IN THE UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT
__________________________
No. 00-31232
__________________________
RUSTY ROBERTS, individually and on behalf of their minor
children, Chase & Jarod Roberts; Sandra Roberts
Plaintiffs-Appellants,
versus
CARDINAL SERVICES, INC.; ET AL.;
Defendants,
CARDINAL SERVICES, INC.; KERR-MCGEE CORPORATION, successor-in-
interest to Oryx Energy Company,
Defendants-Appellees.
___________________________________________________
Appeal from the United States District Court
for the Eastern District of Louisiana
___________________________________________________
October 2, 2001
Before JOLLY, SMITH, and WIENER, Circuit Judges.
WIENER, Circuit Judge
This maritime action was brought in district court against
Defendant-Appellee Cardinal Services, Inc. (“Cardinal”) under the
Jones Act,1 and against Defendant-Appellee Kerr-McGee Corporation
(“Kerr-McGee”) as successor-in-interest to Oryx Energy Company,
1
46 U.S.C. app. § 688.
1
under the Louisiana Civil Code’s provisions governing negligence,2
premises liability,3 and strict liability,4 which are incorporated
by reference through the Outer Continental Shelf Lands Act
(“OCSLA”).5 Suit was filed by Plaintiffs-Appellants Rusty Roberts
and his wife, Sandra Roberts, individually and on behalf of their
minor children (collectively “Plaintiffs”) after Rusty Roberts, an
employee of Cardinal, was injured while working on a stationary
offshore platform owned by Oryx and subsequently acquired by Kerr-
McGee.6 The Plaintiffs now appeal the district court’s grants of
summary judgment dismissing their claims against Cardinal and Kerr-
McGee. We affirm.
I. Facts and Proceedings
Cardinal provides a range of services to the energy industry
in Louisiana and Texas as well as in the Gulf of Mexico offshore
those states. Among the oil and gas well services performed by
Cardinal in those areas are wireline, electric line, plugging and
abandoning (“p&a”), cementing, and pumping services, as well as
acquisition and interpretation of oilfield data. Cardinal’s
2
La. Civ. Code Ann. art. 2315.
3
La. Civ. Code Ann. art. 2317.1 and 2322.
4
La. Civ. Code Ann. art. 667.
5
43 U.S.C. §§ 1331-56.
6
To avoid confusion, the OCSLA defendants will be referred
to throughout the balance of this opinion as “Kerr-McGee” even
if, at the particular time referred to, Kerr-McGee had not yet
succeeded to Oryx.
2
offshore services are performed on both fixed and movable
facilities belonging to others as well as on board its own
“liftboats.”
Roberts worked for Cardinal in its p&a department from 1996
until the date of his injury in 1998, first as a p&a helper and
then, following a promotion, as a p&a operator. The Kerr-McGee
platform on which he was injured while helping to perform a p&a
operation is located on the outer Continental Shelf in the Gulf of
Mexico, off the Louisiana coast. He was injured by the accidental
firing of a perforation gun attached to a wireline that was being
used on the platform by the crew of which he was a member in
connection with plugging a well. (A “wireline” is a continuous
cable used to perform various subsurface functions in a well,
including the lowering and raising of various tools, instruments,
and other devices. One of the downhole tools used on a wireline is
a “perforation gun,” a device that originally used cartridges
similar to rifle or pistol ammunition but evolved to use “shaped
charges,” cylinder-shaped ammunition which is cone-shaped
internally and fires directionally. It is formed in layers, one a
brittle compound of explosive material and the other a metal alloy.
When fired by any of several methods, this bazooka-like ammunition
shoots a short, concentrated stream of molten alloy or “plasma” in
the direction at which the open end of the charge’s conically
shaped interior is aimed. Generally, perforating guns are used
either early in the life of a well to fractionate (“frac”) a
3
hydrocarbon-bearing formation or zone so as to commence or enhance
production or, late in the life of a well or of a particular
formation, to perforate casing or tubing in preparation for
“squeezing” or sealing off the well or the zone to “plug and
abandon” it.)
On the evening of Roberts’s injury, the Cardinal crew was
attempting a p&a job on the platform in question. Cardinal was
responsible for all aspects of the project, Kerr-McGee having
reserved only the right to observe and inspect Cardinal’s work to
ensure its satisfactory completion. The Cardinal crew had
assembled a perforating gun, with its shaped charges aimed in a
single direction, and had lowered the gun into the well on a
wireline. This particular gun included an exterior sleeve and was
rigged to fire when the pressure around it increased to a
predetermined pounds-per-square inch (psi) level. During its
initial descent down the well, the gun encountered a closed or
partially closed downhole valve, so the crew reversed the downward
direction of the wireline, raising it and the attached perforation
gun to the top of the wellbore, close to which Roberts was
standing. A valve in the well tubing below was then opened by a
Cardinal employee, resulting in a sudden increase in pressure in
the wellbore, which presumably caused the gun to fire.7
7
It is not altogether clear from the record whether the
increase of pressure resulting from the opening of the valve
below was the sole cause of detonation of the gun. After
discussing possible ways in which the shear screws that
4
Unfortunately, the shaped charges happened to be aimed in Roberts’s
direction, and he was severely injured when they fired.
In their lawsuit, the Plaintiffs asserted negligence claims
against Roberts’s employer, Cardinal, under the Jones Act,
advancing that he was a seaman. They brought negligence, premises
liability, and strict liability claims against Kerr-McGee as owner
of the platform, asserting responsibility under Louisiana law as
incorporated by reference in the OCSLA.8
Cardinal filed a motion for summary judgment in which it
asserted that Roberts did not have a sufficient temporal connection
to a Cardinal vessel or fleet of vessels to be a Jones Act seaman.
Agreeing with Cardinal as a matter of law, the district court
granted summary judgment and dismissed the Plaintiffs’ claims
against the employer.
Kerr-McGee also filed a motion for summary judgment in which
it asserted that the Plaintiffs could not prevail on any of the
theories of Louisiana law that they proffered under the OCSLA. As
the Plaintiffs did not oppose Kerr-McGee’s summary judgment motion
controlled the actuation of the gun could have been sheared,
however, the engineer’s report concludes: “The exact cause of
the premature firing may be only academic. The fundamental cause
was almost certainly the sudden application of pressure to the
assembly. This has been stated repeatedly in the various reports
and there is no reason to doubt it.” Accordingly, we will refer
to the opening of the valve in the well tubing below the gun,
with the resulting increase in pressure, as the cause of the
gun’s firing.
8
43 U.S.C. § 1333(a)(2)(A).
5
on the premises liability claims asserted under articles 2317.1 and
2322 of the Louisiana Civil Code, the court granted Kerr-McGee’s
motion as to those claims, and the Plaintiffs do not re-urge them
on appeal.
