PER CURIAM.
This case arises from a negligence action brought by longshoreman Tyrone T. Miller under Section 905(b) of the Longshore and Harbor Workers' Compensation Act (LHWCA), 33 U.S.C. §§ 901-950, after he fell while loading cargo into the M/V CARRARA CASTLE.
On September 28, 2011, Tyrone Miller, a member of the International Longshoreman's Association since 2006, was employed by SSA to work a shift loading the CARRARA CASTLE at the Georgia Ports Authority Ocean Terminal in Savannah, Georgia. The CARRARA CASTLE was owned by Navalmar and on time charter to Grieg. Pursuant to the time charter agreement, Grieg was allowed to use the vessel's cargo spaces for loading cargo and transporting that cargo overseas.
On the day of Miller's accident, the CARRARA CASTLE had arrived in Savannah to pick up a shipment of Kraft Liner Board (KLB). KLB is essentially cardboard tightly wound into a very large roll standing approximately eight feet high and weighing roughly 2,000 pounds. SSA loaded these rolls into the hold of the CARRARA CASTLE using what is commonly referred to as the chime method.
When Miller arrived to begin his evening shift, the KLB rolls had already been stacked in four tiers standing approximately thirty-two feet high. Miller was instructed by his SSA supervisors to begin preparing the hold for tiers of a different commodity, wood pulp bales, by deploying plywood boards over the various void spots in the stacks of KLB rolls. After "a momentary lapse in concentration," Miller stepped on a plywood board he had just placed over one of the large corner gaps. The board gave way and Miller fell thirty-two feet to the floor of the hold suffering significant injuries. The record does not indicate that the plywood board itself was defective, and Miller offered no testimony to that effect. The record is clear that no fall protections were placed in the corner gaps before Miller began covering them with plywood.
Miller originally filed his negligence suit against Navalmar on September 30, 2013 in the State Court of Chatham County, Georgia. Navalmar removed the action to the United States District Court for the Southern District of Georgia on November 5, 2015. Following removal, Miller filed several amended complaints articulating new negligence theories, and, on April 29, 2014, named Grieg as a defendant in the action. After extensive discovery, Grieg and Navalmar filed independent motions for summary judgment on May 27, 2015. The Defendants primarily argued that under § 905(b) of the LHWCA neither Navalmar nor Grieg owed a duty of reasonable care toward Miller. The district court agreed and granted the Defendants' motions for summary judgment. This appeal followed.
As originally written, the LHWCA made shipowners strictly liable for injuries suffered by longshoremen due to a vessel's unseaworthiness as proven by the existence of an unsafe, injury-causing condition on the vessel. See Scindia Steam Nav. Co., Ltd. v. De Los Santos, 451 U.S. 156, 164-65 (1981). But in 1972, Congress radically altered this scheme by, among other things, adding a statutory cause of action for negligence against the shipowner, § 905(b), to the LHWCA and abolishing a longshoreman's right to recover in strict liability for injuries suffered due to unseaworthiness. Id. at 165. Ordinary negligence principles govern statutory claims brought under § 905(b) and the vessel owes the stevedore and her longshoremen employees the duty of reasonable care "under the circumstances." Id. at 166-67 (quoting Marine Terminals v. Burnside Shipping Co., 394 U.S. 404, 415 (1969)).
But, the shipowner is entitled to rely on the stevedore "to avoid exposing the longshoremen to unreasonable hazards," and may otherwise expect the stevedore to "perform his task properly without supervision." Id. at 170. "[A]bsent contract provision, positive law, or custom to the contrary . . . the shipowner has no general duty by way of supervision or inspection to exercise reasonable care to discover dangerous conditions that develop within the confines of the cargo operations that are assigned to the stevedore." Id. at 172. However, shipowners do owe three distinct duties, known as Scindia duties after the case establishing them, during cargo operations. These duties are (1) the turnover duty, (2) the active control duty, and (3) the duty to intervene. See Howlett v. Birkdale Shipping Co., 512 U.S. 92, 98 (1994) (describing the three primary duties created by the Supreme Court in Scindia). On appeal, Miller only alleges breach of the active control duty and the duty to intervene, having expressly abandoned his turnover duty claims.
A time charterer violates the active control duty under Scindia if it "actively involves itself in the cargo operations and negligently injures a longshoreman." Scindia, 451 U.S. at 167. Here, Miller primarily argues Grieg's provision of a detailed loading procedure to the stevedore, SSA, and the presence of a port captain aboard the CARRARA CASTLE during the loading process constituted active involvement in the cargo operation and created a duty of reasonable care toward Miller and the other longshoremen.
