UNITED STATES OF AMERICA
OCCUPATIONAL SAFETY AND HEALTH REVIEW COMMISSION
SECRETARY
OF LABOR, |
|
Complainant, |
|
v. |
OSHRC
DOCKET NO. 16317 |
DRAVO
CORPORATION, |
|
Respondent. |
|
January 9, 1980
DECISION
BEFORE
CLEARY, Chairman; and BARNAKO, Commissioner.*
BY THE COMMISSION:
A
decision of Administrative Law Judge Donald K. Duvall is before the Commission
for review pursuant to section 12(j) of the Occupational Safety and Health Act
of 1970, 29 U.S.C. §§ 651-678, § 661(i) (‘the Act’).[1] Judge Duvall held that
Dravo Corporation (‘Dravo’) committed two violations of section 5(a)(2) of the
Act, 29 U.S.C. § 654(a)(2): a serious violation for failing to comply with the
standard at 29 C.F.R. § 1916.31(b)(1) and a repeat violation for failing to
comply with the standard at 29 C.F.R. § 1916.51(a). Penalties of $700 and $250,
respectively, were assessed.
The
Commission agrees with the judge’s conclusion that Dravo committed a serious
violation of the Act by failing to comply with section 1916.31(b)(1) and also
affirms the judge’s assessment of a $700 penalty for that violation. However,
having reviewed the entire record, the Commission members are divided on the
appropriate disposition of the citation for repeated violation of section
1916.51(a) and the $250 penalty assessed by the judge for that violation. In
view of the statutory purpose of expeditious adjudication, the members agree to
resolve their impasse by affirming the judge’s order. That part of the judge’s
decision and order affirming the citation for repeated violation of section
1916.51(a) and assessing a penalty of $250 for that violation is accorded the
precedential value of an unreviewed judge’s decision. Sun Petroleum Products
Co., 79 OSAHRC ——, 7 BNA OSHC 1306, 1979 CCH OSHD ¶ 23,502 (No. 76-3749,
1979), appeal filed, No. 79-1828 (3d Cir. June 26, 1979); Life
Science Products Co., 77 OSAHRC 200/A2, 6 BNA OSHC 1053, 1977-78 CCH OSHD
¶22,313 (No. 14910, 1977), aff’d, 591 F.2d 991 (4th Cir. 1979).
I
During
an inspection of Dravo’s shipyard near Pittsburgh, Pennsylvania, a compliance
officer for the Occupational Safety and Health Administration observed an
employee emerge from a deck hatch on a barge under construction. The employee
had been making welding repairs in the rake, a compartment at the sloped bow of
the barge, for four hours.[2] The rake is 54 feet wide,
38 feet long, and 2 to 10 feet high, and has a volume of 14,570 cubic feet. The
15-inch by 23-inch oval hatch from which the welder was seen emerging is the
sole opening in the rake. Blue smoke filled the rake while the welder was
inside. No artificial ventilation was provided.
Dravo
was cited for failing to provide either general mechanical or local exhaust
ventilation required by section 1916.31(b)(1) (‘the ventilation standard’).[3] Dravo raises the following
contentions in its defense:
(1) The rake is not a ‘confined space’;
(2) The ventilation standard is
unenforceable because the phrase ‘confined space’ is vague and uninformative;
(3) An element of proof of a failure to comply
with the ventilation standard is the presence of air contaminants beyond safe
limits;
(4) There is no evidence that the air in
the rake was contaminated beyond safe limits; and
(5) The violation, if any, was not
serious.
A
confined space is
. . . a compartment of small size and
limited access such as a double bottom tank, cofferdam, or other space which by
its small size and confined nature can readily create or aggravate a hazardous
exposure.
29 C.F.R. § 1916.2(m). Three witnesses with extensive
experience in maritime safety—compliance officer George Reed,[4] senior maritime compliance
officer William Draper,[5] and Acting Area Director
Leo Carey[6]—testified that the rake on
Dravo’s barge created the possibility of a hazardous exposure because the rake
is small, has limited access, and lacks natural ventilation to remove welding
fumes.[7] Dravo’s chief maritime
engineer, Cornelis Van Mook, testified that the rake is an enclosed space, not
a confined space, because it is closer in size to the examples given in the
definition of enclosed space.[8] The judge credited the
testimony of the Secretary’s witnesses because they possess expertise in
maritime safety while Van Mook does not. He concluded that the Secretary’s
contention that the rake ‘falls within the definition of ‘confined space’ is
supported credible testimonial evidence of the relatively small size of the
space . . ., the very limited access to the space . . ., [and] the generation
and accumulation of smoke and fumes from the burning welding rods in the space
during the welder’s normal working hours’; this evidence and the evidence as to
the contaminants emitted from the welding rods ‘indicate that such a space, in
the circumstances of this case, could readily create or aggravate a hazardous
exposure.’ Dravo argues that Van Mook’s testimony should be credited over the
testimony of the other witnesses because they necessarily are prejudiced in
favor of the position of their employer—the Secretary—and they expressed
somewhat differing opinions of the application of the ventilation standard to
conditions other than those on Dravo’s barge.
We
conclude that the judge’s finding that the rake on Dravo’s barge is a confined
space is supported by a preponderance of the evidence. Accordingly, we reject
Dravo’s exceptions to that finding. In particular, we conclude that Judge
Duvall did not err in relying on the expert opinion testimony of the
Secretary’s witnesses or in discrediting the testimony of Van Mook. We note
that Van Mook testified that he is not qualified to decide if a compartment
readily can create or aggravate a hazardous exposure and that his testimony was
based exclusively on a comparison of the size of the rake and the compartments
listed in subsections 1916.2(m) and (n).[9] Moreover, the argument
that we should discredit the testimony of the Secretary’s witnesses because of
their employment status applies with equal force to Van Mook’s testimony.
Finally, disagreement over the scope of the application of the ventilation
standard is not a sufficient reason to discredit the witnesses’ uniform
testimony with respect to the standard’s application in this case.
Additional
evidence supports the judge’s finding. The welder in the rake had been provided
with ventilation equipment when he worked on Dravo’s towboats, and he attempted
to obtain ventilating equipment before beginning this project. The foreman of
the welder called to him periodically during the welding to check on his
condition. Furthermore, we note that the general industry standard at 29 C.F.R.
§ 1910.252(f)(2)(i) requires mechanical ventilation when welding is done in a
room less than 16 feet high. (The rake is 2 to 10 feet high.) The evidence and
the general industry standard set forth above support the testimony of the
Secretary’s witnesses that welding in an area like the rake creates the
potential for a hazardous exposure. We therefore adopt the judge’s finding that
the rake is a confined space.
Dravo
argues that the phrase ‘confined space’ is vague because an employer
necessarily must guess as to the meaning and differ as to the application of
the phrases ‘small size,’ ‘confined nature,’ and ‘can readily create or
aggravate a hazardous exposure.’ See 29 C.F.R. § 1916.2(m), quoted supra.
Dravo claims support from the fact that the Secretary’s witnesses differed as
to whether certain spaces are confined. Finally, the meaning of confined space
is even more uncertain, Dravo claims, when viewed in light of the definition of
enclosed space. See note 8 supra.
The
definition of confined space is not as perplexing as Dravo suggests. When read
together, subsections 1916.2(m) and (n) inform employers that any below-deck
space on a vessel is either confined or enclosed. Furthermore, the definitions
give examples of each type of space. Thus, the definitions give employers
considerable guidance in distinguishing a confined space from an enclosed
space.
As
Judge Duvall noted,
[t]he range and variety . . . of
compartments in the various types of vessels constructed or repaired in
American shipyards . . . and the diversity of working conditions affecting the
breathable air in such compartments . . . make the drafting of . . . [a
ventilation standard] with exactitude most difficult.
Accordingly,
the ventilation standard necessarily includes some broad terms. This does not
render the standard unenforceably vague. Instead, it means that an employer
must read it in light of the conduct to which it applies and guide his actions
accordingly. Boyce Motor Lines, Inc. v. United States, 342 U.S. 337
(1952); Brennan v. OSHRC (Santa Fe Trail Transport Co.), 505 F.2d 869
(10th Cir. 1974).
Whenever
an employer cannot determine whether a space is confined or enclosed from the
examples given in the definitions, the employer must use his experience,
knowledge, and judgment to decide whether the hazard at which the standard is
directed is increased by the size and configuration of the space. A standard is
not vague simply because its application requires the exercise of judgment.[10] See, e.g., Allis-Chalmers
Corp. v. OSAHRC, 542 F.2d 27, 30 (7th Cir. 1976); M-Co Equipment
Company, Inc., 75 OSAHRC 37/C3, 2 BNA OSHC 1660, 1974-75 CCH OSHD ¶ 19,394
(No. 3811, 1975). For further guidance, if necessary, the employer can look to
other standards or to industry custom and practice. Modern Automotive
Service, Inc., 74 OSAHRC 9/A11, 1 BNA OSHC 1544, 1973-74 CCH OSHD ¶17,369
(No. 1541, 1974). The employer is not required to simply ‘guess’ at what the
definition means.
Finally,
we agree with Judge Duvall’s statement that, ‘[i]n any event, the appropriate
test in this case is whether a reasonably prudent man familiar with the [11]circumstances of the
shipbuilding industry would have protected against the hazard.’[12] We also agree with his
determination that such a person would have provided protection against the
hazard at Dravo’s workplace.[13]
Accordingly,
for all of the reasons stated, we reject Dravo’s contention that 29 C.F.R. § 1916.31(b)(1)
is unenforceably vague.
Dravo
offers two reasons to support the contention that the ventilation standard, 29
C.F.R. § 1916.31(b)(1), imposes on the Secretary the burden of proving that
welding fumes and smoke in a confined space exceeded safe limits. First, a
hazardous exposure must be shown to have existed because a confined space is
one that readily creates or aggravates a hazardous exposure. Second, the
ventilation standard incorporates by reference the requirement of subsection
1916.31(a) that ventilative be of sufficient capacity to keep fumes and smoke
within safe limits. Accordingly, ‘. . . 29 C.F.R. 1916.31(b)(1) does not
require mechanical ventilation unless welding fumes and smoke are beyond
safe limits’ (emphasis supplied by Dravo). Dravo claims that its incorporation
by reference argument is supported by the Commission opinion in Bethlehem
Fabricators, Inc., 76 OSAHRC 62/C2, 4 BNA OSHC 1289, 1976-77 CCH OSHD
¶20,782 (No. 7176, 1976). Dravo poses the following hypotheticals if this
burden is not placed on the Secretary: striking a welding arc for one second in
a confined space, and striking an arc in a confined space with sufficient
natural ventilation to keep fumes within safe limits, would be violations. It
implicitly argues that these results would be unreasonable.