The Plaintiffs conceded that, in its contract with Cardinal
for the performance of the May 1998 p&a operation, Kerr-McGee had
not retained the requisite operational control to support the
imposition of liability for the allegedly negligent acts of its
independent contractor, precluding recovery against Kerr-McGee
vicariously for any negligence of Cardinal. The Plaintiffs
therefore grounded their arts. 2315 and 667 negligence and strict
liability claims against Kerr-McGee on allegations that the use of
a wireline perforation gun in the p&a operation on Kerr-McGee’s
platform was an “ultrahazardous activity.”
The district court granted Kerr-McGee’s summary judgment
motion and dismissed these claims after refusing to classify
wireline perforation as ultrahazardous under Louisiana law because
it is a common activity in the oilpatch that can be and indeed
generally is performed safely. Plaintiffs timely filed a notice of
appeal.
II. Analysis
A. Standard of Review
We review a grant of summary judgment de novo, applying the
6
same standard as the district court.9 A motion for summary
judgment is properly granted only if there is no genuine issue as
to any material fact.10 An issue is material if its resolution
could affect the outcome of the action.11 In deciding whether a
fact issue has been created, we must view the facts and the
inferences to be drawn therefrom in the light most favorable to the
nonmoving party.12
Determination whether an injured worker is a seaman under the
Jones Act is a mixed question of law and fact.13 “If reasonable
persons, applying the proper legal standard, could differ as to
whether the employee was a ‘member of a crew,’ it is a question for
the jury. ... Nonetheless, summary judgment or a directed verdict
is mandated where the facts and the law will reasonably support
only one conclusion.”14 Our review of such a mixed question is
plenary.
9
Morris v. Covan World Wide Moving, Inc., 144 F.3d 377, 380
(5th Cir. 1998).
10
Fed.R.Civ.P. 56(c); Celotex Corp. v. Catrett, 477 U.S.
317, 322 (1986).
11
Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248
(1986).
12
See Olabisiomotosho v. City of Houston, 185 F.3d 521, 525
(5th Cir. 1999).
13
Harbor Tug & Barge Co. v. Papai, 520 U.S. 548, 554
(1997); Chandris, Inc. v. Latsis, 515 U.S. 347, 369 (1995).
14
McDermott International, Inc. v. Wilander, 498 U.S. 337,
356 (1991); see also Papai, 520 U.S. at 554.
7
The standard for summary judgment mirrors that for judgment as
a matter of law.15 Thus, the court must review all of the evidence
in the record, but make no credibility determinations or weigh any
evidence.16 In reviewing all the evidence, the court must disregard
all evidence favorable to the moving party that the jury is not
required to believe, and should give credence to the evidence
favoring the nonmoving party as well as that evidence supporting
the moving party that is uncontradicted and unimpeached.17
B. Seaman Status under the Jones Act
The district court’s grant of Cardinal’s motion for summary
judgment was grounded in the determination that Roberts was not a
seaman, and thus not eligible to recover under the Jones Act. This
conclusion was based on the court’s finding that Roberts did not
have the requisite “substantial connection” to a vessel or an
identifiable fleet of vessels under Cardinal’s common ownership or
control.
The Jones Act provides that “any seaman” who sustains personal
injury in the course of his employment may maintain an action for
damages at law, with the right of a trial by jury.18 The Act does
not define “seaman,” and “therefore leaves to the courts the
15
Celotex Corp., 477 U.S. at 323.
16
Reeves v. Sanderson Plumbing Products, Inc., 530 U.S.
133, 150 (2000).
17
Id. at 151.
18
46 U.S.C. app. § 688.
8
determination of exactly which maritime workers are entitled to
admiralty’s special protection.”19 When Congress enacted the
Longshore and Harbor Workers’ Compensation Act (“LHWCA”)20 in 1927,
it furnished some content to the term “seaman,” albeit indirectly.
The LHWCA provides a remedy for land-based maritime workers who are
injured during their employment, but the Act explicitly excludes
from its coverage “a master or member of a crew of any vessel.”21
In Chandris, Inc. v. Latsis, the Supreme Court reiterated that “the
Jones Act and the LHWCA are mutually exclusive compensation
regimes,” and that the LHWCA’s reference to “a master or member of
a crew” is “a refinement of the term ‘seaman’ in the Jones Act.”22
Thus, the inquiry into seaman status for Jones Act purposes
requires a determination whether the injured plaintiff is a “master
or member of a crew of any vessel.”
In Chandris, the Supreme Court clearly articulated the test to
apply when making this determination:
First,...“an employee’s duties must
‘contribut[e] to the function of the vessel or
to the accomplishment of its mission.’”...
Second, and most important for our purposes
here, a seaman must have a connection to a
vessel in navigation (or to an identifiable
group of such vessels) that is substantial in
19
Chandris, Inc. v. Latsis, 515 U.S. 347, 355 (1995).
20
33 U.S.C. § 901 et seq..
21
Id. § 902(3)(G); see also Chandris, 515 U.S. at 355.
22
Chandris, 515 U.S. at 355-56.
9
terms of both its duration and its nature.23
The purpose of the test stated by the court in Chandris and
reaffirmed in Harbor Tug & Barge Company v. Papai24 is to
separate the sea-based maritime employees who
are entitled to Jones Act protection from
those land-based workers who have only a
transitory or sporadic connection to a vessel
in navigation, and therefore whose employment
does not regularly expose them to the perils
of the sea.25
With respect to the inquiry into whether the injured worker’s
connection to a vessel is substantial in terms of both duration
(the temporal prong) and nature (the functional prong), the
Chandris Court emphasized that the test is conjunctive, stating
that “we think it is important that a seaman’s connection to a
vessel in fact be substantial in both respects.”26 The Chandris
Court further clarified the application of the temporal prong of
the test when it offered the following guidance for determining
whether a plaintiff’s connection to a vessel is substantial in
duration:
Generally, the Fifth Circuit seems to have
identified an appropriate rule of thumb for
23
Id. at 368 (quoting McDermott Int’l, Inc. v. Wilander,
498 U.S. 337, 355 (1991) (quoting Offshore Co. v. Robison, 266
F.2d 769, 779 (5th Cir. 1959))).
24
520 U.S. 548 (1997).
25
Chandris, 515 U.S. at 368; see also Papai, 520 U.S. at
560; Hufnagel v. Omega Service Industries, Inc., 182 F.3d 340,
346 (5th Cir. 1999).
26
Chandris, 515 U.S. at 371 (emphasis added).
10
the ordinary case: A worker who spends less
than about 30 percent of his time in the
service of a vessel in navigation should not
qualify as a seaman under the Jones Act. This
figure of course serves as no more than a
guideline established by years of experience,
and departure from it will certainly be
justified in appropriate cases....
Nevertheless, we believe that courts,
employers, and maritime workers can all
benefit from reference to these general
principles. And where undisputed facts reveal
that a maritime worker has a clearly
inadequate temporal connection to vessels in
navigation, the court may take the question
from the jury by granting summary judgment or
a directed verdict.27
Synthesizing these refinements leads to the understanding that the
plaintiff who fails to show that his connection to a vessel in
navigation is substantial in duration will be precluded from
recovering as a seaman under the Jones Act, and that, as a general
rule, he must show this by demonstrating that 30 percent or more of
his time is spent in service of that vessel.