While it is true that Scindia itself does not define active involvement in cargo operations, it makes clear that once control over the vessel is relinquished "primary responsibility for the safety of the longshoremen lies with the stevedore." Lampkin v. Liber. Athene Transp. Co., 823 F.2d 1497, 1501 (11th Cir. 2014); see also Scindia, 451 U.S. at 170 (noting under the LHWCA it is the responsibility of "the stevedore, the longshoremen's employer, to provide a `reasonably safe' place to work"). And, the Supreme Court has carefully explained at least some level of involvement in cargo operations does not automatically generate a duty on behalf of the shipowner. Howlett, 512 U.S. at 103 (noting that even though the vessel and its crew maintain some involvement in the cargo loading and storage process "[i]t is settled maritime custom and practice that the stevedore exercises primary control over the details of a cargo operation").
Indeed, the provision of a stowage plan to the stevedore, routine practice in the shipping industry, is not enough to constitute active control because "it is the stevedore, an independent contractor hired for its expertise in the stowage and handling of cargo, that is charged with actual implementation of the plan." Id. Nor is the simple presence of supervisory personnel during cargo operations sufficient to constitute "the type of active involvement and control that would trigger the ship's liability." Derr v. Kawasaki Kisen K.K., 835 F.2d 490, 494 (3d Cir. 1987); Bonds v. Mortensen and Lange, 717 F.2d 123, 127 n.4 (4th Cir. 1983) (explaining "we do not take the presence of an officer of the ship's crew to constitute `active involvement' in discharge operations"). The record shows Grieg's involvement in the cargo loading operation was limited to the provision of a stowage plan to the stevedore, SSA, and the presence of a port captain to observe the loading process. As a matter of law, this level of passive oversight is not enough to create a duty based on active involvement with cargo operations under Scindia and its progeny.
Miller presents no case law to rebut this conclusion and instead contends Grieg's use of mandatory shipping procedures represented a much greater level of control over the loading process than is typical in the shipping industry. These mandatory procedures, when coupled with the supervisory presence of Grieg personnel, constituted enough direct control over the stevedore to constitute active involvement in the cargo loading process.
Even if Grieg's loading instructions were mandatory, the procedures simply lack direct operational guidance with respect to their implementation. There is no evidence in the record that Grieg's personnel supervised the loading process, or were involved with the loading operation in any direct way. Instead, the procedures merely provide explanations for the proper storage of particular types of cargo, and require the stevedore to keep Grieg updated when making major alterations to these protocols. This type of passive guidance does not constitute the direct involvement in loading operations Scindia requires before an active control duty is imposed on the shipowner.
Under Scindia, a shipowner
Miller argues the record indicates the Defendants must have been aware of the dangerous voids in the corner of the CARRARA CASTLE's cargo hold because those voids were a necessary result of the chiming method used to store rolls of KLB. Miller also contends the Defendants had actual knowledge that the stevedore was failing to remedy the hazard posed by the corner voids both because the loading procedure actively prevented SSA from ameliorating the condition and, in any event, the voids created by use of the chiming method were a necessary part of the process that the stevedore could not have remedied.
However, even if we assume that the Defendants had actual knowledge of the dangerous condition resulting from chiming the KLB rolls in the CARRARA CASTLE's hull, Miller has made no showing that they had actual knowledge of SSA's failure to remedy the problem. As the district court pointed out, Miller does not allege SSA or any of its employees ever complained to the Defendants regarding unsafe conditions during loading. See Roach v. M/V Aqua Grace, 857 F.2d 1575, 1582 (11th Cir. 1988) (affirming summary judgment because absent complaints to the ship the owner had no notice of failure to ameliorate hazardous condition and thus no duty to intervene); Bonds, 717 F.2d at 127-28 (no duty to intervene regarding obvious hazard in part because "longshoremen proceeded to unload the ship's cargo without complaint or incident"). Nor does Miller suggest SSA took any abnormal action during the loading process. Most importantly, there is no indication in the record that personnel from either Navalmar or Grieg oversaw the loading operation, inspected the cargo hold, or otherwise acquired actual knowledge of the stevedore's exercise of "obviously improvident" judgment in failing to deal with the safety hazards posed by the large corner voids in the KLB stacks. Accordingly, the Defendants were entitled to rely on the stevedore to "perform his task properly without supervision." Scindia, 451 U.S. at 170.
Miller seeks to avoid this result by contending that the chimed method of stacking KLB rolls was so hazardous it simply could not have been ameliorated by the stevedore.
For the foregoing reasons, we affirm the judgment of the district court.