Judge
Duvall rejected Dravo’s contention on the ground that the standard is
preventive in nature. We agree. A confined space differs from other spaces by
its potential for creating or aggravating a hazardous exposure, not, as Dravo
states, by the actual creation or aggravation of such an exposure. This is
clear from the express language of the definition: ‘. . . space which by its
small size and confined nature can readily create or aggravate a
hazardous exposure’ (emphasis added). Ventilation is required when welding
begins in order to prevent injuries that might occur if an employer were
permitted and decided to withhold ventilation until excessive fumes and smoke
were predicted or discovered and the prediction were faulty or the discovery
untimely. Cf. Marshall v. Western Electric, Inc., 565 F.2d 240, 244-245
(2d Cir. 1977) (testing for presence of vinyl chloride required if it is
released during work operation, not only when there is a ‘reliable prediction’
of presence of excessive quantities).
The
ventilation standard does refer to subsection 1916.31(a). The requirements of a
standard to which reference is made in another standard are not, however,
incorporated automatically into the latter standard. See, e.g., Wisconsin
Electric Power Company, 76 OSAHRC 134/B2, 4 BNA OSHC 1783, 1976-77 CCH OSHD
¶ 21,234 (No. 5209, 1976), aff’d, 567 F.2d 735 (7th Cir. 1977).
Reference in the ventilation standard to subsection 1916.31(a) is limited to
noting that the ventilation provided pursuant to the standard must perform as
required by the subsection. The Bethlehem Fabricators opinion offers no support
to Dravo’s incorporation argument. The Commission recently overruled that
opinion in Westinghouse Electric Corporation, 79 OSAHRC ——, 7 BNA OSHC
1318, 1979 CCH OSHD ¶23,542 (No. 13955, 1979), appeal docketed, No.
79-1556 (7th Cir. May 24, 1979).
Finally,
Dravo’s hypotheticals do not persuade us to reverse the judge. Dravo is correct
that welding in a confined space for even a moment would constitute a failure
to comply with the ventilation standard if artificial ventilation were not
present. The Act provides for this type of violation: the violation would be de
minimis under section 9(a) of the Act. Penalties are not assessed and abatement
requirements are not imposed for de minimis violations. E.g., Combustion
Engineering, Inc., 77 OSAHRC 182/A2, 5 BNA OSHC 1943, 1977-78 CCH OSHD ¶ 22,241
(No. 76-2210, 1977). As to the second hypothetical, if sufficient natural
ventilation is present in a space to prevent the accumulation of air
contaminants, the space is not one in which a hazardous exposure could be
created. Thus, the space would not be classified as ‘confined’ and a failure to
comply with the ventilation standard could not be found. Dravo’s contention
that the Secretary must prove the presence of unsafe levels of air contaminants
is therefore rejected. Dravo’s fourth contention—that the Secretary failed to
establish the presence of air contaminants beyond safe limits—is therefore
irrelevant.
Dravo
also takes exception to Judge Duvall’s conclusion that its failure to comply
with the ventilation standard was a serious violation of the Act.[14] Compliance officer Reed
testified that he recommended to his area director that Dravo’s alleged
noncompliance with section 1916.31(b)(1) be classified as a serious violation.
He based this recommendation on the concentration of welding fumes he observed
rising from the hatch, which concentration he described as a ‘steady flow,’ and
on the welder’s statement as to the length of time he had been in the rake. In
Reed’s view, these factors created a ‘very serious likelihood that he [the
welder] would not have enough breathable air.’ Reed conceded that he did not
enter the rake and that he took no measurements or tests to determine either
the concentration or the composition of the welding fumes.
Based
on the record evidence as to the size and configuration of the rake and the
testimony concerning the welding operation, Draper stated that the atmospheric
conditions inside the rake were such that the air was moving from inside the
compartment to the outside with little, if any, replacement air coming back in.
Thus, there was no natural ventilation in the rake. Draper further testified
that these conditions could cause death due to oxygen deficiency. On
cross-examination, Draper asserted that, despite the absence of any atmospheric
tests, the evidence he had seen and heard provided a sufficient basis for his
conclusions.
Carey
also testified that the conditions created the possibility of death or serious
physical harm due to oxygen deficiency. Because the welding process itself
produces oxides, that is, chemical compounds composed in part of oxygen drawn
from the surrounding air, and because ‘based on my experience with confined
spaces . . . I would consider that natural ventilation was not adequate to
restore oxygen that was used up in the process,’ Carey concluded that the
potential for an oxygen deficient atmosphere was present in the rake. He
further testified that ‘the fact that similar operations in confined spaces has
[sic] created oxygen deficiencies . . . is a matter of general agreement among
the community in safety and health.’ He conceded, however, that he could not
know, in the absence of atmospheric testing, the degree of oxygen deficiency in
the rake or whether an oxygen deficiency had occurred at the time of the
inspection.
In
addition, Carey testified that the welding operation at issue created a
potential for exposure to ferric or ferrous oxides (iron oxides), manganese
oxides, carbon monoxide, carbon dioxide, nitrogen oxide and ozone. He based
this testimony on information supplied by the manufacturer of the welding rods
used in the welding operation in question and on his own experience as an
industrial hygienist in evaluating similar welding operations. Carey stated
that iron oxides, manganese oxides, and carbon dioxide are ‘decomposition
products’ generated as a result of welding with the type of rods that were used
at the time of the inspection. He further testified that the welding arc
produces energy in the form of ultra-violet radiation and that this energy in
turn causes nitrogen oxides and ozone to form in the surrounding atmosphere. On
cross-examination, Carey admitted that he did not know the amount of any of
these contaminants that was present in the rake at the time of the inspection.
However, he asserted that there was only a ‘remote’ possibility that the welder
was not exposed to the contaminants at any level. He also noted that, because
of the confined nature of the rake and the lack of ventilation, contaminants
generated by the welding process were not removed from the rake, with the
exception of those contaminants that went out through the hatch.
Carey
further testified as to the potential consequences of exposure to the
contaminants he had listed. He stated that exposure to carbon monoxide can
result in permanent brain damage or death by asphyxiation. Exposure to carbon
dioxide or ozone can result in permanent impairment of the respiratory system.
Moreover, exposure to manganese oxides can permanently affect the nervous
system, while exposure to nitrogen oxides can result in death due to pulmonary
edema (a release of fluids into the lungs). Carey conceded that, with respect
to each of these contaminants, whether exposure in fact results in death or
serious physical harm depends on the concentration of the contaminant in the
atmosphere and that he did not know what those concentrations were at the time
of the inspection.
Judge
Duvall stated that the ‘unrebutted credible testimony’ of Draper and Carey
established that serious injury or death ‘could result from exposure to the
violative condition.’ He found that exposure to the contaminants emitted by the
burning welding rods ‘results in serious hazards, such as the possibility of
permanent damage to the nervous system (manganese oxide), discomfort to
respiratory system (nitrogen dioxide), collapse and/or death due to oxygen
deficiency (carbon monoxide).’ Accordingly, he concluded that Dravo’s failure
to comply with section 1916.31(b)(1) was a serious violation of the Act
‘because if the potential hazard of oxygen deficiency and/or air contamination
when welding in an unventilated confined space became actual or actually
occurred, there is a substantial probability that death or serious physical
harm could result to the welder thus exposed. . . .’
Dravo
argues that the judge erred because the evidence is insufficient to support his
conclusion that the violation was serious. Citing Carey’s concession that the
concentration of contaminants in the atmosphere of the rake would determine
whether death or serious physical injury actually occurred, it emphasizes the
fact that tests of the atmosphere were taken. It also emphasizes evidence
indicating that the welder’s exposure to the welding smoke and fumes was
relatively limited. Dravo asserts that the Secretary’s witnesses ‘simply never
went beyond what hazards might be possible’ to establish ‘a substantial
probability that death or serious physical harm could result from the conditions
found at the time of the inspection.’
We do
not agree. For a violation to be serious within the meaning of the Act, the
record must establish that there was a substantial probability that death or
serious physical harm could result if an accident occurred. The probability of
the accident occurring is irrelevant. Niagara Mohawk Power Corp., 79
OSAHRC ——, 7 BNA OSHC 1447, 1979 CCH OSHD ¶ 23,670 (No. 76-2414, 1979). Here
the record establishes a likelihood that various hazardous contaminants were in
the atmosphere as a natural consequence of the welding operation being
performed. It also establishes that there was not sufficient ventilation in the
rake to remove the contaminants or to prevent the accumulation of an increasing
concentration of the contaminants as the welding progressed. In addition, the
record establishes the possibility that an oxygen deficient atmosphere would
develop in the rake. Finally, the record supports Judge Duvall’s conclusion
that there was a substantial probability that death or serious physical harm
could result if an oxygen deficiency or sufficiently contaminated atmosphere
actually were created. Accordingly we affirm the judge’s conclusion that
Dravo’s failure to comply with section 1916.31(b)(1) was a serious violation of
the Act.[15]
We also affirm his conclusion that a penalty of $700 is appropriate in light of
the statutory criteria specified in section 17(j) of the Act.
II
Approximately
15 Dravo employees were working on the deck of a towboat under construction
when it was inspected. Numerous houses and lines[16] were scattered around the
deck, including in front of the stairway that provided the only means of access
to the boat. As stated above, the judge concluded that these conditions were
not in compliance with section 1916.51(a) (‘the housekeeping standard’) and
that the violation was repeated.[17] Dravo raises the
following arguments in opposition to the judge’s conclusions:[18]
1. The presence of the hoses and lines on
the boat was not forbidden by the housekeeping standard because it provides an
exception for hoses and lines that are in use and Dravo’s were used constantly;
2. Compliance was impossible; and
3. The Secretary has not proven that the
alleged violation was a repeated one.
Most,
if not all, of the hoses and lines on the towboat were being used when it was
inspected. The judge nonetheless concluded that the conditions did not fall
within the ‘in use’ exception. He interpreted the standard to require that
hoses and lines be maintained as neatly as possible without interfering with
their use. We agree with the judge’s conclusion, but not his reasoning. The ‘in
use’ exception does not apply to hoses and lines. See FMC Corp., 79
OSAHRC ——, 7 BNA OSHC 1419, 1420, 1979 CCH OSHD ¶23,631 at p. 28,656 (No.
12311, 1979). Under the express terms of the standard, separate and independent
requirements are established with respect to (a) ‘tools, materials, and
equipment’ and (b) ‘hose and electric conductors.’ See note 17 supra. The ‘in
use’ exception is contained in the former provision and applies only to tools,
materials and equipment that are in use. The provision relating to hoses and
lines, which is the requirement at issue in this case, contains no exception
for hoses and lines that are in use. Dravo’s first contention is rejected.
The
presence of hoses and lines on the decks of vessels under construction is an
inherent problem in the shipbuilding industry. All witnesses testified that all
lines and hoses could not have been eliminated from the deck of Dravo’s boat.
Even if full compliance with a standard is not possible, however, an employer
must provide all the protection that is possible. M.J. Lee Construction Co.,
79 OSAHRC 12/A2, 7 BNA OSHC 1140, 1146-1147, 1979 CCH OSHD ¶ 23,330 at p.
28,230 (No. 15094, 1979). See also, Sletten Construction Co., 77 OSAHRC
200/F8, 6 BNA OSHC 1091, 1977-78 CCH OSHD ¶22,349 (No. 11028, 1977); Somogyi
Construction Co., Inc., 77 OSAHRC 192/E8, 5 BNA OSHC 2065, 1977-78 CCH OSHD
¶22,319 (No. 76-3020, 1977). In order to establish an impossibility defense, an
employer must prove that (1) compliance with the standard was functionally
impossible or would have precluded performance of necessary work and (2)
alternative means of employee protection were used or unavailable. M.J. Lee
Construction Co., supra.