The 30 percent floor does not change when an “identifiable
group” of vessels in navigation is at issue, rather than just one
vessel. In addressing the case before us in St. Romain v.
Industrial Fabrication and Repair Service, Inc.,28 we summarized our
ruling in Hufnagel v. Omega Service Industries, Inc.29 observing,
27
Id.
28
203 F.3d 376 (5th Cir. 2000).
29
182 F.3d 340 (5th Cir. 1999).
11
We held that Hufnagel did not qualify as a
seaman because he could not establish a
substantial connection to either a single
vessel or to an identifiable fleet of
vessels....Our decisions after Bertrand have
reaffirmed the essential principle that to
qualify as a seaman an employee must establish
an attachment to a vessel or to an
identifiable fleet of vessels.30
We have left no doubt that the 30 percent threshold for determining
substantial temporal connection must be applied, regardless of
whether one vessel or several are at issue.
Finally, the Court has constructed the framework for
determining the presence of “an identifiable group of vessels.” In
Chandris, reviewing the development of the substantial connection
requirement, the Court discussed our modification of the test for
seaman status when more than a single vessel is involved:
Soon after Robison, the Fifth Circuit modified
the test to allow seaman status for those
workers who had the requisite connection with
an “identifiable fleet” of vessels, a finite
group of vessels under common ownership or
control.31
Subsequently, in Papai, the Court expounded further on this point:
30
St. Romain, 203 F.3d at 379-380 (emphasis added). See
also Chandris, 515 U.S. at 367 (“Since Barrett, the Fifth Circuit
consistently has analyzed the problem in terms of the percentage
of work performed on vessels for the employer in question–and has
declined to find seaman status where the employee spent less than
30 percent of his time aboard ship.”).
31
Chandris, 515 U.S. at 366 (citing Braniff v. Jackson
Avenue-Gretna Ferry, Inc., 280 F.2d 523, 528 (5th Cir.
1960))(emphasis added).
12
We...adverted to the group of vessels concept
in Chandris. We described it as a rule
“allow[ing] seaman status for those workers
who had the requisite connection with an
‘identifiable fleet’ of vessels, a finite
group of vessels under common ownership or
control.”...
In deciding whether there is an identifiable
group of vessels of relevance for a Jones Act
seaman-status determination, the question is
whether the vessels are subject to common
ownership or control.32
For purposes of the Plaintiffs’ Jones Act claims against
Cardinal, the issue of seaman status turns on whether Roberts
satisfied the temporal prong of the substantial connection test.
The Plaintiffs insist that the district court erred in its
application of the 30 percent guideline when it counted only the
time that Roberts spent on Cardinal’s liftboats and disregarded the
time that he spent on other Cardinal vessels and on vessels owned
by third parties. According to a breakdown of Roberts’s work time,
he spent 21.45 percent of his time in a shop on land, 37.24 percent
of his time performing p&a work on platforms with no vessel
involvement, 13.54 percent of his time performing p&a work on
platforms with third-party vessels alongside, 24.88 percent of his
time performing p&a work on platforms with a Cardinal liftboat
alongside, 1.99 percent of his time in transit on Cardinal vessels,
32
Harbor Tug & Barge Co. v. Papai, 520 U.S. 548, 556-57
(1997) (quoting Chandris, 515 U.S. at 366) (internal citations
omitted) (emphasis added).
13
and .9 percent of his time performing p&a work on the CARDINAL 1,
a Cardinal-owned vessel. The district court stated that “Roberts
only spent 24.88% of his time assigned to Cardinal boats.”
Roberts contends that his time in transit and his time on the
CARDINAL 1 should be included, and, more significantly, that the
time he spent on platforms with an adjacent third-party vessel
should be included as well. If only Roberts’s transit time and
CARDINAL 1 time were to be added, he would still fall short of the
30 percent threshold, aggregating a total of but 27.77 percent;
only if his third-party vessel time were counted would his total
time on board vessels “of common ownership or control” rise above
30 percent, to 41.31 percent.33
The Plaintiffs contend that the work time involving third-
party vessels should be counted. They declare that the “temporal
connection establishing a 30 percent rule of thumb is meant to
determine whether an employee is sea-based versus land-based. It
33
We note, as did the district court, that Roberts also
asserted in his deposition that three projects on which he worked
for Cardinal were billed as platform jobs, but were actually
performed on Cardinal liftboats. This could indeed change the
calculation, had Roberts offered some evidence other than just
his own conclusional statements to counter Cardinal’s evidence in
the form of invoices for those jobs that do not indicate the use
of a Cardinal liftboat on the jobs. As the district court
correctly noted, “[c]onclusory [sic] statements in an affidavit
do not provide facts that will counter summary judgment evidence,
and testimony based on conjecture alone is insufficient to raise
an issue to defeat summary judgment.” Lechuga v. Southern
Pacific Transportation Co., 949 F.2d 790, 798 (5th Cir. 1992)
(footnotes omitted).
14
is not meant to be applied to the fleet requirement.” It is
generally true, as we noted above, that the fundamental purpose of
the seaman-status inquiry is to separate the sea-based maritime
employees who are entitled to Jones Act protection from the land-
based employees who must find a remedy under the LHWCA. The
Plaintiffs are flatly wrong, however, when they assert that the 30
percent guideline is not meant to be applied to the fleet
requirement. Indeed, application of the 30 percent test is the
very means by which a substantial temporal connection is
determined, regardless whether a single vessel or a group of
vessels is at issue. And, when a group of vessels is at issue, a
worker who aspires to seaman status must show that at least 30
percent of his time was spent on vessels, every one of which was
under his defendant-employer’s common ownership or control. As
recently as Hufnagel, we reaffirmed our commitment to this
application of the 30 percent test, and we do so yet again today.34
We acknowledge Chandris’s insistence that “[the 30 percent
threshold] serves as no more than a guideline established by years
of experience, and departure from it will certainly be justified in
34
Hufnagel, 182 F.3d at 348 (“‘We reject the notion that
fleet of vessels in this context means any group of vessels an
employee happens to work aboard.’...[A] group of vessels will
only qualify where it is a specific, identifiable fleet or a
finite group of vessels, subject to common ownership or control.”
(quoting Barrett v. Chevron, U.S.A., Inc., 781 F.2d 1067, 1074
(5th Cir. 1986) (emphasis omitted)).
15
appropriate cases.”35 We recognize as well that if all of Roberts’s
time aboard Cardinal-owned vessels were to be counted, he would
come quite close (27.7 percent) to meeting the 30 percent
requirement. Nevertheless, we do not perceive the instant case to
be one that justifies an exceptional departure from the 30 percent
test. In Wisner v. Professional Divers of New Orleans,36 the
Louisiana Supreme Court relied on our language in Bertrand v.
