    (citation omitted). We, therefore, “ask
    whether the applicable federal standards either explicitly or
    implicitly gave the [National Park Service] discretion.” 
    Id. 26 KIM
    V. UNITED STATES
    In this case, discretion was conferred upon the Park
    Service both explicitly and implicitly. Discretion was
    conferred explicitly through copious use of the universally
    permissive terms “may” and “should.” See Kingdomware
    Technologies, Inc. v. United States, 
    136 S. Ct. 1969
    , 1977
    (2016) (“[T]he word ‘may’ . . . implies discretion . . .”); see
    also Marshall v. Anaconda Co., 
    596 F.2d 370
    , 375 (9th Cir.
    1979) (noting that the “‘[s]hould . . . unless’ language is
    clearly [m]ore advisory”); 
    Sabow, 93 F.3d at 1452
    (describing “should” as “suggestive, not mandatory”)
    (citation omitted). Discretion was conferred implicitly
    through the embedding of discretionary choices throughout
    the policies. See Gonzalez v. United States, 
    814 F.3d 1022
    ,
    1029 (9th Cir. 2016) (“Courts have consistently held that
    where, as here, a government agent’s performance of an
    obligation requires that agent to make judgment calls, the
    discretionary function exception applies.”).         (citation
    omitted).
    As previously discussed, Directive # 25, which is relied
    upon by the majority as imposing a mandatory duty upon
    park officials actually provides quite the opposite, including
    describing the directive as “guidance” and explicitly
    retaining discretion in the Park Superintendent to administer
    the hazard tree management program “in the context of other
    legal requirements and other considerations.” We have
    concluded that similar language falls within the
    discretionary function exception. In Chadd v. United States,
    
    794 F.3d 1104
    , 1110 (9th Cir. 2015), we held that the
    discretionary function exception applied despite the
    existence of a “mandatory” policy, because the policy
    contained qualifying language that circumscribed the park’s
    obligation to “what is practicable and consistent with
    designated purposes and mandates.” We also described
    KIM V. UNITED STATES                     27
    “guidance” as “impos[ing] no particular, mandatory course
    of action.” 
    Id. Similarly, in
    Miller v. United States, 
    163 F.3d 591
    , 594
    (9th Cir. 1998), despite the existence of “mandatory
    requirements,” we held that the discretionary function
    exception applied. The plaintiffs relied on the language in
    the Forest Plan requiring forest employees to:
    (1) monitor current and recent fire reports to
    target specific risks; (2) apply aggressive
    suppression action to wildfires that threaten
    assets, including private property, by initial
    attack; (3) provide equipment outside of the
    fire management organization to assist in the
    initial attack; and (4) meet the goal of
    controlling the fire by directly addressing the
    fire on the ground and preparing an escaped
    fire analysis where appropriate.
    
    Id. We rejected
    the plaintiffs’ reliance on these standards,
    holding that “[t]he existence of some mandatory language
    does not eliminate discretion when the broader goals sought
    to be achieved necessarily involve an element of discretion.”
    
