99-8196. Qualification of Drivers; Exemption Applications; Vision  

  • [Federal Register Volume 64, Number 64 (Monday, April 5, 1999)]
    [Notices]
    [Pages 16517-16520]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 99-8196]
    
    
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    DEPARTMENT OF TRANSPORTATION
    
    Federal Highway Administration
    [FHWA Docket No. FHWA-98-4334]
    
    
    Qualification of Drivers; Exemption Applications; Vision
    
    AGENCY: Federal Highway Administration (FHWA), DOT.
    
    ACTION: Notice of final disposition.
    
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    SUMMARY: The FHWA announces its decision to exempt 23 individuals from 
    the vision requirement in 49 CFR 391.41(b)(10).
    
    DATES: April 5, 1999.
    
    FOR FURTHER INFORMATION CONTACT: For information about the vision 
    exemptions in this notice, Ms. Sandra Zywokarte, Office of Motor 
    Carrier Research and Standards, (202) 366-2987; for information about 
    legal issues related to this notice, Ms. Judith Rutledge, Office of the 
    Chief Counsel, (202) 366-0834, Federal Highway Administration, 
    Department of Transportation, 400 Seventh Street, SW., Washington, DC 
    20590. Office hours are from 7:45 a.m. to 4:15 p.m., e.t., Monday 
    through Friday, except Federal holidays.
    
    SUPPLEMENTARY INFORMATION:
    
    Electronic Access
    
        An electronic copy of this document may be downloaded using a modem 
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    Background
    
        Twenty-four individuals petitioned the FHWA for a waiver of the 
    vision requirement in 49 CFR 391.41(b)(10), which applies to drivers of 
    commercial motor vehicles (CMVs) in interstate commerce. They are Gary 
    R. Andersen, Joe F. Arnold, Jack E. Atkinson, Gary A. Barrett, Ivan L. 
    Beal, Johnny A. Beutler, Richard D. Carlson, David John Collier, Tomie 
    L. Estes, Jay E. Finney, Britt D. Hazelwood, Jon R. Houston, Chad M. 
    Kallhoff, Loras G. Knebel, Rodney D. Lemburg, Dexter L. Myhre, James H. 
    Oppliger, Stephanie D. Randels, Duane L. Riendeau, Darrell Rohlfs, 
    Marvin L. Swillie, Larry Waldner, and Ronald Watt. The FHWA evaluated 
    the petitions on their merits, as required by the decision in 
    Rauenhorst v. United States Department of Transportation, Federal 
    Highway Administration, 95 F.3d 715 (8th Cir. 1996), and made a 
    preliminary determination that the waivers should be granted. On 
    December 1, 1998, the agency published notice of its preliminary 
    determination and requested comments from the public (63 FR 66226). The 
    comment period closed on December 31, 1998. One comment was received, 
    and its contents were carefully considered by the FHWA in reaching the 
    final decision to grant the petitions.
        The FHWA has not made a decision on one applicant, Mr. Jon R. 
    Houston of Iowa. Subsequent to the publication of the preliminary 
    determination, the agency received additional information from the Iowa 
    Department of Transportation, and we are evaluating that information. A 
    decision on Mr. Houston's petition will be made in the future.
        When the remaining 23 individuals filed their vision waiver 
    applications on various dates before June 9, 1998, the FHWA was 
    authorized by 49 U.S.C. 31136(e) to waive the vision standard if the 
    agency determined the waiver was consistent with the public interest 
    and the safe operation of CMVs. As the statute did not limit the 
    effective period of a waiver, the agency had discretion to issue 
    waivers for any period warranted by the circumstances of a request.
        On June 9, 1998, the FHWA's waiver authority changed with enactment 
    of the Transportation Equity Act for the 21st Century (TEA-21), Pub. L. 
    No. 105-178, 112 Stat. 107. Section 4007 of TEA-21 amended the waiver 
    provisions of 49 U.S.C. 31315 and 31136(e) to change the standard for 
    evaluating waiver requests, to distinguish between a waiver and an 
    exemption, and to establish term limits for both. Under revised 
    sections 31315 and 31136(e), the FHWA may grant a waiver for a period 
    of up to 3 months or an exemption for a renewable 2-year period. The 23 
    applications in this proceeding fall within the scope of an exemption 
    request under the revised statute.
        The amendments to 49 U.S.C. 31315 and 31136(e) also changed the 
    criteria for exempting a person from application of a regulation. 
    Previously an exemption was appropriate if it was consistent with the 
    public interest and the safe
    