Compliance
officer Draper testified that the number of tripping hazards on the deck of the
towboat could have been reduced substantially, by as much as 75 percent, if a
combination of the following available abatement methods had been implemented. Hoses
and lines could have been suspended above a working surface on cable trees and
channeled in raceway troughs. Cross-over plates could have been placed over
individual or groups of cables. Indeed, a plate was placed over the lines at
the access stairway of the boat after the inspection. A grid manifold system
consisting of one large power source feeding several temporary manifolds placed
about the working surface would have permitted employees to use short, neatly
arranged hoses and lines because of easy access to the temporary power outlets
rather than long (up to two-thirds of the length of the boat) and tangled hoses
and lines observed on the boat. Finally, the hoses and lines could have been
pushed against the side of the deck house. Draper testified that he had seen
various combinations of these abatement methods used on towboats at the same
stage of construction as Dravo’s.[19]
Dravo’s
interpretation of the impossibility defense is best characterized as ‘all or
nothing,’ i.e., the defense is established if the hazards that existed could
not have been eliminated completely. For example, Dravo’s boatyard
superintendent testified that cable trees would not have eliminated hoses and
lines from the deck because part of each still would come down to the deck when
in use, and that the number of cross-over plates necessary to cover all hoses
and lines would be so great as to cover the entire deck, making it uneven and
creating tripping hazards.[20] Dravo’s general hull
structural superintendent testified that use of a manifold grid system might
reduce the length of the hoses and lines, but would not eliminate them from the
deck, and that a linesman would reduce the tripping hazards but only at an
impractical cost. Dravo’s interpretation of the impossibility defense, and the
evidence relied upon to prove that the defense as interpretated by Dravo has
been established, is inconsistent with Commission precedent cited above.
Moreover, at no point does Dravo or its witnesses consider the efficacy of
combining abatement methods as suggested by Draper. We therefore agree with the
judge’s finding that use of a combination of abatement methods would have
improved the conditions on Dravo’s boat substantially.[21]
Judge
Duvall concluded that Dravo’s failure to comply with the housekeeping standard
is a repeat violation. He relied on the Third Circuit’s position in Bethlehem
Steel Corp. v. OSHRC, 540 F.2d 157 (3d Cir. 1976), that the test of whether
a violation is repeated is whether the employer ‘flaunted’ the Act. Dravo
argues that the judge used the proper test, but applied it improperly. There is
no need to review the judge’s application of a flaunting test, however, because
the Commission adopted a different test subsequent to the judge’s decision.[22]
The
Commission held in Potlatch Corporation, 79 OSAHRC 6/A2, 7 BNA OSHC
1061, 1063, 1979 CCH OSHD ¶23,294 at p. 28,171 (No. 16183, 1979), that,
[a] violation is repeated under section
17(a) of the Act if, at the time of the alleged violation, there was a
Commission final order against the same employer for a substantially similar
violation.
Chairman
Cleary and Commissioner Barnako do not agree on the proof necessary for a prima
facie showing that a prior and present violation of the same standard are
substantially similar.[23] The Chairman requires the
Secretary to prove only that the prior and present violations involve the same
standard. An employer can then rebut this showing with evidence that the
hazards and conditions involved in the prior violation were significantly
different from those in the present violation. Commissioner Barnako does not
presume that a violation of the same standard fulfills the substantial
similarity requirement and shifts the burden to the employer to prove
otherwise. Instead he looks to whether the second violation is of such a nature
that the employer, as a result of the notice provided by the first citation,
should have taken steps to eliminate from its workplace the condition allegedly
constituting a repeated violation. Where such notice is not apparent from the
face of the first citation, Commissioner Barnako requires the Secretary to
prove substantial similarity by other means. In addition, once substantial
similarity is established, Commissioner Barnako permits the employer to defend
against a repeated charge by proving that it took reasonable, good faith steps
after entry of a prior final order to prevent the recurrence of a substantially
similar violation. See generally, Stearns-Roger Inc., 79 OSAHRC ——, 7
BNA OSHC ——, 1979 CCH OSHD ¶24,008 (No. 76-2326, October 31, 1979) (concurring
opinion).
The
parties stipulated that three citations alleging failures to comply with the
housekeeping standard became final orders of the Commission before issuance of
the citation in this case. The prior citations had become final orders under
section 10(a) of the Act because they were not contested by Dravo. There is no
further evidence about the prior violations. Chairman Cleary would hold that
the final orders alone establish a prima facie showing of a repeat violation.
In addition, he would hold that it is obvious that the prior violations of the
same housekeeping standard involved similar hazards and that there are no
possible dissimilarities of circumstances that Dravo could prove that would
rebut the Secretary’s prima facie case. Accordingly, he would affirm the
judge’s conclusion that Dravo’s failure to comply with 29 C.F.R. § 1916.51(a)
was a repeated violation of the Act. See Stearns-Roger Inc., supra, 7
BNA OSHC at ——, 1979 CCH OSHD at p. 29,159. See also, Todd Shipyards Corp.
v. Secretary of Labor and O.S.H.R.C., 566 F.2d 1327 (9th Cir. 1977).
Commissioner
Barnako would hold that the Secretary has not established a prima facie case
because of the absence of evidence of the hazards and conditions that gave rise
to the citations that were not contested. He notes that the Commission has
previously held that ‘[t]he several requirements of § 1916.51(a) each create
independent abatement responsibilities.’ FMC Corp., supra, 7 BNA OSHC at
1421, 1979 CCH OSHD at p. 28,656. Accordingly, it cannot be assumed that the
prior citations, which have not been introduced into evidence, placed Dravo on
notice that it should take steps to eliminate from its workplace the hazard
created by hoses and electric conductors. See Automatic Sprinkler Corp. of
America, 79 OSAHRC ——, 7 BNA OSHC 1957, 1979 CCH OSHD ¶ 24,076 (No.
76-5271, 1979) (concurring in part and dissenting in part) (citation for
repeated violation vacated where cited standard applies to two distinct
situations and first citation did not involve same or substantially similar
conditions as repeated allegation). Nor has the Secretary otherwise established
that the prior violations were substantially similar to the present violation.
Commissioner Barnako would remand the case, however, to permit the Secretary a
further opportunity to present evidence on this issue and, if necessary, to
permit Dravo to present rebuttal evidence. In addition, he would permit Dravo
to raise the affirmative defense that it took reasonable good faith steps after
entry of the prior final orders to prevent the recurrence of a substantially
similar violation.[24] If the defense were
raised, Commissioner Barnako would permit the parties to introduce evidence
relevant to the defense.
Accordingly,
the decision and order of the administrative law judge, as modified by his
decision, is AFFIRMED.
It is so ORDERED.
FOR THE COMMISSION:
RAY H. DARLING, JR.
EXECUTIVE SECRETARY
DATED: JAN 9, 1980
UNITED STATES OF AMERICA
OCCUPATIONAL SAFETY AND HEALTH REVIEW COMMISSION
SECRETARY
OF LABOR, |
|
Complainant, |
|
v. |
OSHRC
DOCKET NO. 16317 |
DRAVO
CORPORATION, |
|
Respondent. |
|
October 12, 1976
APPEARANCES
Marshall H. Harris, Regional Solicitor
Regina Kossek, Esquire U.S. Department of Labor, Philadelphia, Pa. For
Complainant
Thorp, Reed & Armstrong Pittsburgh,
Pa. By Carl H. Hellerstedt, Jr., Esq. For Respondent
Gatz, Cohen, Segal & Koener
Pittsburgh, Pa. By Christopher Lepore, Esq. For Respondent’s Affected Employees
DECISION AND ORDER
This
is a proceeding under section 10 of the Occupational Safety and Health Act of
1970 (29 U.S.C. 651, et seq., 84 Stat. 1590, hereinafter referred to as the
Act) contesting an alleged serious violation and an alleged repeated violation
contained in two citations, and the proposed penalties pertinent thereto,
issued by complainant to respondent, a river craft manufacturer, under section
9(a) of the Act.
Specifically,
in Citation Number 5, as amended at the hearing in this matter held on April 6,
1976, at Pittsburgh, Pennsylvania, a repeated violation of the standard set
forth at 29 CFR 1916.51(a) is alleged in that on hull #6613, located in
respondent’s shipbuilding yard at Neville Island, Pennsylvania, hoses and
electric conductors were not elevated or placed under the walkway or working surface
or covered by adequate crossover plank on November 14, 1975, the date of an
OSHA inspection of respondent’s shipyard. The parties stipulated that there had
been three previous citations issued to respondent for violations of the same
aforestated standard which had become final orders (Tr. 15). A penalty of $270
was proposed for this alleged repeat violation.
Citation
Number 2 alleged a serious violation of the standard set forth at 29 CFR
1916.31(b)(1) in that, at the down river end of barge S.F.1. 41 Boat Fitting
Dock, neither general mechanical nor local exhaust ventilation was provided
during 4 hours of welding done in a confined space on November 14, 1975. A
penalty of $900 was proposed for this alleged serious violation.
By
way of defense, respondent claims that, respecting the alleged housekeeping
violation, it was impracticable to raise or cover the hoses and electric
conductors cited in Citation Number 5 by reason of the nature of the
fabrication process on the towboat then under construction; that the hazard, if
any, was minimal, and that if any violation occurred it was not a repeated
violation since it did not flaunt the Act.
As
for Citation Number 2, respondent claims (1) that no violation has been proved
because of lack of proof of a concentration of fumes in the alleged confined
space in excess of the safe (permissible) limits prescribed in the Threshold
Limit Values of the American Conference of Governmental Industrial Hygienists
(see 29 CFR 1916.5 and 1916.21(b)); (2) that the space in which the cited
welding was being performed was an enclosed rather than a confined space within
the meaning of the cited standard; and/or (3) that the term ‘confined space’ as
used in the cited standard is vague, thus rendering the cited standard unenforceable.
Finally, respondent contends that the alleged violation in Citation Number 2 is
not serious, and that the proposed penalties for both alleged violations are
improper, excessive, arbitrary and capricious.
Findings of Fact
Based
on all the evidence of record, I find the following facts:
1. At
all times material herein respondent was a corporation with its principal place
of business located in Pittsburgh, Pennsylvania, where it was engaged in
shipbuilding and other activities which entailed shipping finished products to
persons and firms in several states (Complaint, Answer).
2.
Citations numbered 2 and 5, issued by complainant to respondent on November 28,
1975, and the Notification of Proposed Penalty dated December 3, 1975, were
contested by respondent on December 17, 1975 (Citation Numbers 2 and 5,
Notification of Proposed Penalty, Notice of Contest).