International Mooring & Marine, Inc.37 and Wallace v. Oceaneering
International38 to reverse a grant of summary judgment against a
commercial diver. The Wisner court classified the diver as a
seaman, despite the fact that he did not have a substantial
connection to a fleet under common ownership or control, because
the diver “faced regular exposure to the perils of the sea.”39
Specifically, the Wisner court concluded,
In sum, the formulations or “tests” employed
by the various courts are simply different
ways to arrive at the same basic point: the
Jones Act remedy is reserved for sea-based
maritime employees whose work regularly
exposes them to “the special hazards and
disadvantages to which they who go to sea in
35
Chandris, 515 U.S. at 371.
36
731 So.2d 200 (La. 1999).
37
700 F.2d 240 (5th Cir. 1983).
38
727 F.2d 427 (5th Cir. 1984).
39
Wisner, 731 So.2d at 202.
16
ships are subjected.”40
We consider the subsequent treatment by a Louisiana Court of
Appeal, curtailing the Wisner opinion, to be apt. In the post-
Wisner case of Little v. Amoco Production Company,41 the state
appellate court noted first that the United States Supreme Court’s
interpretations are controlling in matters of federal law, clearly
indicating that, in any disagreement between the application in
Wisner and the test adopted in Chandris and Papai, the test
enunciated in the latter controls.42 More substantively, the court
of appeal posited that Wisner could be classified as falling within
a “well-established exception” to the general 30 percent
substantial connection requirement.43 The exception, as defined by
language in our pre-Chandris decision in Bertrand, would be that
“Jones Act coverage should not be withheld because the vessels are
not under the employer’s common ownership or control, when
claimants are continuously subjected to the perils of the sea and
engaged in classical seaman’s work.”44 The court of appeal in
40
Id. at 205 (quoting Chandris, Inc. v. Latsis, 515 U.S.
347, 370 (1995) (citing Seas Shipping Co. v. Sieracki, 328 U.S.
85, 104 (1946) (Stone, C.J., dissenting))).
41
734 So.2d 933 (La. App. 1 Cir. 1999).
42
Id. at 938.
43
Id..
44
Id. (quoting Bertrand v. Int’l Mooring & Marine, Inc.,
700 F.2d 240, 245 (5th Cir. 1983)).
17
Little, still highlighting the Wisner court’s reliance on our
language, noted that “[a] diver’s work necessarily involves
exposure to numerous marine perils, and is inherently maritime
because it cannot be done on land. It is not, like so many
offshore field occupations, an art developed in land work and
transposed to a maritime setting.”45
In St. Romain v. Industrial Fabrication and Repair Service,
Inc., we refused to classify a p&a worker like Roberts as a seaman
when he failed to establish that he had a substantial connection to
an identifiable fleet of vessels.46 This holding alone is
conclusive; but if any doubt remained because Roberts’s time aboard
Cardinal vessels comes close to the 30 percent threshold, the
Little court’s reconciliation of Wisner with United States Supreme
Court precedent extinguished that doubt as well.
Even though a professional diver is peculiarly —— and totally
—— subject to the perils of the sea and thus may, under special
circumstances, qualify as a seaman without showing the requisite
degree of temporal connection, a p&a crewman, who practices “an art
developed in land work and transposed to a maritime setting,”
cannot. The Plaintiffs have failed to demonstrate the presence of
all elements of the conjunctive test for Roberts’s seaman status,
45
Id. (quoting Wallace v. Oceaneering International, 727
F.2d 427, 436 (5th Cir. 1983)) (emphasis added).
46
203 F.3d 376, 379-80 (5th Cir. 2000).
18
and their attempt to bring him within a possible exception to the
rule fails. Accordingly, we see no reason to depart from our well-
established rule, as reaffirmed in Hufnagel and St. Romain, that a
worker who fails to show that at least 30 percent of his time is
spent on vessels under the common ownership or control of his
employer is precluded from recovering as a seaman under the Jones
Act. We therefore affirm the district court’s grant of summary
judgment in favor of Cardinal.
C. Use of Wireline Perforation Gun an Ultrahazardous Activity
under Louisiana Law.
The Plaintiffs appeal the district court’s grant of summary
judgment in favor of Kerr-McGee, dismissing their claims for
vicarious and strict liability under Louisiana Civil Code arts.
2315 and 667. They assert that the district court erred when it
determined that Kerr-McGee’s independent contractor, Cardinal, was
not engaged in an ultrahazardous activity while using the
perforating gun in conducting the p&a job for Kerr-McGee. The
Plaintiffs focus particularly on the district court’s refusal to
include wireline perforation within the ultrahazardous category of
“blasting with explosives.” Agreeing that wireline perforation is
not congruent with “blasting with explosives” as that term is used
in art. 667, and being convinced that wireline perforation does not
satisfy Louisiana’s broader jurisprudential test for ultrahazardous
activities, we affirm the district court’s grant of Kerr-McGee’s
19
summary judgment dismissing the Plaintiffs’ claims under arts. 2315
and 667.
1. The Article 2315 Claim.
a. Framework
Before we proceed to analyze the Plaintiffs’ negligence and
vicarious liability claims against Kerr-McGee, an abbreviated
review of the application of Louisiana’s basic tort provision, art.
2315, appears to be in order. That article states that “[e]very
act whatever of man that causes damage to another obliges him by
whose fault it happened to repair it.”47 Classically, a tort in
Louisiana comprises art. 2315's four indispensable elements: act,
damage, cause, and fault. The Louisiana Supreme Court observed in
Langlois v. Allied Chemical Corp.48 that “[f]ault is the key word
in art. 2315.”49 In construing “fault” in art. 2315, Langlois
further explained, the courts “[go] to the many other articles in
our Code as well as statutes and other laws which deal with the
responsibility of certain persons, the responsibility in certain
relationships, and the responsibility which arises due to certain
types of activities.”50 In particular, noted the Langlois court,
47
La. Civ. Code Ann. art. 2315 (emphasis added).
48
249 So.2d 133 (La. 1971)(overruled by statute on other
grounds).
49
Id. at 136.
50
Id. at 137.
20
there is “sound jurisprudential authority that liability for
dangerous and hazardous activities of man flows from Civil Code
Article 2315 by analogy with other Civil Code Articles.”51
In our review of Louisiana law in Perkins v. F. I. E. Corp.,52
we took cognizance of the Louisiana courts’ adherence to the
structure established in Langlois, most notably, for purposes of
the instant case, the imposition of liability for ultrahazardous
activities under art. 2315 by analogy to art. 667.53 As we also
noted in Perkins, however, the Louisiana Supreme Court, in Kent v.
Gulf States Utilities Co.,54 later seemed to “cast liability for
ultrahazardous activities directly upon art. 2315 alone, without
relying, either directly or by analogy, on any other codal [sic]
article.”55 Referred to as absolute liability, or liability without
fault, this concept is perhaps more easily understood when viewed
as “legal fault” or fault supplied by law. Thus, art. 2315's fault
element is imputed, i.e., supplied by law, when designated persons
elect to engage in particularly high-risk activities, even though
51
Id. at 139 (citing Egan v. Hotel Grunewald Co., 55 So.