    [[Page 16518]]
    
    operation of CMVs. Now the FHWA may grant an exemption if it finds 
    ``such exemption would likely achieve a level of safety that is 
    equivalent to, or greater than, the level that would be achieved absent 
    such exemption.'' The new standard provides the FHWA greater 
    flexibility and discretion to deal with exemptions than the previous 
    standard. (See H.R. Conf. Rep. No. 105-550, at 489 (1998).)
        Although the 23 petitions in this proceeding were filed before 
    enactment of TEA-21, the FHWA is required to apply the law in effect at 
    the time of its decision unless (1) its application will result in a 
    manifest injustice or (2) the statute or legislative history directs 
    otherwise. Bradley v. School Board of the City of Richmond, 416 U.S. 
    696 (1974). With respect to the new standard, nothing in the statute, 
    its history, or the facts in this proceeding meets either of these two 
    tests. In fact, the new standard is more equitable as it allows an 
    exemption to be based on a reasonable expectation of equivalent safety, 
    rather than requiring an absolute determination that safety will not be 
    diminished. In addition, the ``public interest'' finding required under 
    the previous standard is not necessary under the new exemption 
    standard. These changes enhance the FHWA's discretion to consider 
    exemptions, thus benefitting the 23 applicants rather than causing an 
    injustice.
        For that reason, we applied the new standard in our evaluation of 
    these 23 petitions and determined that exempting these applicants from 
    the vision requirement in 49 CFR 391.41(b)(10) is likely to achieve a 
    level of safety equal to, or greater than, the level that would be 
    achieved without the exemption.
    
    Vision and Driving Experience of the Applicants
    
        The vision requirement in 49 CFR 391.41(b)(10) provides:
    
        A person is physically qualified to drive a commercial motor 
    vehicle if that person has distant visual acuity of at least 20/40 
    (Snellen) in each eye without corrective lenses or visual acuity 
    separately corrected to 20/40 (Snellen) or better with corrective 
    lenses, distant binocular acuity of at least 20/40 (Snellen) in both 
    eyes with or without corrective lenses, field of vision of at least 
    70 deg. in the horizontal meridian in each eye, and the ability to 
    recognize the colors of traffic signals and devices showing standard 
    red, green, and amber.
    
        Since 1992, the FHWA has undertaken studies to determine if this 
    vision standard should be amended. The latest report from our medical 
    panel recommends changing the field of vision standard from 70 deg. to 
    120 deg., while leaving the visual acuity standard unchanged. (See 
    Frank C. Berson, M.D., Mark C. Kuperwaser, M.D., Lloyd Paul Aiello, 
    M.D., and James W. Rosenberg, M.D., ``Visual Requirements and 
    Commercial Drivers,'' October 16, 1998, filed in the docket). The 
    panel's conclusion supports the FHWA's view that the present standard 
    is reasonable and necessary as a general standard to ensure highway 
    safety. The FHWA also recognizes that some drivers do not meet the 
    vision standard but have adapted their driving to accommodate their 
    vision limitation and demonstrated their ability to drive safely.
        The 23 applicants fall into this category. They are unable to meet 
    the vision standard in one eye for various reasons, including 
    amblyopia, retinal and corneal scars, and loss of an eye due to an 
    accident. In most cases, their eye conditions were not recently 
    developed. All but five applicants were either born with their vision 
    impairments or have had them since childhood. They have lived with them 
    for periods ranging from 16 to 46 years. The five individuals who 
    sustained their vision conditions as adults have had them for periods 
    ranging from 4 to 25 years.
        Although each applicant has one eye which does not meet the vision 
    standard in Section 391.41(b)(10), each has at least 20/40 corrected 
    vision in the other eye and, in a doctor's opinion, can perform all the 
    tasks necessary to operate a CMV. The doctors' opinions are supported 
    by the applicants' possession of a valid commercial driver's license 
    (CDL). Before issuing a CDL, States subject drivers to knowledge and 
    performance tests designed to evaluate their qualifications to operate 
    the CMV. All these applicants satisfied the testing standards for their 
    State of residence. By meeting State licensing requirements, the 
    applicants demonstrated their ability to operate a commercial vehicle, 
    with their limited vision, to the satisfaction of the State.
        While possessing a valid CDL, these 23 drivers have been authorized 
    to drive a CMV in intrastate commerce even though their vision 
    disqualifies them from driving in interstate commerce. They have driven 
    CMVs with their limited vision for careers ranging from 4 to 36 years. 
    In the past 3 years, the 23 drivers had a total of five moving 
    violations among them. Two drivers were involved in minor accidents in 
    their CMVs, but there were no injuries and neither person received a 
    citation.
        The qualifications, experience, and medical condition of each 
    applicant were stated and discussed in detail in 63 FR 66226, December 
    1, 1998. Since the lone docket comment did not focus on the 
    qualifications of a specific applicant, we have not repeated the 
    individual profiles here. Our summary analysis of the applicants as a 
    group, however, is supported by the information published in 63 FR 
    66226.
    