3. On
November 14, 1975, George Reed, respondent’s compliance officer, conducted an
official OSHA inspection of respondent’s shipyard at Neville Island,
Pittsburgh, Pennsylvania (Tr. 30; Citations)
29
CFR 1916.51(a)
4. On
November 14, 1975, 10 to 15 employees of respondent were working on a towboat
(hull number 6613) under construction in respondent’s shipbuilding yard. There
were a number of hoses and electric conductors lying in the walkway and across
the sole access way at the top of stairs to the deck of the towboat, which
hoses and electric conductors were not elevated over or placed under the
walkway or covered by any crossover planks (Tr. 30–40, 46–50, 69–71, Exhibits
C–1, CR–5).
5.
The 10–15 workers on the towboat at the time, including welders, pipefitters
and electricians performing their various tasks of welding, chipping, grinding,
cutting and burning, were exposed to the condition of the hoses and conductors
set forth in 4, above, and to the tripping hazard created thereby (Tr. 35, 40,
43, 48, 51, 69).
6.
Many if not all of the hoses and conductors on the boat deck were in use on the
inspection date by the workers on the towboat at the time. Workers requiring
separate hoses or electric conductors pulled them on board by themselves and
used several machine sources of energy on the ground near the towboat. Each
worker needs 5 to 10 feet of slack in his hose or line in order to perform his
work, which typically involves movement to different locations on the towboat
as each particular task is completed (Tr. 30, 37, 40–41, 44, 48, 51–54, 62–63,
65, 69, 413, 419–420).
7.
The condition of the hoses and electric conductors crisscrossing the working
surface and walkways of towboats and other vessels in the same stage of
construction as respondent’s towboat here is inherent in the shipbuilding
industry and practically cannot be totally eliminated. But various devices used
or available for use by employees in the industry, such as stanchions or cable
trees, troughs or raceways, crossover planks or covers, grid manifold systems,
and linesmen, can substantially and practicably reduce or improve the condition
in many instances (Tr. 50, 406–407, 425, 429, 435–453, 455–469).
8.
Previously, respondent has used stanchions, treadles or crossover planks and
line channeling when practicable, i.e., where it has not restricted workers’
movements, interfered with work on the deck surface, or produced more line
entanglement (Tr. 409–413).
9. A
crossover plank could have been used to cover the lines in the access walkway
on the cited towboat shown in Exhibit C–1 herein and thus have eliminated a
tripping hazard without difficulty (Tr. 418–419, 425, 429). The hoses and lines
shown in Exhibit C–1 were, subsequent to the inspection, moved to the side of
the deck passageway closer to the deck housing without making use of the hoses
or lines more difficult (Tr. 49–50, 56–57).
10.
Complainant previously issued to respondent four other citations for alleged
violations of the occupational safety and health standard 29 CFR 1916.51(a),
three of which have become final orders of the Commission (Stipulation, Tr. 15,
22).
11.
Respondent has approximately 1,000 employees, of whom about 450 work in the
Boatyard Department, and its gross income for 1975 was approximately 749
million dollars (Tr. 14–15, 385).
29
CFR 1916.31(b)(1)
12.
On November 14, 1975, respondent’s employee, Carl Sustrich, spent approximately
four (4) hours, with a 15-minute break after the first two (2) hours and 30–35
minutes for lunch at noon, repairing welds 1 to 8 inches long (welding and
chipping) with Fleetweld 5P 60–10 welding rods in a non-cargo hold
approximately 36 feet by 54 feet by 2–10 feet with overhead bulkheads and a
sole access deck hatch about 15 inches by 23 inches and without any general
mechanical or local exhaust ventilation in the rake end of a barge (S.F.1. 41)
at respondent’s boat-fitting dock on the Ohio River at Neville Island, Pittsburgh,
Pennsylvania (Tr. 15, 103, 107–108, 118, 127–128, 147–149, 157–158, 218,
330–333).
13.
At the time of the inspection, the barge S.F.1. 41 was afloat on the navigable
waters of the Ohio River within respondent’s boatfitting area (Tr. 105, 118, 144).
14.
The air in the compartment in the rake end of the barge in which respondent’s
employee was welding was contaminated by welding fumes to an unmeasured and
untested extent; a steady flow of blue smoke issued from the open hatch into
the hold at the time of the OSHA inspection and the welder wore a dust filter
(white cloth mouthpiece—not an approved respirator) under his welder’s hood
while welding in the hold. The hold was smoky, and there was no general
mechanical or local exhaust ventilation present or in use, the closest
available ventilating equipment being an impractical distance away (Tr. 103,
105, 116, 130–131, 163–166, 386).
Respondent’s
welder used about 50–60 welding rods to repair some 50 welds in the hold, 1 rod
lasting for about one minute of arc time, 30–40 percent of total time in the
hold being estimated arc time (Tr. 365–378). The contaminants emitted by
burning welding rods include oxides of iron, manganese, carbon and carbon
monoxide, ozone and nitrogen dioxide and human (Mr. Sustrich here) exposure to
these contaminants results in serious hazards, such as the possibility of
permanent damage to the nervous system (manganese oxide), discomfort to
respiratory system (nitrogen dioxide), collapse and/or death due to oxygen
deficiency (carbon monoxide) (Tr. 128–130, 274–275, 284). The cans containing
the welding rods had a notice on them advising adequate ventilation when used
(Tr. 162).
15.
In determining whether a confined space exists within the meaning of 29 CFR
1916.31(b), safety professionals consider access and degree of enclosure most
important; other factors considered include availability of natural
ventilation, the nature (toxicity) of foreign objects or substances introduced
or work process performed, size, design and construction of the space (Tr.
108–113, 116–117, 212–213).
16.
No employee of respondent entered the space to evaluate, inspect or test the
atmosphere before or during the welding performed by Mr. Sustrich in the cited
space on the material date (Tr. 384–383). Welder Sustrich’s foreman entered the
space sometime prior to welding in order to mark the welds to be repaired (Tr.
365), but there is no evidence of record that the foreman was a competent
person within the meaning of 29 CFR 1916.10.
17.
Respondent’s Superintendent of Boatyards, Joseph Paquette, entered the cited
space on the material date several hours after the OSHA inspection and had no
trouble breathing (Tr. 382–384).
18.
It is respondent’s policy and practice to check the air in spaces of the type
here involved before entry of personnel only when there is reason to believe
that explosive or high concentration of fumes are present. In the Boatyard
Department of which Mr. Paquette was superintendent, three assistant
superintendents had authority to ask for an air check, but the foreman on the
job (directly supervising welder Sustrich) was under instructions to obtain
mechanical ventilation equipment whenever he believed such equipment was
necessary (Tr. 385–386). The foreman checked on Mr. Sustrich every 20–25
minutes while he was welding in the space, but never issued him any ventilation
equipment or furnished him with a requisition to secure same from the nearest
toolroom located in the towboat area some distance away (Tr. 151–152). On the
material date, Mr. Sustrich looked on neighboring boats in the area for
ventilation equipment, which was normal practice, but did not go to the towboat
area (right field) to look for it since that would have consumed about an
hour’s time (Tr. 151–152, 159–160, 163).
19.
The interior compartment space of the rake end of the cited tank barge
contained a net air volume of about 14,570 cubic feet and was intersected by
parallel rows of upright and diagonal L-shaped iron or steel angles or supports
(Tr. 331–332, Exhibits R–4, 6, 7, 8).
20.
While the precise amount of breathable air in the cited space is conjectural in
the absence of any scientific tests on the material date, safety and health
professionals generally agree, based on experience in similar operations, that welding
in such a space under the circumstances present here creates a potential
oxygen-deficient or contaminated atmosphere which is deemed to be a serious
hazard (Tr. 223–257, 274–275, 286–306).
21.
In determining proposed penalties for the alleged standard violations herein,
OSHA considered the gravity of the violations, respondent’s good faith, the
size of its business, and its history of violations under the Act (Tr. 74–99).
Due to an arithmetical miscalculation the proposed penalty for the alleged violation
set forth in Citation Number 5, item 1 should be $260 instead of $270 (Tr.
74–81, 89–96, 99–100, 295–305).
Opinion
Housekeeping
Standard
At
the hearing in this matter respondent took exception to the presiding judge’s
ruling granting complainant’s motion, filed the day before the hearing, to
amend the complaint and citation to provide a clearer, more accurate
description of the location of ‘Hull #6613,’ the subject of Citation Number 5
relating to the cited housekeeping standard 29 CFR 1916.51(a). In its
post-hearing brief, respondent renews and argues its position on this ruling
thus, in effect, seeking reconsideration of the prior ruling. That ruling
should be affirmed because respondent’s legal arguments are without merit.
To
recapitulate the pertinent facts, the citation in question was issued on
November 28, 1975, alleging respondent’s violation, on November 14, 1975, at
its Neville Island, Pennsylvania, place of employment, of the standard 29 CFR
1916,51(a) and the Act in that ‘At the following location hoses and electric
conductors had not been elevated over or placed under the walkway or working
surface or covered by adequate crossover plank.’ No more specific location was
stated in the original citation. In its complaint, issued on January 9, 1976,
complainant amended the citation by adding to the violation description: ‘Hull
#6613 moored at the fitting dock on the main channel of the Ohio River.’
Thereafter, in its April 5, 1976, motion to amend the complaint and the
citation for the second time, complainant corrected the added sentence to read
‘Hull #6613 located in the shipbuilding yard,’ thus clarifying that said hull
was on land and not water. Respondent argues that the second amendment came too
late and prejudiced respondent for lack of adequate notice and that, if denied,
the citation as first amended should be vacated for lack of specificity as
required by section 9(a) of the Act.
Amendments
of pleadings subsequent to the complaint, being not covered by the Commission’s
Rules, are governed by the applicable Federal Rules of Civil Procedure (29 CFR
2200.2(b)). Federal Rule 15 provides in pertinent part that, after service of
responsive pleadings, ‘a party may amend his pleading only by leave of court or
by written consent of the adverse party; and leave shall be freely given when
justice so requires.’ The only change effected by the second amendment was to
locate hull #6613 in the shipbuilding yard rather than in the fitting dock on
the Ohio River. Where the sought amendment would not mislead or otherwise
prejudice the opposing party, leave to amend will be freely given when justice
so requires. Lovell Clay Products Company, 10 OSAHRC 237, 238 (1974); J.
L. Mabry Grading, Inc., 9 OSAHRC 98, 110–112 (1973). It is the practice of
the Commission to allow the complainant to amend the citation when such
amendment corrects minor errors in the citation, or when the amendment is made
to more fully describe the violation indicated in the citation. Structural
Panel Components, 8 OSAHRC 271, 272–273 (1974). Here the amendment simply
corrected the location of the stated hull within respondent’s shipyard and in
no way changed the cited standard or the subject and description of the
violation.
While
the lateness (some four months after issuance of the citation) of this second
amendment may be deplorable and unprofessional (see complainant’s explanation,
Tr. 12–13), in the absence of any substantial showing of misleading or
prejudice, it is not fatal. Respondent could not have been misled as to the
subject and substance of the citation since the citation from the outset
specified ‘Hull #6613,’ the location of which on the inspection date
complainant should have known by reason of the fact that its Boatyard
superintendent accompanied the OSHA compliance officer on the walk-around
inspection. Alternatively, pre-trial discovery procedures were available to
respondent to seek clarification. Furthermore, by its own admission, and
commendably so, respondent was prepared with appropriate witnesses at trial to
present evidence on the citation as amended and it did so (Tr. 10–11).