750 (1911)); see also Perkins v. F. I. E. Corp., 762 F.2d 1250,
1259 (5th Cir. 1985)(tracing the development of Louisiana law
with respect to the imposition of liability under art. 2315 for
conducting ultrahazardous activities).
52
762 F.2d 1250 (5th Cir. 1985).
53
Id. at 1261.
54
418 So.2d 493 (La. 1982).
55
Perkins, 762 F.2d at 1261.
21
they perform them lawfully, skillfully, and free of negligent or
intentional fault in the usual sense.56 To date, the
jurisprudential list of such activities includes only aerial crop
dusting, storing hazardous materials, pile driving, and blasting
with explosives.
b. Activities Ultrahazardous De Jure
Within this framework, the Plaintiffs’ claims against Kerr-
McGee must be analyzed against the backdrop of vicarious tort
liability under Louisiana law. A well-established general rule
under Louisiana law is that a principal is not liable for the
delictual or quasi-delictual offenses (torts) committed by an agent
who is an independent contractor in the course of performing its
contractual duties.57 There are, however, two equally well-
established exceptions to this rule: A principal may be liable (1)
if it maintains operational control over the activity in question,
or (2) if, even absent such control, the activity engaged in by the
56
See, e.g., Kent v. Gulf States Utilities Co., 418 So.2d
493, 498 (La. 1982) (explaining that “liability is imposed [upon
the enterpriser] as a matter of policy when harm results from the
risks inherent in the nature of the [ultrahazardous] activity”
even though the enterpriser may not have been “negligent in any
respect”).
57
Ainsworth v. Shell Offshore, Inc., 829 F.2d 548, 549 (5th
Cir. 1987), cert. denied, 485 U.S. 1034 (1988); Triplette v.
Exxon Corp., 554 So.2d 1361, 1362 (La. App. 1st Cir. 1989).
22
independent contractor is “ultrahazardous.”58 Given the Plaintiffs’
concession that Kerr-McGee did not retain the requisite operational
control over Cardinal, Kerr-McGee could only be held liable in tort
for damages caused to the Plaintiffs when Cardinal’s wireline
perforating gun discharged accidentally if that independent
contractor’s use of the device constituted an ultrahazardous
activity and produced the injury. Thus, the dispositive question
here is whether Cardinal’s use of the wireline perforation gun in
the p&a activity that it was performing for Kerr-McGee, being the
activity that inflicted injury on Roberts, was ultrahazardous.59
Under Louisiana law, an activity may be ultrahazardous either
as a matter of law or by classification under the test that has
been created judicially. Again, activities that have been
categorized in Louisiana as ultrahazardous as a matter of law are
(1) storage of toxic gas, (2) crop dusting with airplanes, (3) pile
driving, and (4) blasting with explosives.60 As the Louisiana
58
Ainsworth, 829 F.2d at 549-50; Triplette, 554 So.2d at
1362-63.
59
We note Kerr-McGee’s assertion that, in any case, it was
not “directly engaged” in wireline perforation, as required by
the test for imposing liability on the principal. As we join the
district court in ruling that wireline perforation is not an
ultrahazardous activity, we do not reach the question whether
Kerr-McGee was engaged in the activity by virtue of its
independent contractor’s engagement in the activity.
60
Kent v. Gulf States Utilities Co., 418 So.2d 493, 498
(La. 1982)(citing Langlois v. Allied Chemical Corp., 249 So.2d
23
Supreme Court observed in Kent v. Gulf States Utilities, each of
these four undertakings is an activity that “can cause injury to
others, even when conducted with the greatest prudence and care.”61
This concept is embodied in the jurisprudential test for
ultrahazardous activities that we outlined in Perkins v. F. I. E.
Corp.62 Under the Perkins test, an activity is ultrahazardous if
it (1) relates to land or to other immovables; (2) causes the
injury, and the defendant was directly engaged in the injury-
producing activity; and (3) does not require the substandard
conduct of a third party to cause injury.63
The Plaintiffs insist that wireline perforation is a
manifestation of “blasting with explosives,” and should therefore
be classified as an ultrahazardous activity as a matter of law. We
disagree. In Fontenot v. Magnolia Petroleum Co.,64 the case that
decreed “blasting with explosives” to be an ultrahazardous
activity, the Louisiana Supreme Court reversed a judgment in favor
of defendants whose geophysical exploration activities on the
133 (La. 1971); Gotreaux v. Gary, 94 So.2d 293 (La. 1957); Craig
v. Montelepre Realty Co., 211 So.2d 627 (La. 1968); Fontenot v.
Magnolia Petroleum Co., 80 So.2d 845 (La. 1955)).
61
Kent, 418 So.2d at 498.
62
762 F.2d 1250 (5th Cir. 1985).
63
Id. at 1267-68.
64
80 So.2d 845 (La. 1955).
24
property of one owner caused damage to the plaintiffs’ homes on
adjoining land. The geophysical operations involved the
intentional detonation of 10-pound charges of Nitramon “S” at a
depth of approximately 70 feet below the surface, and the damage to
the plaintiffs’ homes (including cracks in walls and ceilings, and
broken cement foundations) was alleged to have resulted from the
“vibrations and concussions radiating in the soil from the point of
the explosions conducted by defendants.”65 The Fontenot court
observed:
It has been universally recognized that when,
as here, the defendant, though without fault,
is engaged in a lawful business, conducted
according to modern and approved methods and
with reasonable care, by such activities
causes risk or peril to others, the doctrine
of absolute liability is clearly applicable.66
Stated differently, even though the blasting may have been
conducted responsibly and according to the latest accepted methods,
the defendants were nonetheless accountable for any unavoidable
damage that flowed from the activity.
Subsequently, in Schexnayder v. Bunge Corp.,67 we characterized
Fontenot as involving “purposeful subterranean explosions in
connection with oil exploration,” and approved the trial court’s
65
Id. at 846-47.
66
Id. at 849.
67
508 F.2d 1069 (5th Cir. 1975).
25
jury instruction on ultrahazardous activities, which stated that
“[a]n ultra-hazardous activity is an activity which [sic], even
when conducted with the greatest of care and prudence, could cause
a foreseeable harm or damage to those in the neighborhood.”68 Thus,
for over a quarter-century we have adhered to the Louisiana Supreme
Court’s reasoning in Fontenot for classifying the subsurface
detonation of explosives as ultrahazardous: Foreseeably, such an
activity could cause unavoidable collateral damage to neighbors,
even if conducted with due care.
Lowering a perforation gun down a well on a wireline and
firing it to pierce drill pipe or tubing in an oil and gas well
simply does not fit within this rubric. In sharp contrast to the
damage incurred by the neighbors in Fontenot, which was inflicted
on structures located off the owners’ premises by the inevitable,
omni-directional underground shock waves produced by the
intentional blasting on the owners’ premises, the injuries incurred
by Roberts were caused by the accidental detonation of the shaped-
charge ammunition of the perforation gun, not downhole as intended
but at the surface of the owner’s premises, i.e., on the Kerr-McGee
fixed platform. As we have noted, a perforation gun’s shaped
charges fire only in the direction toward which their open, conical
ends are pointed. When conducted “according to modern and approved
68
Id. at 1072 n.3.