    Basis for Exemption Determination
    
        Under revised 49 U.S.C. 31315 and 31136(e), the FHWA may grant an 
    exemption from the vision standard in 49 CFR 391.41(b)(10) if the 
    exemption is likely to achieve an equivalent or greater level of safety 
    than would be achieved without the exemption. Without the exemption, 
    applicants will continue to be restricted to intrastate driving. With 
    the exemption, applicants can drive in interstate commerce. Thus, our 
    analysis focuses on whether applicants are likely to achieve an equal 
    or greater level of safety driving in interstate commerce as they have 
    achieved in intrastate commerce.
        To evaluate the effect of these exemptions on safety, the FHWA 
    considered not only the medical reports about the applicants' vision 
    but also their driving records and experience with the vision 
    deficiency. Recent driving performance is especially important in 
    evaluating future safety, according to several research studies 
    designed to correlate past and future driving performance. Results of 
    these studies support the principle that the best predictor of future 
    performance by a driver is his/her past record of accidents and traffic 
    violations. Copies of the studies have been added to the docket.
        We believe we can properly apply the principle to monocular drivers 
    because data from the vision waiver program clearly demonstrate the 
    driving performance of monocular drivers in the program is better than 
    that of all CMV drivers collectively. (See 61 FR 13338, 13345, March 
    26, 1996). That monocular drivers in the waiver program demonstrated 
    their ability to drive safely supports a conclusion that other 
    monocular drivers, with qualifications similar to those required by the 
    waiver program, can also adapt to their vision deficiency and operate 
    safely.
        The first major research correlating past and future performance 
    was done in England by Greenwood and Yule in 1920. Subsequent studies, 
    building on that model, concluded that accident rates for the same 
    individual exposed to certain risks for two different time periods vary 
    only slightly. (See Bates and Neyman, University of California 
    Publications in Statistics, April 1952.) Other studies demonstrated 
    theories of predicting accident proneness from
    