The
legal authorities cited by respondent in its brief are inapposite. These cases
involve amendments substantially changing the violative issues or standards
alleged in the original citation and are therefore distinguishable from the
case at bar (See Old Forge Construction Company, Inc., CCH 1975–76 OSHD
para. 20,063 (1975); Marquette Cement Manufacturing Company, CCH 1975–76
OSHD para. 20,353 (1976)). The instant case is also distinguishable from Del
Monte Corp., CCH 1974–75 OSHD para. 19,751 (OSHRC Docket No. 11865), since
the only possible ambiguity of the citation in the present case related to the
location of the specified vessel under respondent’s control on which the specified
housekeeping violation allegedly occurred. Furthermore, the ‘particularity’
requirement of section 9(a) of the Act (29 U.S.C. 658(a)) is satisfied if the
‘Respondent was appraised of the subject facts so that it could take proper
corrective action and/or file a notice of contest or otherwise defend itself in
this matter.’ L. E. Myers Company, 16 OSAHRC 686, 687–688 (1975),
quoting the Commission in J. L. Mabry Grading, Inc., supra. It is
evident that respondent here was so appraised.
Respecting
the alleged repeated housekeeping violation set forth in Citation Number 5
herein, the cited standard, 29 CFR 1916.51(a), reads as follows:
Good housekeeping conditions shall be
maintained at all times. Adequate aisles and passageways shall be maintained in
all work areas. All staging platforms, ramps, stairways, walkways, aisles, and
passageways on vessels or drydocks shall be kept clear of all tools, materials,
and equipment except that which is in use, and all debris such as welding rod
trips, bolts, nuts, and similar material. Hose and electric conductors shall be
elevated over or placed under the walkway or working surfaces or covered by
adequate crossover planks.
A
preponderance of the relevant evidence of record, including unrebutted
testimony of compliance officer George Reed, welder Richard Sala, and rigger
Claude Willey, establishes that on November 14, 1975, there were a substantial
number of hoses and electric conductors, including welding leads, cluttering
the top of the stairway access, walkways, and passageways or working areas on
the deck of the towboat (hull number 6613) in respondent’s shipbuilding yard.
Said hoses and electric conductors were not elevated over or placed under the
walkway or working surfaces or covered by any crossover planks. (Finding of
Fact 4, supra.) As many as 15 of respondent’s employees working on the towboat
at the time of inspection were exposed to the tripping hazard posed by the
number, disorder, and location of the cited lines and conductors on the
inspection date (Finding of Fact 5, supra). However inherent or necessary in
the industry may be the welter of hoses and conductors on the deck of a towboat
under construction, there were and are ample additional practical housekeeping
measures which respondent could and should have implemented (as it had on
previous occasions) to minimize the hazards of the cited condition, based on
the substantially unrebutted testimony of employees Richard Sala and Joseph
Paquette and safety professional William Draper (Findings of Fact 6 to 9,
supra).
Since
the record herein establishes by a preponderance of the evidence that most if
not all of the hoses and conductors on the towboat were in use at the time of
inspection, respondent’s defense relies on the ‘in use’ exception provided in the
cited standard (29 CFR 1916.51(a)). However, read in the context of the
standard as a whole and consistent with the remedial purpose of the Act, the
‘in use’ exception may not, in the circumstances of this case, reasonably be
construed to operate so absolutely as to free respondent from any and all
obligation to minimize the hazard of ‘in use’ hoses, lines and conductors lying
on the deck of the towboat under construction here when housekeeping measures
to minimize such hazard may be accomplished without substantially restricting
or interfering with the use of said hoses, lines and conductors. Mr. Sala
testified that, following the inspection, a number of the hoses and lead
conductors were ‘neatened up’ to the side of the walkway next to the deck housing
without inhibiting their use (Tr. 50, 62); Mr. Reed and Mr. Paquette verified
that respondent designed and used stanchions previously to uplift hoses over
walkways on boats under construction (Tr. 41–42; 416–418) and could have
planked over most of the hoses and conductors at the access area of the ship
(Tr. 419).
Contrary
to respondent’s contention (Respondent’s Brief, p. 17), such a ‘degrees of
neatness’ construction, so long as it is reasonably compatible with effective
use of the hoses and conductors, is more consistent with the purpose of the
Act—to assure safe working conditions for all working men and women—than an
‘unequivocal exception’ construction. Respondent’s citation of Underhill
Construction Corp., OSHRC Docket No. 2232, 1974–75 OSHD par. 19,328 (1975)
(recognizing that some degree of hazard in workplace may be permissible when
job could not otherwise be completed) is inapt since in the instant case steps
to alleviate or minimize at least some multiple hose and conductors lying on
deck passageways could have been taken without substantially interfering with
use of the hoses and related equipment or completion of the job. While closer
channeling and grouping of hoses and conductors might increase the risk of
entanglement and limited mobility, such risks have not been shown to be
unavoidable or even probable on this record; indeed there is credible expert
testimony by Mr. Draper that through appropriate planning and use of techniques
these risks are substantially avoidable (Tr. 414–420, 435–453).
To
give operative effect to the cited housekeeping standard as a whole, we are
bound to construe the ‘in use’ exception provision in context with the other
provisions of the standard, including the general unqualified requirements that
‘Good housekeeping conditions shall be maintained at all times’ and that
‘Adequate aisles and passageways shall be maintained in all work areas’
(emphasis added). To carve out an absolute ‘in use’ exception without reference
to the circumstances in each case would unreasonably nullify the effect and
defeat the intent of the quoted provisions and actually preclude the kind of
practical consideration and balancing which both parties here seek and which
sound legal construction requires.
Respondent’s
further argument, that the cited violation of the housekeeping standard does
not constitute a ‘repeat’ violation within the meaning and intent of the Act,
is more troublesome. Complainant bases this citation principally on the
stipulation of three previous citations alleging violations of the same
standard which became final orders of the Commission (Complainant’s Brief, pp.
14–15; Tr. 15). Complainant’s position is in accord with the Commission’s
decision in Bethlehem Steel Corporation, 20 OSAHRC 227 (Docket No. 8392,
1975), wherein the Commission found ‘no language in the Act or its legislative
history indicating that a second violation must result from any particular
state of the employer’s mind in order to be a repeated violation within the
meaning of section 17(a)’ (29 U.S.C. 666(a)).[25] However, on appeal, this
decision was modified by the Third Circuit Court of Appeals. Bethlehem Steel
Corporation v. Occupational Safety and Health Review Commission and Secretary
of Labor, No. 75–2301, —— F.2d —— (3rd Cir., 1976).
In
the latter decision, involving the identically-worded housekeeping standard for
Ship Repairing (29 CFR 1915.51(a)), the Court held that ‘sec. 666(a) is
directed to particularly flagrant conduct, and therefore the objective conduct
which ‘repeatedly’ encompasses must be similar to that which would raise an
inference of willfulness.’ In developing a workable definition of ‘repeatedly’
the Court favorably quoted the Commission’s decision in General Electric
Company, 17 OSAHRC 49, 65–66 (No. 2739, 1975) (on appeal, No. 75–4116,
2d Cir. C.A.):
‘As a starting point, it should be
observed that the size of a penalty that can be imposed for a ‘repeated’
violation is ten times that for a singular ‘serious’ violation. Hence, it is
obvious that Congress intended to deal with a more flagrant type of conduct
than just a single serious violation. Cf. Frank Irey, Jr., Inc. v. OSHRC,
519 F.2d 1200 (3rd Cir. 1974), which discusses ‘willful’ violations as being
the most severe in the hierarchy of civil penalties. The term ‘repeated’ is therefore
read to mean happening more than once in a manner which flaunts the
requirements of the Act. With a test of whether the requirements of the Act are
being flaunted it cannot be said abstractly just how many places of employment
or conditions of employment should be considered. Each case must be decided
upon its own merits and turn upon the nature and extent of the violations
involved.’
The
Court further stated that ‘the mere occurrence of a violation of a standard or
regulation more than twice does not constitute that flaunting necessary to be
found before a penalty can be assessed under sec. 666(a).’ In determining what
acts constitute flaunting of the Act’s requirements, we are to be guided by the
Court’s statements in Irey because a broad interpretation of ‘repeatedly’ would
‘disrupt the gradations of penalties and violations so carefully provided in
the Act’ just as much as a broad interpretation of ‘willfully.’ Bethlehem
Steel Corp. v. Occupational Safety and Health Review Commission and Secretary
of Labor, supra. Thus, the flaunting required for a repeated violation
should contain ‘an element of obstinate refusal to comply’: ‘defiance,’ in
effect, ‘or such reckless disregard of consequences as to be equivalent to a
knowing, conscious, and deliberate flaunting of the Act.’ Among the factors
specified by the Court that the Commission should consider when determining
whether a course of conduct is flaunting the requirement of the Act are the
number, proximity in time, nature and extent of violations, their factual and
legal relatedness, the degree of care of the employer in his efforts to prevent
violations of the type involved, and the nature of the duties, standards, or
regulations violated. In the Court’s view ‘repeatedly’ is an objective test. While
the Commission has considerable discretion in determining whether conduct comes
within sec. 666(a), the acts themselves must flaunt the requirements of the
statute and the Commission need not determine whether the acts were performed
with intent to flaunt the requirement of the statute. Bethlehem Steel Corp.
v. Occupational Safety and Health Review Commission and Secretary of Labor,
supra at Fn. 12(a).
Here
the alleged housekeeping violation constituted respondent’s fifth citation
under the same standard (three of these were affirmed as final orders, one
under Commission review) since the effective date of the Act (respondent
alleges two of the three past violations occurred in 1973, Respondent’s Brief,
p. 32) Given the size of respondent’s shipbuilding operations (500 employees
approximately, Tr. 385) and the nature of such operations, which requires the
simultaneous presence of different types of tradesmen using multiple lines on a
shifting basis over a substantial period of time in the construction of each
towboat-type vessel, the number and proximity of respondent’s prior violations
of the housekeeping standard hardly connotes flaunting within the meaning of
the Act. See National Steel and Shipbuilding Co., OSAHRC Docket Nos.
11769 and 11011, CCH 1975–76, par. 19,762 (under review) (5,000 employees
operating on a three-shift basis).
On
the other hand, even taking into account that the lines on deck problem are
inherent in the industry and cannot be totally eliminated, the fact that the
record evidence here shows no effort by respondent to alleviate this problem on
the cited towboat prior to the inspection, despite previous citations for the
same standard violation, thus exposing approximately 15 employees to the
tripping hazard created, does suggest an element of obstinate refusal to comply
with the standard. This suggestion is reinforced by testimonial evidence of
witnesses for both parties that the towboat conditions cited were normal and
daily (Tr. 55, 70, 427–428) and that complainant, while taking some steps to
alleviate specific problems of this nature on occasion (Tr. 54–55, 409), had no
affirmative, systematic safety program to alleviate this problem generally as a
matter of policy, principally because of the company’s position that there is
no practical way to eliminate the line-tripping hazard beyond use of the
tree-stanchions (Tr. 417–418) and manifolds for gas and oxygen lines at times
(Tr. 461–463).