    Id. at 595
    (citations omitted); see also 
    Sabow, 93 F.3d at 1453
    (“[T]he presence of a few, isolated provisions cast in
    mandatory language does not transform an otherwise
    suggestive set of guidelines into binding agency
    regulations.”) (citation omitted).
    A similar conclusion is warranted in this case in light of
    the discretionary framework of which Directive # 25 is a
    part, and the discretionary nature of Directive # 25 itself. As
    in Miller, Directive # 25 “confers discretion as a part of its
    general procedure” vesting discretion in the Park
    Superintendent. See 
    id. at 594.
    28                 KIM V. UNITED STATES
    The majority opinion specifically relies upon the Rating
    System used in Yosemite National Park under Directive # 25
    to evaluate “(1) tree failure potential; (2) target damage
    potential; (3) target impact potential; and (4) target value.”
    However, not only is Directive # 25 itself couched in
    discretionary terms, the rating system expressly states that
    the “[d]efect ratings . . . are usually assigned and/or modified
    on a local/regional basis and reflect variations in species
    and environmental factors.” (emphases added). In addition,
    the very factors relied upon by the majority are identified as
    “example[s]” that “may need to be revised for local
    conditions.” The ratings are listed as examples only, and
    because no instructions are included regarding revisions for
    local conditions, or how to account for “variations in species
    and environmental factors,” our analysis of similar directives
    in Miller militates toward a similar conclusion—that
    Directive # 25 did not “eliminate discretion” on the part of
    forest officials. 
    Id. at 595
    (noting that although the standards
    and procedures outlined certain requirements, they did not
    eliminate discretion because they did not mandate a specific
    method of complying with those standards).
    Finally, and importantly, the majority relies on a
    conclusory allegation from the plaintiffs that forest officials
    knew the failed tree was hazardous. This is an important
    point because Directive # 25 addresses providing
    information to the public regarding “hazards that are known
    to exist.” (emphasis added). Contrary to the majority’s
    assertion, see Majority Opinion, p.12, we are not required to
    accept as true conclusory allegations. See Ashcroft v. Iqbal,
    
    556 U.S. 662
    , 678–79 (2009) (“Rule 8 . . . does not unlock
    the door of discovery for a plaintiff armed with nothing more
    than conclusions . . .”); 679 (“[P]leadings that . . . are no
    more than conclusions[] are not entitled to the assumption of
    truth”). The only evidence in the record on this issue is the
    KIM V. UNITED STATES                     29
    declaration of Yosemite Park Forester Brian Mattos that he
    was not aware of any “prior failure incident involving the
    subject tree,” and that it had not been identified as a hazard.
    I am persuaded that no meaningful distinction can be
    made between the facts of this case and our precedent
    concluding that the discretionary function exception applies
    to directives that are remarkably similar to Directive # 25.
    On that basis, I would affirm the district court’s judgment in
    its entirety.
    

Document Info

Docket Number: 17-17432

Filed Date: 10/10/2019

Precedential Status: Precedential

Modified Date: 10/10/2019

Authorities (20)

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

United States v. Neustadt , 81 S. Ct. 1294 ( 1961 )

Lorrin Whisnant, Individually v. United States , 400 F.3d 1177 ( 2005 )

96-cal-daily-op-serv-6409-96-daily-journal-dar-10547-96-daily , 93 F.3d 1445 ( 1996 )

raymond-green-irvin-green-larry-campbell-william-kuehne-don-mcclure , 629 F.2d 581 ( 1980 )

Berkovitz v. United States , 108 S. Ct. 1954 ( 1988 )

Everett Todd Faber v. United States , 56 F.3d 1122 ( 1995 )

Myers v. United States , 652 F.3d 1021 ( 2011 )

98-cal-daily-op-serv-9161-98-daily-journal-dar-12816-donald-maxwell , 163 F.3d 591 ( 1998 )

jessica-lawrence-v-united-states-of-america-matt-hanrahan-timothy-m , 340 F.3d 952 ( 2003 )

Merando v. United States , 517 F.3d 160 ( 2008 )

kennewick-irrigation-district-v-united-states-of-america-kennewick , 880 F.2d 1018 ( 1989 )

owyhee-grazing-association-inc-v-william-o-field-oscar-field-terry , 637 F.2d 694 ( 1981 )

Ashcroft v. Iqbal , 129 S. Ct. 1937 ( 2009 )

Doe v. See , 557 F.3d 1066 ( 2009 )

Robinson Helicopter Co., Inc. v. Dana Corp. , 22 Cal. Rptr. 3d 352 ( 2004 )

Rudolfo Ramirez v. United States , 567 F.2d 854 ( 1977 )

Terbush v. United States , 516 F.3d 1125 ( 2008 )

Robert L. Preston v. United States , 596 F.2d 232 ( 1979 )

7-osh-casbna-1382-1979-oshd-cch-p-23579-ray-marshall , 596 F.2d 370 ( 1979 )

View All Authorities »