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    accident history coupled with other factors. These factors, such as 
    age, sex, geographic location, mileage driven and conviction history, 
    are used every day by insurance companies and motor vehicle bureaus to 
    predict the probability of an individual experiencing future accidents. 
    (See Weber, Donald C., ``Accident Rate Potential: An Application of 
    Multiple Regression Analysis of a Poisson Process,'' Journal of 
    American Statistical Association, June 1971). A 1964 California Driver 
    Record Study prepared by the California Department of Motor Vehicles 
    concluded that the best overall accident predictor for both concurrent 
    and nonconcurrent events is the number of single convictions. This 
    study used 3 consecutive years of data, comparing the experiences of 
    drivers in the first 2 years with their experiences in the final year.
        Applying principles from these studies to the past 3-year record of 
    the 23 applicants, we note that cumulatively the applicants have had 
    only two minor accidents and five traffic violations in the last 3 
    years. None of the violations represented a serious traffic violation 
    as defined in 49 CFR 383.5, and neither of the accidents involved 
    bodily injury or resulted in a citation. The applicants achieved this 
    record of safety while driving with their vision impairment, 
    demonstrating they have adapted their driving skills to accommodate 
    their condition. As the applicants' driving histories with their vision 
    deficiencies are predictors of future performance, the FHWA concludes 
    their ability to drive safely can be projected into the future.
        In addition, we believe applicants' intrastate driving experience 
    provides an adequate basis for evaluating their ability to drive safely 
    in interstate commerce. Intrastate driving, like interstate operations, 
    involves substantial driving on highways in the interstate system and 
    on other roads built to interstate standards. Moreover, driving in 
    congested urban areas exposes the driver to more pedestrians and 
    vehicle traffic than exist on interstate highways. Faster reaction to 
    traffic and traffic signals is generally required because distances are 
    more compact than on highways. These conditions tax visual capacity and 
    driver response just as intensely as interstate driving conditions. The 
    veteran drivers in this proceeding have operated a CMV safely under 
    those conditions for at least 4 years, most for much longer. Their 
    experience and driving records lead us to believe the applicants are 
    capable of operating in interstate commerce as safely as they have in 
    intrastate commerce. Consequently, the FHWA finds that exempting 
    applicants from the vision standard in 49 CFR 391.41(b)(10) is likely 
    to achieve a level of safety equal to that existing without the 
    exemption. For this reason, the agency will grant the exemptions for 
    the 2-year period allowed by 49 U.S.C. 31315 and 31136(e).
        We recognize that the vision of an applicant may change and affect 
    his/her ability to operate a commercial vehicle as safely as in the 
    past. As a condition of the exemption, therefore, the FHWA will impose 
    requirements on the 23 individuals consistent with the grandfathering 
    provisions applied to drivers who participated in the agency's vision 
    waiver program.
        Those requirements are found at 49 CFR 391.64(b) and include the 
    following: (1) that each individual be physically examined every year 
    (a) by an ophthalmologist or optometrist who attests that the vision in 
    the better eye continues to meet the standard in 49 CFR 391.41(b)(10), 
    and (b) by a medical examiner who attests that the individual is 
    otherwise physically qualified under 49 CFR 391.41; (2) that each 
    individual provide a copy of the ophthalmologist's or optometrist's 
    report to the medical examiner at the time of the annual medical 
    examination; and (3) that each individual provide a copy of the annual 
    medical certification to the employer for retention in its driver 
    qualification file, or keep a copy in his/her driver qualification file 
    if he/she is self-employed. The driver must also have a copy of the 
    certification when driving so it may be presented to a duly authorized 
    Federal, State, or local enforcement official.
    
    Discussion of Comment
    
        The FHWA received one comment in this proceeding. In that comment, 
    J.B. Hunt Transport, Inc. (Hunt) expresses general opposition to 
    exemptions from the physical qualification standards and raises 
    procedural objections to this proceeding.
        On the procedural issue, Hunt maintains that the applicants should 
    reapply under the standards which will be adopted in Docket No. FHWA-
    98-4145, Federal Motor Carrier Safety Regulations; Waivers, Exemptions, 
    and Pilot Programs; Rules and Procedures, 63 FR 67600, December 8, 
    1998, to implement the TEA-21 changes to the agency's exemption 
    authority. It asserts that the agency is disregarding the rulemaking 
    process by considering vision waiver requests filed after the waiver 
    program was closed and before rules are fully adopted to implement the 
    new provisions of 49 U.S.C. 31315 and 31136(e).
        Section 4007 of TEA-21 requires the Secretary of Transportation to 
    promulgate regulations specifying the procedures by which a person may 
    request an exemption. The statute lists four items of information an 
    applicant must submit with an exemption petition and gives the 
    Secretary 180 days (from June 9, 1998) to implement the new procedural 
    regulations. On December 8, 1998, the agency published interim final 
    rules in Docket No. FHWA-98-4145 to implement section 4007. The interim 
    rules will govern exemption requests filed on or after June 9, 1998, 
    until final rules are adopted in that proceeding.
        Before publishing its notice of intent to grant these applications, 
    the FHWA determined that applying the new procedural requirements of 
    section 4007 of TEA-21 would adversely affect the applicants. As we 
    explained in 63 FR 66226, December 1, 1998, it would have been 
    manifestly unjust to hold applications filed before June 9, 1998, in 
    abeyance until new procedural regulations were implemented in December, 
    and then require the applicants to submit conforming, supplementary 
    information to support their exemption request. Such delay not only 
    would have been unjust but would have provided nothing to enhance 
    safety. For these reasons, the FHWA decided not to apply the procedural 
    requirements of section 4007 to exemption requests filed before its 
    effective date, June 9, 1998. As these applications were filed before 
    that date, we processed them under procedures in effect at the time 
    they were filed, a decision supported by Bradley v. School Board of the 
    City of Richmond, 416 U.S. 696 (1974).
        The balance of Hunt's comments relate to its opposition to 
    exemptions for drivers who cannot meet the existing medical standards. 
    First, Hunt asserts that ``minimum safety standards'' should apply to 
    every CMV driver in interstate commerce without the possibility of 
    waiver or exemption. If the vision standard in 49 CFR 391.41(b)(10) is 
    the appropriate minimum standard, Hunt urges, it should be applied 
    without exception. If it is not, the standard should be reviewed in 
    accordance with several guidelines suggested by Hunt in its comments.
        The FHWA continues to review the vision standard in 49 CFR 
    391.41(b)(10), as evidenced by the medical panel's report dated October 
    16, 1998, filed in this docket, and we welcome Hunt's suggested 
    guidelines to factor into our review process. Notwithstanding the
    