It is
further noted that, although the cited standard requires that adequate aisles
and passageways be maintained in all work areas, complainant considers the
entire boat a work surface at this stage of construction, with no designated
aisles or walkways practical since work is taking place all over the boat (Tr.
424–425). Complainant has undertaken no study of this problem by safety
professionals (Tr. 418, 425), but has consulted its safety director and others,
including its supervisory officials, like Superintendent of Boatyards Paquette
and General Hull Superintendent Seddon. in their view it is impossible to
eliminate all lines lying on a boat under construction and impractical to
channel or group them close together (as would occur with use of stanchions,
troughs, or crossover planks) since, with the degree of mobility required, that
would likely increase entanglement of the lines, unduly cover the working
surface making it more difficult to walk and work on, and cause an undue
time-consumption factor on the part of employees using the lines (Tr. 411–416,
460–461). Similarly, complainant deems the use of grid manifolds and linesmen
of limited value because they would not eliminate the problem, although,
admittedly they could reduce the problem to some extent (Tr. 425–426, 429,
456–457, 464–465, 469).
On
balance, I find that complainant, after three previous violations, has failed
to exercise the degree of care required of a prudent employer in his efforts to
prevent violations of the type here involved. There is no evidence that any
such efforts were made on the cited towboat on which some 15 tradesmen were
working. While the broad, comprehensive requirements of the housekeeping
standard make compliance difficult, respondent cannot ignore its compliance
responsibilities in this area. In National Steel and Shipbuilding Co., supra,
involving a substantially larger shipbuilding operation, the employer took
affirmative and reasonable action to improve the housekeeping situation at the
worksite, including the assignment of five different creaft foremen with areas
of responsibility for housekeeping on each ship under construction, as well as
periodic safety inspections of the shipyard and ships under construction giving
attention to the immediate correction of existing unsafe housekeeping
conditions. In contrast, respondent appears to take the position that since
lines cannot be totally eliminated from decks of vessels under construction,
little or no sustained corrective or preventive action is required by the
standard, particularly if such action entails essentially nonproductive cost in
this very competitive industry (Tr. 418, 425–429, 455–456, 459–460, 463–469).
Such an attitude, viewed in the context of the circumstances here, bespeaks an
element of obstinate refusal to comply or attempt to comply with the cited
standard. Such flaunting of the statute by respondent warrants applicability of
29 CFR 666(a) to the case at bar.
In
computing the proposed penalty for the housekeeping standard violation, I would
accord respondent more credit for good faith and less for history of past
violations than did OSHA (Finding of Fact 20, supra) for some of the reasons
discussed above. Accordingly, a penalty of $250 would be appropriate.
Ventilation Standard
Respecting
the cited ventilation standard (29 CFR 1916.31(b)), respondent contends that it
is so vague as to violate due process of law (Respondent’s Brief, pp. 33–36).
Respondent
also questions whether the cited compartment in the rake end of the barge
concerned is a confined space within the meaning of the standard and as defined
in 29 CFR 1916.2(m), including whether or not under this standard in the
circumstances of this case complainant has the burden of proving hazardous
exposure, i.e., employee exposure to a concentration of smoke and gaseous fumes
from burning welding rods in excess of the safe limits permitted by the
Threshold Limit Values of the American Conference of Governmental Industrial
Hygienists (see 29 CFR 1916.5 and 21(b); Respondent’s Brief, p. 47).
Respondent
contends that the cited rake end compartment of the barge falls within the
definition of ‘enclosed space’ (29 CFR 1916.2(n)) rather than confined space
and, alternatively, that complainant has not met its burden of proving
hazardous exposure.
Ventilation
and Protection in Welding, Cutting and Heating, 29 CFR 1916.31 provides in
pertinent part as follows:
(b) Welding, cutting and heating in
confined spaces
(1) Except as provided in paragraphs
(b)(3) and (c)(2) of this section [not applicable here], either general
mechanical or local exhaust ventilation meeting the requirements of paragraph
(a) of this section shall be provided whenever welding, cutting or heating is
performed in a confined space.
29 CFR 1917.31(a), Mechanical Ventilation;
requirements, provides in pertinent part as follows:
(1) For purposes of this section,
mechanical ventilation shall meet the following requirements:
(i) mechanical ventilation shall consist
of either general mechanical ventilation systems or local exhaust systems.
(ii) General mechanical ventilation shall
be of sufficient capacity and so arranged as to produce the number of air
changes necessary to maintain welding fumes and smoke within safe limits.
(iii) Local exhaust ventilation shall
consist of freely movable hoods intended to be placed by the welder or burner
as close as practicable to the work. This system shall be of sufficient
capacity and so arranged as to remove fumes and smoke at the source and keep
the concentration of them in the breathing zone within safe limits.
29 CFR 1916.2—Definitions, provides in
pertinent part as follows:
(m) The term ‘confined’ space means a
compartment of small size and limited access such as a double bottom tank,
cofferdam, or other space which by its small size and confined nature can
readily create or aggravate a hazardous exposure.
(n) The term ‘enclosed space’ means any
space other than a confined space, which is enclosed by bulkheads and overhead.
It includes cargo holds, tanks, quarters and machinery and boiler spaces.
The
vagueness issue raised by respondent is essentially based on the varying
approaches or interpretations apparently given by complainant’s witnesses to
the term ‘confined space,’ which term, as defined in sec. 1916.2(m), governs
the applicability of cited standard sec. 1916.31(b) (see Respondent’s Brief,
pp. 33–36). While the illustrative examples in the definition give some
guidance as to the type of compartment of ‘small size and limited access’ which
constitutes ‘confined space,’ no such guideline examples are given respecting
‘other space which by its small size and confined nature can readily create or
aggravate a hazardous exposure.’ Such a lack of definitional precision tends to
thrust more responsibility upon the judgment and expertise of enforcement
officials and makes it more difficult for employers to know or anticipate the
proper metes and bounds of the standard with which they are bound to comply.
A
statute (or regulation) which is so vague that men and women of common
intelligence must necessarily guess at its meaning and differ as to its
application violates due process. Brennan v. Occupational Safety and Health
Review Commission and Santa Fe Trail Transport Company, 505 F.2d 869, 872
(1974); Connally v. General Construction Co., 269 U.S. 385, 391; Boyce
Motor Lines, Inc. v. United States, 342 U.S. 337. But a regulation
promulgated pursuant to remedial civil legislation must be construed in the
light of the conduct to which it is applied. Santa Fe Trail Transport
Company Case, supra (hereinafter Santa Fe) at 872, citing Ryder Truck
Lines, Inc. v. Brennan, 497 F.2d 230, 233 (5th Cir. 1974); United States
v. National Dairy Corp., 372 U.S. 29, 36 (1963). The question is whether
the regulation ‘delineates its reach in words of common understanding,’ bearing
in mind that a permissible ‘leeway’ is allowed in the field of regulatory
statutes governing business activities in narrow categories, Santa Fe,
supra, citing Cameron v. Johnson, 390 U.S. 611, 616 (1968); Papachristou
v. City of Jacksonville, 405 U.S. 156 (1972).
While
the cited standard may not on its face inform a person of common intelligence
precisely how small or confined a space must be absolutely or in order to
readily create a hazardous exposure to someone present or working in the space,
with or without personal protective equipment, and thus require mechanical
ventilation, the standard does clearly emphasize the need for ventilation
whenever welding is performed in a confined or restricted space. In thus
seeking to avoid or prevent on-the-job injuries, the standard certainly
furthers the objectives of the Act.
While
the regulation may not be a model of perfect precision, I do not believe its
imprecision renders it unenforceably vague. As remedial civil legislation
applicable to an entire industry, the regulation was drafted in the light of
the myriad conceivable situations which could arise and which would be capable
of causing injury or creating potential hazards. See Ryder Truck Lines, Inc.
v. Brennan, supra; McLean Trucking Co. v. Occupational Safety and Health
Review Commission and Secretary of Labor, 503 F.2d 8 (4th Cir. 1974). The
range and variety of sizes, limited access, and structural constriction of
compartments in the various types of vessels constructed or repaired in
American shipyards, including respondent’s, and the diversity of work
conditions affecting the breathable air in such compartments, including the
amount of natural ventilation, the specific nature, duration and intensity of
the work activity performed therein and the nature and hazard potential of any
air contaminants incident to such work activity in the compartment—all these
variable factors make the drafting of such a regulation with exactitude most
difficult. At the same time, inherent in this standard is an external and
objective test, namely, whether or not a reasonable person would recognize a
hazard or potential hazard of respiratory difficulty or bodily injury due to
oxygen insufficiency or air contamination when welding is performed in a
relatively confined space, which would warrant mechanical ventilation. So long
as the regulation affords a reasonable warning of the proscribed conduct in the
light of common understanding and practices, it will pass constitutional
muster. Ryder Truck Lines, Inc., supra; United States v. Petrillo,
332 U.S. 1, 4 (1947).
In
any event, the appropriate test in this case is whether a reasonably prudent
man familiar with the circumstances of the shipbuilding industry would have
protected against the hazard. See Cape and Vineyard Division of the New
Bedford Gas and Edison Light Company v. Occupational Safety and Health Review
Commission, 512 F.2d 1148 (1st Cir. 1975). The unrebutted testimony of
expert witness Draper, a senior OSHA maritime compliance officer experienced as
a marine safety engineer and as a shipyard competent person, establishes that
the need for adequate ventilation when welding is performed in confined spaces
is well known throughout the industry (Tr. 215). Indeed, according to this
credible expert witness, ‘all professional societies that are involved in
welding and safety, including the National Safety Council, recommend that any
area that has less than 50,000 cubic feet of space be ventilated prior to work’
(Tr. 216). In the largest American shipyard, it is the policy that no spaces or
voids, confined or not confined, are to be entered without previously
determining the atmosphere and providing adequate exhaust and mechanical
ventilation (Tr. 215). The testimony of the welder in this case, particularly
his repeated efforts to secure mechanical ventilation for his work on the cited
and other barges, just as he had when working earlier on towboats, tends to
confirm that the use of mechanical ventilation by welders in the type of
compartment space here involved is an accepted practice and well within the
common understanding and experience of those working in the industry (Finding
of Fact 17, supra). Industrial hygienist Carey also indicated that it is a
matter of general agreement within the safety and health community that similar
operations in confined spaces have created oxygen deficiencies (Tr. 287).
Complainant’s
contention that the non-cargo compartment in the rake end of the cited barge
falls within the definition of ‘confined space’ is supported by credible
testimonial evidence of the relatively small size of the space (approximately
54 x 36 x 2–10 feet; net air volume of about 14,500 cubic feet, allowing for
numerous interior structural members), the very limited access to the space
(one hatch 15 x 23 inches in size), the generation and accumulation of smoke
and fumes from the burning welding rods in the space during the welder’s normal
working hours (smoke observed rising from hatch after welder exited, wearing respiratory
protection face mask, after about 4 hours’ work broken by a short rest period
and 1/2 hour lunch period). Bearing in mind the hazardous contaminants emitted
by the burning welding rods (Finding of Fact 14, supra), a preponderance of the
evidence of record and the reasonable inferences to be drawn therefrom indicate
that such a space, in the circumstances of this case, could readily create or
aggravate a hazardous exposure.