26
methods and with reasonable care,”69 a perforating gun is lowered
down a well to a predetermined depth, is fired in one or more
predetermined directions, produces a force sufficient only to
pierce the tubing or casing, and, at most, a matter of but several
additional inches of the adjacent formation. The firing of the
shaped charges causes virtually no incidental damage to the gun or
the wellbore, and no collateral damage whatsoever by way of
vibrations, even to the owner’s premises, much less to adjoining
property, no matter how proximate.
In the unfortunate occurrence that injured Roberts, the
business end of the shaped charges —— like the muzzle of a gun ——
happened to be pointed in his direction at a time when the gun was
at the surface rather than downhole. His severe injuries were a
direct, primary result of the gun’s accidental firing, not
collateral damage from shock waves or vibrations. And the
unintentional firing of the gun was caused by an act of man,
presumably the opening of the valve, in turn causing a spike in
pressure. We therefore reject the Plaintiffs’ contention that the
wireline perforation activity during which Roberts was injured is
a variety of blasting with explosives and thus ultrahazardous as a
matter of law.
c. Ultrahazardous De Facto
69
Fontenot, 80 So.2d at 849.
27
Wireline perforation also fails to meet at least one of the
three conjunctive prongs of the broader Perkins test for
ultrahazardousness under Louisiana law. The parties agree that
wireline perforation of a well in connection with a p&a operation
relates to land or to other immovables, and we shall assume
arguendo that, through Cardinal, its independent contractor, Kerr-
McGee was “directly engaged” in the wireline perforation activity
even though the requisite control over Cardinal had not been
retained by Kerr-McGee.70 Thus, we are concerned here only with the
third prong of the Perkins test, whether wireline perforation is an
activity that “can cause injury to others, even when conducted with
the greatest prudence and care.”71 For essentially the same reasons
that distinguish the perforation activity from blasting with
explosives, we hold that the former is not a manifestation of the
latter.
First, there is ample evidence in the record to support the
contention that wireline perforation, whether employing
electrically or pressure-activated firing heads to detonate the
shaped charges, can be, and indeed generally is, safely performed
thousands of times a year. There is further evidence suggesting
70
See supra note 59 and accompanying text.
71
Perkins v. F. I. E. Corp., 762 F.2d 1250, 1268 (5th Cir.
1985) (quoting Kent v. Gulf States Utilities Co., 418 So.2d 493,
498) (La. 1982)).
28
that when the (infrequent) accident does occur in connection with
wireline perforation, it is directly traceable to human error,
either in the initial choice to employ a pressure-activated device
in a particular well, or in the failure correctly to follow safety
procedures. These features of wireline perforation are similar to
the transmission of electricity over power lines which was the
challenged activity in Kent. Regarding that activity, the Kent
court stated that “the transmission of electricity over isolated
high tension power lines is an everyday occurrence in every parish
in this state and can be done without a high degree of risk of
injury.”72 The same can be said with equal certainty of wireline
perforation of oil and gas wells. We therefore conclude that,
unlike the stereotypical ultrahazardous activities recognized by
statutes and courts of Louisiana, wireline perforation “is likely
to cause damage only when there is substandard conduct on someone’s
part.”73 None can dispute that this declaration is applicable to
the sequence of events that transpired in the instant accident; it
apparently occurred when someone opened the downhole valve, which
increased the pressure, causing the perforation gun to fire while
it was at the surface rather than hundreds of feet down the
72
Kent, 418 So.2d at 498-99.
73
CNG Producing Co. v. Columbia Gulf Transmission Corp.,
709 F.2d 959, 962 (5th Cir. 1983)(emphasis in original).
29
wellbore, as intended.
This position is consistent with our prior decisions. In
Ainsworth v. Shell Offshore, Inc.,74 we concluded that “drilling
operations do not satisfy the third [element of the Perkins test],”
holding that such activities were not ultrahazardous.75 As observed
by the district court and reiterated above, wireline perforation is
performed frequently in conjunction with both enhancing the flow of
oil and gas in a well and plugging and abandoning particular strata
or entire wells. This comports with the intermediate appellate
court’s observation in Bergeron v. Blake Drilling & Workover Co.,
Inc.76 that “[a] well cannot produce oil or gas unless it is
perforated. Thus, perforation is an internal and indispensable
element of every well.”77 Wireline perforation is therefore easily
classifiable as a “drilling operation,” and thus not ultrahazardous
under Ainsworth.
We distinguish our holding today from the Bergeron court’s
holding which at first blush appears to be to the contrary. In
Bergeron, a Louisiana court of appeal stated, “even if one found
that perforating was not ultrahazardous[,] a finding that
74
829 F.2d 548 (5th Cir. 1987).
75
Id. at 550.
76
599 So.2d 827 (La.App. 1 Cir. 1992).
77
Id. at 840.
30
perforating is a [sic] inherently and intrinsically dangerous work
is unavoidable.”78 As the district court in the instant case
correctly noted, however, the Bergeron court stopped short of
classifying wireline perforation as an “ultrahazardous activity,”
characterizing it instead as “inherently dangerous,” in the law of
Louisiana a distinctly different term of art. Here, the district
court continued:
By holding Kerr-McGee liable under article
2315 for [an] “inherently dangerous” activity,
this Court would be expanding the Louisiana
Supreme Court’s policy behind ultrahazardous
activity as announced in [Kent]. In Kent, the
Louisiana Supreme Court held that the
ultrahazardous activity classification “was
created for the rare instances in which the
activity can cause injury to others, even when
conducted with the greatest prudence and
care.” This Court does not find that an
“inherently dangerous” activity fits within
the “special category” of ultrahazardous
liability.79
We adopt this reasoning, adding only the observation that the
perforating gun in Bergeron had a firing head that was activated by
electricity, not by pressure as in the instant case.80 In contrast
to electrical firing of some perforation guns, only the external
78
Id. at 839.
79
Roberts v. Cardinal Services, Inc., 2000 WL 1300390, at
*3 (E.D.La. 2000) (internal citations omitted).
80
Bergeron, 599 So.2d at 838-39 (reporting that “[t]he gun
consists of high explosives and a blasting cap to detonate the
shaped cartridges”).
31
application of sufficient psi of pressure can detonate a pressure-
activated firing head like the one involved in Roberts’s injury.
Thus, the difference between an activity that is inherently
dangerous and one that is ultrahazardous serves to distinguish
Bergeron from the instant case, and the difference in the risk of
accidental discharge between the firing devices involved in the two
cases distinguishes them even further.
In summary, when we view the operable facts of the instant
case in the light most favorable to the Plaintiffs as non-movants,
we are satisfied that use of a wireline perforation gun in a p&a
operation cannot be held to be an ultrahazardous activity, either
de jure or de facto. Not only is such perforation factually
distinguishable from “blasting with explosives,” an actuality that
would render such perforation an ultrahazardous activity as a
matter of law were it not distinguishable; wireline perforation
also fails to satisfy the third prong of the Perkins test, which
requires the activity to be one that is likely to cause injury to
others, even when conducted with the greatest prudence and care.