While
the space here is considerably larger than the examples of compartments of
small size and limited access referred to in the definition of ‘confined space,’
the definition also encompasses ‘other space which by its small size and
confined nature can readily create or aggravate a hazardous exposure.’ The
examples are deemed to be illustrative and not strict size and access
limitations, especially in a potential health hazard situation. Accord,
Construction Safety and Health Standards, which have the identical
ventilation/welding provision (29 CFR 1926.353(b)(1)), but the same definition
for ‘confined’ and ‘enclosed’ spaces (1926.21(b)(6)). By the essentially
unrebutted testimony of Mr. Carey, an experienced industrial hygienist with
expertise in evaluating confined spaces (Tr. 268–269) and of Mr. Draper, a
senior maritime compliance officer, marine safety engineer, and former shipyard
competent person with substantial experience in evaluating confined spaces on
barges of the type here involved from a safety and health standpoint (Tr.
169–202), complainant has sustained the OSHA determination, based on the
recommendation of the inspecting compliance officer, Mr. Reed, that the cited
space under the work conditions existing on the inspection date was indeed a
confined space within the meaning of the cited standard, as defined (Tr. 108,
214–216, 241, 278). The opinion to the contrary by respondent’s qualified chief
marine engineer (Mr. Van Mook) was based primarily on construction engineering
and design considerations, untutored by safety and health considerations, to
which the cited standard is particularly attuned (Tr. 322–324, 348, 352,
356–357, 361).
The
purpose and thrust of the cited standard as defined is clearly to require
employers to take appropriate steps to prevent or avoid exposures of employees
to any conditions which could readily become hazardous, such as by reason of
oxygen deficiency or concentrations of toxic smoke and fumes beyond safe
limits. The preventive intent, based on a competent potential risk-evaluation
before entry into a confined space, is implicit in the definition of confined
space.
Since
determining a confined space as defined necessarily involves a potential hazard
evaluation prior to entry into such space, so does the cited standard itself
which, with certain inapplicable exceptions, explicitly requires mechanical
ventilation ‘whenever welding . . . is performed in a confined space.’ This
preventive or precautionary intent (as distinguished from correction or
elimination of existing hazard), expressed in the language of the cited
standard, is reinforced by other provisions of Subpart D of the ‘Shipbuilding’
standards and other parts of the maritime standards. See 29 CFR 1916.31(c) and
(e), 32, 33 and 34. The precautionary thrust of the cited standard is evident
when contrasted with sec. 1916.31(e), which requires suitable mechanical
ventilation for general welding not involving conditions or materials described
in paragraph (b) only where, because of unusual physical or atmospheric
conditions, an unsafe accumulation of contaminants exists. Similarly, in
1916.82 (Respiratory Protection), appropriate respiratory protective equipment
is required when employees are exposed even to unknown concentrations in a
gaseous contaminated atmosphere not immediately dangerous to life (29 C.F.R.
1916.82(c) and (e)).
Certainly
the keystone of the Act is preventability. Brennan v. Occupational Safety
and Health Review Commission and Underhill Construction Corporation, 513
F.2d 1032, 1039 (2d Cir. 1975); National Realty and Construction Corporation
v. Occupational Safety and Health Review Commission, 489 F.2d 1257, 1266–67
(D.C. Cir. 1973); Brennan v. Occupational Safety and Health Review
Commission and Gerosa, Incorporated, 491, F.2d 1340, 1742 (1974). And the
purpose of the Act is ‘to assure so far as possible every working man and woman
in the Nation safe and healthful working conditions.’ Sec. 2(b), Occupational
Safety and Health Act of 1970.
The
fact that the cited standard incorporates by reference requirements for
mechanical ventilation equipment which include a capacity to keep the
concentration of welder smoke and fumes in the breathing zone ‘within safe
limits,’ does not, in the context of the regulatory scheme previously
discussed, require complainant to prove the existence of unsafe air
concentrations, i.e., specific threshold limit values in excess of those
promulgated by the Department of Labor or the American Conference of Government
Industrial Hygienists, in order to show a violation of the cited standard. The
Secretary need only show, as was done in this case, the existence of welding in
a confined space. Compare: Bethlehem Fabrications, Inc., OSAHRC Docket
No. 7176 (1976) (proof of dangerous quantities of emission from spray painting
activities required under 29 CFR 1910.94(c)(2) read in conjunction with the
definition of spraying area at sec. 1910.107(a)(2)).
As
thus interpreted, the cited standard clearly imposes the risk of noncompliance
on employers, including respondent here, who fail to make competent pre-entry
determinations as to whether a compartment in which welding is to be performed
is a confined space within the meaning of the standard. While the cited
standard, unlike some other sections of the welding subpart (see 29 CFR
1916.33(d) and 1916.34(c)), does not specifically require a competent person,
as defined in 1916.10, to make pre-entry atmospheric tests or evaluations, such
a designated person or one of comparable qualification could well be used by
the employer to make any potential hazard determination which may be deemed
prudent in order to assure compliance with the standard (Tr. 200–202, 232–233).
Adequate
provision of appropriate mechanical ventilation equipment where confined space
determinations are made is required for compliance with the standard. Such
precautionary requirements appear to be practical and consistent with normal
customs and practices within the industry. All professional societies involved
in welding, including the National Safety Council, the American Welding Society
and the pertinent ANSI standards, recommend that any welding area with less
than 50,000 cubic feet of space be ventilated prior to work (Tr. 216, 239).
Indeed, compliance officer Reed had on previous inspections at this employer’s
shipyard seen mechanical ventilation being used on these types of barges (Tr.
106) and Mr. Sustrich stated that ventilation equipment had been regularly issued
him when he was working on towboats (Tr. 154–155).
Respondent’s
violation of the cited ventilation standard was a serious violation within the
meaning of section 17(k) of the Act because if the potential hazard of oxygen
deficiency and/or air contamination when welding in an unventilated confined
space became actual or actually occurred, there is a substantial probability
that death or serious physical harm could result to the welder thus exposed
from the condition created or from the practices, methods, operations or
processes used. The unrebutted credible testimony of Mr. Carey, complainant’s
certified industrial hygienist, and of Mr. Draper, complainant’s expert marine
safety engineer, provide ample evidence of the serious types of injury or death
which could result from exposure to the violative condition, e.g., oxygen
deficiency or toxic contamination of the breathable air generated by the
welding process in the confined space (Finding of Fact 13, supra; Tr. 216).
The
fact that the welder here was wearing a cloth mouthpiece and that no air
contamination tests or verification were made does not preclude a finding of a
serious violation of the cited standard. The personal protective mouthpiece
worn was not an approved respirator, as required by sec 1916.82(a) (see
1916.31(b)(3)). As previously noted, complainant’s burden of proof of violation
of the standard did not require a showing of the existence of a contamination
beyond safe limits in the confined space, but only a showing of the potential
hazard of welding in such space. Indeed, unlike the employer in Bethlehem
Fabricators, Inc., supra, respondent here did not make any atmospheric tests or
measurements, so that the extent of the air contamination in the confined space
at the time of inspection remains undetermined.
Respecting
the penalty for the serious ventilation violation, since the appropriate
equipment was apparently available but not effectively provided and used in
respondent’s barge division and the record showing no previous violation of
this standard by respondent, I would give it more credit for good faith and
history and assess a penalty of $700.
Conclusions of Law
1. At
all times material herein respondent was an employer with employees engaged in
a business affecting commerce within the meaning of sections 3(5) and 5(a) of
the Act, and the Commission has jurisdiction of the parties and the subject
matter herein under section 10 of the Act.
2. At
all times material herein respondent was subject to the requirements of the Act
and the occupational safety and health standards promulgated thereunder
pursuant to section 6 of the Act, including the standards cited herein.
3.
Complainant’s motion to amend the complaint and Citation Number 5 herein was
properly granted in accordance with the applicable Rules of Procedure and
section 9(a) of the Act as interpreted by the Commission under law.
4. On
November 14, 1975, as set forth in the pertinent amended citation herein,
respondent violated the occupational safety and health standard set forth at 29
CFR 1916.51(a) under section 5(a)(2) of the Act. Said violation was a repeated
violation under section 17(a) of the Act, for which a civil penalty of $250 is
assessed in accordance with section 17(j) of the Act.
5.
The occupational safety and health standard 29 CFR 1910.31(b)(1) is not
unenforceably vague and constitutes no substantial denial of due process.
6. On
November 14, 1975, as set forth in the pertinent citation herein, respondent
violated the occupational safety and health standard set forth at 29 CFR
1916.31(b)(1) under section 5(a)(2) of the Act. Said violation was a serious
violation under section 17(b) and (k) of the Act, for which a civil penalty of
$700 is assessed in accordance with section 17(j) of the Act.
ORDER
Based
on the foregoing findings of fact, opinion, and conclusions of law and the
record herein as a whole, it is ORDERED that serious Citation Number 2 and
repeated Citation Number 5, as amended, both issued on November 28, 1975, be
and hereby are affirmed, with penalties of $250 and $700, respectively, hereby
assessed.
DONALD K. DUVALL
Judge, OSHRC
Dated: October 12, 1976
Hyattsville, Maryland
*Commissioner
COTTINE took no part in the consideration or decision of this case.
[1] Former
Commissioner Moran directed review of Judge Duvall’s decision without
specifying issues. Dravo Corporation subsequently raised issues in a petition
for review and presented argument on those issues in a brief. Under these
circumstances, the Commission will address the issues raised by Dravo. See Grossman
Steel & Aluminum Corp., 78 OSAHRC 85/A2, 6 BNA OSHC 2020 (No. 76-2834,
1978) (not reported in CCH OSHD).
[2] Dravo properly
notes that the welder was in the rake for four hours but was not welding during
the entire period. Contrary to Dravo’s implicit assertion, the time spent
welding is not a significant factor in this case.
[3] The ventilation
standard provides, in pertinent part, that
.
. . either general mechanical or local exhaust ventilation meeting the
requirements of paragraph (a) of this section shall be provided whenever
welding, cutting, or heating is performed in a confined space.
[4] Reed had been
safety director for the Irvin Works division of the United States Steel
Corporation for 15 years before being employed as a compliance officer in 1971
or 1972. He testified that United States Steel had developed procedures for
entry into confined spaces twenty years before the hearing in this case.
[5] Draper was the
maritime safety engineer for the Newport News Shipbuilding and Drydock Company,
the largest shipbuilding and repair facility in the United States, for three
years before joining the Department of Labor. In that position, he was
responsible for the safety of 2600 welders. For eight years prior to this
Draper was a marine safety specialist with the United States Army Reserve. A
significant part of his time during the four years prior to the hearing was
spent inspecting barges. Judge Duvall qualified Draper as an expert on matters
of maritime safety.
[6] Carey was employed
by the State of Pennsylvania as an industrial hygienist from 1969 through 1975.
He specialized in investigating confined space entry procedures during the last
two and one-half years of his tenure with Pennsylvania. (The definition of
confined space that Carey used as a Pennsylvania employee is not identical to
the definition at 29 C.F.R. § 1916.2(m), but Carey testified that the same
factors—size and access—are relevant to both.) He is certified to practice
industrial hygiene by the American Board of Industrial Hygienists.
[7] Dravo argues that
reliance on the absence of natural ventilation in deciding whether a space is
confined is improper because the definition of confined space refers only to
access and size. We disagree. The extent to which a space is ventilated
naturally has a direct bearing on whether a hazardous exposure can be created,
which is the principal test of the standard.
[8] The term ‘enclosed
space’ is defined as follows:
.
. . any space, other than a confined space, which is enclosed by bulkheads and
overhead. It includes cargo holds, tanks, quarters and machinery and boiler
spaces.
29 C.F.R. § 1916.2(n).
[9] Van Mook admitted
that a cofferdam and a double bottom tank of a large tanker could have a volume
greater than the rake on Dravo’s barge. Both of these compartments are used as
examples of a confined space in its definition. Thus, even if size were the
only factor to be used to decide if a space is confined or enclosed, Van Mook’s
testimony would not compel a finding that the rake is an enclosed space. The
testimony raises the question of whether Van Mook considered large vessels in
forming his opinion that the rake is an enclosed space.
[10] There can be no
assurance that two people, even those with expertise, always will agree on the
application of a standard that cannot be applied with mathematical precision.
Individual views necessarily influence a person’s judgment. Thus, it is not
surprising that the Secretary’s witnesses did not agree on the application of
the ventilation standard to a few spaces hypothesized by Dravo’s counsel at the
hearing. Nor is the disagreement grounds for concluding that the ventilation
standard is vague. The relevant inquiry is whether reasonable persons would
agree as to the application of the ventilation standard to the circumstances of
this case. As noted previously, there was no disagreement among the Secretary’s
witnesses as to this issue. Moreover, we conclude infra that reasonable persons
would agree as to the need for mechanical ventilation in the rake on Dravo’s
barge.
[11] In support of this
conclusion, the judge cited Cape and Vineyard Division of the New Bedford
Gas and Edison Light Company v. Occupational Safety and Health Review
Commission, 512 F.2d 1148 (1st Cir. 1975). He also stated the following:
At
the same time, inherent in this standard is an external and objective test,
namely, whether or not a reasonable person would recognize a hazard or potential
hazard of respiratory difficulty or bodily injury due to oxygen insufficiency
or air contamination when welding is performed in a relatively confined space,
which would warrant mechanical ventilation.
[12] Section 17(k) of
the Act, 29 U.S.C. § 666(j), defines a serious violation as follows:
(k)
For purposes of this section, a serious violation shall be deemed to exist in a
place of employment if there is a substantial probability that death or serious
physical harm could result from a condition which exists, or from one or more
practices, means, methods, operations, or processes which have been adopted or
are in use, in such place of employment unless the employer did not, and could
not with the exercise of reasonable diligence, know of the presence of the violation.
[13] The relevant
portions of subsection 1916.31(a) provide the following:
§
1916.31 Ventilation and protection in welding, cutting and heating. (a)
Mechanical ventilation; requirements.
(1)
For purposes of this section, mechanical ventilation shall meet the following
requirements:
(i)
Mechanical ventilation shall consist of either general mechanical ventilation
systems or local exhaust systems.
(ii)
General mechanical ventilation shall be of sufficient capacity and so arranged
as to produce the number of air changes necessary to maintain welding fumes and
smoke within safe limits.
(iii)
Local exhaust ventilation shall consist of freely movable hoods intended to be
placed by the welder or burner as close as practicable to the work. This system
shall be of sufficient capacity and so arranged as to remove fumes and smoke at
the source and keep the concentration of them in the breathing zone within safe
limits.
[14] Section
17(k) of the Act, 29 U.S.C. § 666(j), defines a serious violation as follows:
(k) For purposes of this
section, a serious violation shall be deemed to exist in a place of employment
if there is a substantial probability that death or serious physical harm could
result from a condition which exists, or from one or more practices, means, methods,
operations, or processes which have been adopted or are in use, in such place
of employment unless the employer did not, and could not with the exercise of
reasonable diligence, know of the presence of the violation.
[15] The inspected
workplace involved in this case is located within the physical jurisdiction of
the United States Court of Appeals for the Third Circuit. Accordingly, there is
a possibility that our decision in this case may be reviewed by that court.
Section 11(a) of the Act, 29 U.S.C. § 660(a). We note that the court recently
issued its decision in Bethlehem Steel Corp. v. OSHRC and Marshall,
Docket No. 78-2337 (3d Cir. Oct. 24, 1979). In that decision, the court
reversed and remanded a Commission judge’s decision holding that Bethlehem Steel
committed a serious violation of the Act by failing to comply with several
standards relating to the providing of adequate ventilation for welders in
confined spaces. Among the alleged violations at issue was an asserted failure
to comply with 29 C.F.R. § 1916.31(b)(1), the same standard at issue in the
instant case.
We conclude that there is no
inconsistency between our decision in this case and the court’s decision in Bethlehem
Steel Corp. The basis of the court’s order in that case was the failure of
the Commission judge to comply with ‘the minimum standards required by the
Administrative Procedure Act.’ Slip opinion at p. 8. In particular, the judge’s
conclusion that the violation was serious was inadequate because ‘the ALJ
nowhere relate[d] the evidentiary basis upon which a serious violation might be
found. . . . [and] the ALJ’s findings of fact [did] not specify how and why a
substantial probability of death or bodily harm existed from inadequate
ventilation . . . on the day of the OSHA inspection.’ Id. Here, we have fully
explained ‘how and why’ the conditions at Dravo’s workplace created a
substantial probability that death or serious physical harm could result. We
have also fully set forth the evidentiary basis for our findings and our
conclusion. The instant case and Bethlehem Steel Corp. are therefore
clearly distinguishable.
We also note that the court in Bethlehem
Steel Corp. did not rule upon the merits of the allegation that the
violation was serious and that it endorsed the test for determining whether a
violation is serious that we have applied in this case. Slip opinion at p. 7.
[16] The various hoses
and lines included electrical lines for lighting, air hoses for pneumatic
tools, oxygen and gas lines for burning, and weld lines for welding. Each was
attached to a stationary outlet on the ground near the hull of the towboat.
[17] § 1916.51
Housekeeping.
(a)
Good housekeeping conditions shall be maintained at all times. Adequate aisles
and passageways shall be maintained in all work areas. All staging platforms,
ramps, stairways, walk-ways, aisles, and passageways on vessels or drydocks
shall be kept clear of all tools, materials, and equipment except that which is
in use, and all debris such as welding rod tips, bolts, nuts, and similar
material. Hose and electric conductors shall be elevated over or placed under
the walkway or working surfaces or covered by adequate crossover planks.
[18] Dravo claimed in
its petition for review that the hoses and lines did not present a hazard. This
claim was not argued in Dravo’s brief. Assuming that the contention remains
before us, it is without merit. Section 1916.51(a) consists of ‘requirements or
prohibitions that by their terms must be observed whenever specified
conditions, practices or procedures are encountered.’ Austin Bridge Company,
79 OSAHRC ——, 7 BNA OSHC 1761, 1765-66, 1979 CCH OSHD ¶23, 935 at p. 29,021
(No. 76-93, 1979). The provisions of the standard, ‘are predicated on the
existence of a hazard when their terms are not met’ and accordingly ‘the Secretary
is not required to prove that noncompliance . . . creates a hazard in order to
establish a violation.’ Id. Furthermore, the record supports the judge’s
finding that Dravo’s employees were exposed to tripping hazards created by the
cited conditions.
[19] The housekeeping
standard lists only three methods of preventing hoses and lines from becoming
tripping hazards: (1) elevating them over the walkway or working surface, (2)
placing them under the walkway or working surface, or (3) covering them by
adequate crossover planks. Dravo argues that these are the only methods
required by the standard and, therefore, that the other methods suggested by
the compliance officer are irrelevant. We disagree. The standard establishes a
preference for the listed methods. If these methods cannot eliminate the
hazard, an employer must use alternative methods in order to comply with the
requirements of the first two sentences of the standard, i.e., maintain good
housekeeping generally and clear passageways specifically. See Kelly
Construction Services, Inc., 76 OSAHRC 89/F3, 4 BNA OSHC 1491, 1976-77 CCH
OSHD ¶20,925 (No. 7102, 1976).
[20] Judge Duvall found
that Dravo previously used cable trees and cross-over plates. Dravo excepts to
this finding apparently because it can be read to mean that Dravo stopped using
these devices. We do not read the finding in this way, and it does not appear
that the judge intended or relied on the finding as read by Dravo.
[21] Dravo also asserts
that elevating and covering the lines and hoses could have increased the
hazards to which employees were exposed. It is difficult to decide whether this
assertion is part of Dravo’s impossibility defense or a separate defense. If it
is the former, it does not alter the discussion or conclusion reached above. If
the separate greater hazard defense is being raised, it must be rejected. In
order to establish this defense, an employer must prove that (a) the hazards
that would have been created by complying with the relevant standard would have
been greater than the hazards that resulted from noncompliance, (b) alternative
means of protecting employees were either used or unavailable, and (c) a
variance application under section 6(d) of the Act would have been
inappropriate. M.J. Lee Construction Co., supra. As noted above, we have
affirmed the judge’s finding that Dravo could have substantially reduced the
tripping hazards on the boat. Accordingly, Dravo has not established the first
and primary element of the greater hazard defense, that compliance would create
a greater hazard.
[22] Dravo asserts that
the Commission is obligated to follow the Third Circuit’s opinion in the Bethlehem
Steel case. Dravo is incorrect. See, e.g., S & H Riggers and
Erectors, Inc., 79 OSAHRC ——, 7 BNA OSHC 1260, 1979 CCH OSHD ¶23,480 (No. 15855,
1979), appeal docketed, No. 79-2358 (5th Cir. June 7, 1979).
[23] The Chairman would
also find a violation repeated if, ‘[i]n the absence of evidence that the
antecedent and present violations concern noncompliance with the same
standard,’ the Secretary establishes through other evidence ‘that the
violations are substantially similar in nature.’ Potlatch Corp., supra,
7 BNA OSHC at 1063, 1979 CCH OSHD at p. 28, 172.
[24] Commissioner Barnako notes that Dravo has introduced evidence relating to the difficulty of maintaining good housekeeping conditions and efforts it has made to do so. See FMC Corp., supra (Barnako separate opinion). However, the ‘good faith effort’ defense has neither been clearly raised nor fully tried in this case.
[25] Section 17(a) of
the Act provides: ‘Any employer who willfully or repeatedly violates the
requirements of section 5 of this Act, any standard, rule, or order promulgated
pursuant to section 6 of this Act, or regulations prescribed pursuant to this
Act, may be assessed a civil penalty of not more than $10,000 for each
violation.’