This simply cannot be said of wireline perforation, which is
conducted routinely in oilfield drilling, completing, producing,
and plugging operations; and in which even the extremely infrequent
accident is traceable to substandard human conduct.
The imposition of liability on a principal for acts of an
32
independent contractor is permitted only in narrow circumstances.
Like the district court before us, we are not willing to increase
the range of circumstances when the courts and legislature of
Louisiana have not seen fit to do so. Our pronouncement in CNG
Producing Co. remains as true today as when it was uttered: “We
would not subject this activity to strict liability without certain
directions from the Louisiana courts”81 to which we would add, “or
the Legislature.”
2. The Article 667 Claim
The Plaintiffs do not make altogether clear whether (1) they
assert two completely separate and distinct strict liability claims
against Kerr-McGee, one for vicarious tort liability under art.
2315, and another for ownership liability under art. 66782; or (2)
81
CNG Producing Co. v. Columbia Gulf Transmission Corp.,
709 F.2d 959, 962 (5th Cir. 1983).
82
Article 667 provides, in pertinent part:
Although a proprietor may do with his estate whatever
he pleases, still he cannot make any work on it, which
may deprive his neighbor of the liberty of enjoying his
own, or which may be the cause of any damage to him.
... [The proprietor] is answerable for damages only
upon a showing that he knew or...should have known that
his works would cause damage, that the damage could
have been prevented .... Nonetheless, the proprietor
is answerable for damages without regard to his
knowledge or his exercise of reasonable care, if the
damage is caused by an ultrahazardous activity. An
ultrahazardous activity as used in this Article is
strictly limited to pile driving or blasting with
explosives.
33
they assert but one claim, in which they merely seek to analogize
art. 667's strict liability for blasting with explosives on the
premises with art. 2315's vicarious liability for its independent
contractor’s wireline perforation with the gun’s shaped charges.
As the district court made a discrete ruling under art. 667,
however, we shall address the Plaintiffs’ strict liability charge
on the assumption that they asserted such a claim separately under
art. 667. When we do so, we discern two distinct reasons why the
Plaintiffs cannot recover under art. 667, one substantive and the
other jurisdictional.
The substantive reason should by now be obvious: The
foregoing analysis exhaustively demonstrates why downhole wireline
perforation for either completing an oil or gas well or plugging
and abandoning one does not equate with blasting with explosives.
That applies with equal force when that activity is tested under
the exclusive list of but two ultrahazardous activities that are
exceptions under art. 667, i.e., blasting with explosives and pile
driving. As wireline perforation is not a manifestation of
blasting with explosives for tort law purposes in Louisiana, that
very same activity cannot logically be ultrahazardous for purposes
of art. 667. Therefore, injury resulting from wireline perforation
operations on Kerr-McGee’s premises cannot subject Kerr-McGee, as
La. Civ. Code Ann. art. 667 (emphasis added).
34
proprietor, to liability without fault under art. 667, so the
Plaintiffs cannot prevail on their claims under that article. Thus
they have failed to state a cause of action under that code
article.
Second, the Plaintiffs have no right of action under art. 667;
jurisdictionally, they do not have standing to sue Kerr-McGee as
the “proprietor” of the platform which is not only Kerr-McGee’s
“estate” but is also the same immovable on which Roberts was
working when he was injured. Roberts was not on adjacent or
adjoining property; neither was he a “neighbor” deprived of the
enjoyment of his own estate. Yet art. 667 clearly requires those
elements to be present for a plaintiff to have standing to sue a
“proprietor” for damages caused by even an ultrahazardous activity
lawfully conducted on his immovable: The activity on the
defendant’s premises must damage the neighbor or the neighboring
“estate.”
Differing from Louisiana’s tort doctrine (which is established
in arts. 2315 et seq. in Book III Title V, entitled Obligations
Arising Without Agreement), art. 667 appears in Book II, Title IV,
entitled Predial Servitudes; specifically, in section 1,
Limitations of Ownership, of Chapter 3, Legal Servitudes. The
basic term, servitude, is not defined in the Civil Code but is
generally understood to be an obligation owed by one “estate,”
35
referred to as the “servient estate,” either to designated persons
or to another estate, referred to as the “dominant estate.” There
are two kinds of servitudes, personal and predial.83 “A personal
servitude is a charge on a thing for the benefit of a person,”84 of
which there are but three: usufruct, habitation, and the right of
use.85 In contrast, a “predial servitude is a charge on a servient
estate for the benefit of a dominant estate,” which two estates
must belong to different owners.86 The two immovables that
constitute the two estates —— dominant and servient —— need not be
contiguous or within any given proximity,87 and the predial
servitude itself is an immovable, albeit incorporeal.88
Among predial servitudes are included (1) natural servitudes,
such as drainage, (2) legal servitudes, which are those established
by law, and (3) conventional servitudes, which are established by
contract. Article 667 is applicable to legal servitudes and covers
such obligations of neighborhood as keeping buildings in repair,89
83
La. Civ. Code Ann. art. 533.
84
La. Civ. Code Ann. art. 534.
85
Id.
86
La. Civ. Code Ann. art. 646.
87
La. Civ. Code Ann. art. 648.
88
La. Civ. Code Ann. art. 649.
89
La. Civ. Code Ann. art. 660.
36
building projections across property lines,90 building encroachments
on adjoining property,91 common walls,92 and right of passage to and
from an enclosed estate.93 Article 667 is aptly titled “Limitations
on use of property.”
In distinguishing actions under art. 2315 on the one hand and
those under arts. 667 and 668 on the other, Professor A. N.
Yiannoupoulos has written
The question arises, therefore, as to the
interrelations of articles 2315, 667, and 668.
Specifically, does the broadened notion of
fault under article 2315 render the notion of
liability without negligence under articles
667 and 668 unnecessary? It is submitted that
this is not the case: the two sets of
provisions may overlap in part but continue to
establish distinct grounds of responsibility.
Article 2315 establishes responsibility under
the law of delictual obligations for all
injuries to persons and property. Articles
667 and 668 establish specifically
responsibility for damage to property and
persons in the context of neighborhood,
namely, under rules of property law. It is
conceivable that liability may rest on either
ground exclusively or on both cumulatively.
Indeed, a plaintiff may satisfy the terms and
conditions of both sets of articles and may
have two distinct causes of action for a
single recovery, one resting on the precepts
of the law of obligations and the other on
90
La. Civ. Code Ann. art. 663.
91
La. Civ. Code Ann. art. 670.
92
La. Civ. Code Ann. art. 673 et seq.
93
La. Civ. Code Ann. art. 689 et seq.
37
precepts of the law of property; or he may
have a cause of action either under article
2315 or under articles 667 and 668.94
Although courts and commentators disagree about the nature of
the interest that a plaintiff must have to bring an action under
art. 667, all appear to agree that the plaintiff must have some
interest in an immovable near the defendant-proprietor’s immovable.
For example:
E. Who Can Bring the Action?
To be a “neighbor” one need not be an
adjoining landowner; as article 651 says[,]
“it suffices that they [the lands] be
sufficiently near, for one to derive benefit
from the servitude on the other.”...Because
article 667 appears among those dealing with
servitudes, and because article 666 provides
that these servitudes are imposed by law “upon
the proprietors...towards one another,” it
seems clear that the plaintiff must have a
property interest....95
and,
We find that certain persons other than
landowners have the requisite interest to
entitle them to institute an action based on
Article 667....
Because the servitude is established for the
benefit of the estate rather than for the
owners personally, those who have a
94
Yiannopoulos, A.N., Civil Responsibility in the Framework
of Vicinage: Articles 667-69 and 2315 of the Civil Code, 48 TUL.
L. REV. 195, 223 (1974).
95
Stone, Ferdinand Fairfax, Tort Doctrine in Louisiana:
The Obligations of Neighborhood, 40 TUL. L. REV. 701, 711 (1966)
(emphasis added).
38
proprietary interest in the estate as outlined
by Professor Stone have the standing to bring
an action under Article 667.96
and, again,
We are of the further opinion that the word
“neighbor” as used in Article 667 is
indefinite and refers to any land owner whose
property may be damaged irrespective of the
distance his property may be from that of the
proprietor whose work caused the damage.97
To summarize this point, art. 667 authorizes an action by a
“neighbor” against the owner of an immovable (“proprietor”) for
damage that the neighbor suffered by virtue of an activity
conducted on the proprietor’s premises. To show that he is a
“neighbor,” and thus legally entitled (standing; right of action)
to maintain an art. 667 action, a plaintiff must show some type of
ownership interest in immovable property near that of the
proprietor.
In completing this analysis, we note that, in 1977,
Louisiana’s legislature amended portions of the Civil Code
pertinent to this analysis. Prior to the amendment, art. 666
96
Salter v. B.W.S. Corp., 281 So.2d 764, 767-68 (La. App.
3d Cir. 1973) (emphasis added). See also Yiannopolous, supra
note 94, at 206 (“Articles 667 and 668 seem to involve reciprocal
duties among landowners that may be broadly regarded as
servitudes imposed by law, namely, as charges laid on an estate
in favor of another estate belonging to another owner.”)
(emphasis added).
97
Gulf Insurance Co. v. Employers Liability Assurance
Corp., 170 So.2d 125, 129 (La. App. 4th Cir. 1964).
39
provided that legal servitudes (including art. 667) were imposed by
law “upon the proprietors...towards one another.” Following the
amendment, arts. 664 and 666 were condensed to form the new art.
659,98 which states: “Legal servitudes are limitations on ownership
established by law for the benefit of the general public or for the
benefit of particular persons.” This amendment on its face makes
it less clear that one must have some type of immovable property
interest to maintain an action under art. 667; the official
revision Comment provides, however, that new art. 659 is based on
art. 664 of the Louisiana Civil Code of 1870, and “does not change
the law.”
Nevertheless, to confirm our conclusion that there has been no
change in interpretation, i.e., that the revisions did not strip
away the requirement that a plaintiff have some type of immovable
property interest, we turn to post-amendment court and commentator
treatments of art. 667. Our review of these serves to satisfy us
that there has been no such change. Professor Yiannopoulos still
writes:
Literally, Articles 667 and 668 apply to
“proprietors,” namely, landowners....By virtue
of an expansive interpretation, any person
assuming the position of owner, usufructuary,
possessor in good or bad faith, or long term
lessee, may qualify as a proprietor....
Persons that do not qualify as proprietors,
98
Table 2–Derivation, La. Civ. Code Ann. Vol. 3A, p. XXIX.
40
such as guests, contractors, and members of
the public, may have a variety of remedies
against a landowner under the law of delictual
obligations or under Article 669, but not for
violation of obligations established by
99
Articles 667 and 668.
And the courts of Louisiana continue to agree.100
In summary, then, the Plaintiffs are precluded both
procedurally and substantively from recovering against Kerr-McGee
under art. 667. Procedurally, they have no standing or right of
action to sue Kerr-McGee under art. 667 as owner of the platform,
an immovable that is the servient estate in this instance, because
art. 667 creates obligations in favor of proprietors who are
neighbors and thus enjoy the position of the dominant estate of the
predial servitude of neighborliness created by this section of the
Civil Code. Roberts, a non-proprietor, incurred his injuries while
he was physically present on the servient estate, not on a dominant
one; and his injuries resulted from the proprietor’s lawful use of
his estate. Conversely, none of the Plaintiffs is owed a duty by
virtue of ownership or presence on an adjacent or proximate
99
4 A.N. YIANNOPOULOS, LOUISIANA CIVIL LAW TREATISE, Predial
Servitudes, § 44: Proprietors and Other Persons, pp. 125-26 (2d
ed. 1997).
100
See, e.g., Dumas v. Angus Chemical Co., 728 So.2d 441,
451 (La.App. 2 Cir. 1999) (citing the above-referenced excerpt
from YIANNOPOULOS, LOUISIANA CIVIL LAW TREATISE in denying that persons
injured by an explosion on the premises of a fertilizer plant
could recover against the plant operator under Art. 667).
41
dominant estate, and therefore they cannot ground their claims
against Kerr-McGee in any aspect of predial servitudes in general
or art. 667 in particular.
Substantively, the Plaintiffs are precluded from recovery
under art. 667. First, they have not attempted to demonstrate ——
nor could they —— that Kerr-McGee “knew or, in the exercise of
reasonable care, should have known that [its] works would cause
damage, that the damage could have been prevented by the exercise
of reasonable care, and that [it] failed to exercise such
reasonable care.” Second, absent knowledge and ability to prevent,
Kerr-McGee could only be answerable for damages if the injuries
were caused by ultrahazardous activity which, for purposes of art.
667, is “strictly limited to pile driving or blasting with
explosives.”101 And, as the district court correctly determined,
use of a wireline perforating gun in the course of plugging and
abandoning an oil or gas well is not a manifestation of blasting
with explosives.
III. Conclusion
Our review of the summary judgment record in this case and the
legal propositions advanced by counsel in their appellate briefs
and in their arguments before us, together with our consideration
of the reasoning of the district court, satisfies us that the court
101
La. Civ. Code Ann. art. 667.
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(1) correctly applied the appropriate test in denying seaman status
to Roberts in his Jones Act claim against Cardinal, and (2)
correctly determined that wireline perforation, as a common and
customary activity in the petroleum industry —— including use in
connection with plugging and abandoning oil and gas wells —— is
distinguishable from blasting with explosives, and is not an
ultrahazardous activity for purposes of either vicarious liability
and negligence under Louisiana tort law or strict liability of an
owner of an immovable for damage to his neighbors under art. 667 of
the Louisiana Civil Code. The district court’s grants of summary
judgment in favor of Cardinal and Kerr-McGee are, therefore,
AFFIRMED.
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