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    ongoing review of the vision standard, however, the FHWA must comply 
    with Rauenhorst v. United States Department of Transportation, Federal 
    Highway Administration, 95 F.3d 715 (8th Cir. 1996), and grant 
    individual exemptions under standards that are consistent with public 
    safety. Meeting those standards, the 23 veteran drivers in this case 
    have demonstrated to our satisfaction that they can operate a CMV with 
    their current vision as safely in interstate commerce as they have in 
    intrastate commerce. Accordingly, they qualify for an exemption under 
    49 U.S.C. 31315 and 31136(e).
        Hunt also asserts that motor carriers should be given regulatory 
    relief which would allow them to maintain the more stringent vision 
    standard found in 49 CFR 391.41(b)(10) and the right to legally decline 
    the use of a driver with an exemption. Absent that relief, Hunt urges 
    that motor carriers ``forced to use a waived or exempted driver'' 
    should receive a hold harmless agreement from the FHWA relieving them 
    of liability in case a medically exempted driver has a traffic 
    accident.
        The FHWA's physical qualification standards are minimum 
    requirements; thus, carriers already have the right to maintain 
    standards that meet or exceed those established by the agency (49 CFR 
    390.3(d)). When motor carriers apply higher physical standards than 
    required by the FHWA, however, they must be prepared to justify their 
    requirements if challenged under the Americans with Disabilities Act, 
    Pub.L. 101-336, 104 Stat. 327, or any other law. In short, a motor 
    carrier has a legal obligation not to discriminate on the basis of a 
    disability, and the FHWA cannot relieve a carrier of that obligation.
    
    Conclusion
    
        After considering the comment to the docket and based upon its 
    evaluation of the 23 waiver applications in accordance with Rauenhorst 
    v. United States Department of Transportation, Federal Highway 
    Administration, supra, the FHWA exempts Gary R. Andersen, Joe F. 
    Arnold, Jack E. Atkinson, Gary A. Barrett, Ivan L. Beal, Johnny A. 
    Beutler, Richard D. Carlson, David John Collier, Tomie L. Estes, Jay E. 
    Finney, Britt D. Hazelwood, Jerome R. Jessen, Chad M. Kallhoff, Loras 
    G. Knebel, Rodney D. Lemburg, Dexter L. Myhre, James H. Oppliger, 
    Stephanie D. Randels, Duane L. Riendeau, Darrell Rohlfs, Marvin L. 
    Swillie, Larry Waldner, and Ronald Watt from the vision requirement in 
    49 CFR 391.41(b)(10), subject to the following conditions: (1) That 
    each individual be physically examined every year (a) by an 
    ophthalmologist or optometrist who attests that the vision in the 
    better eye continues to meet the standard in 49 CFR 391.41(b)(10), and 
    (b) by a medical examiner who attests that the individual is otherwise 
    physically qualified under 49 CFR 391.41; (2) that each individual 
    provide a copy of the ophthalmologist's or optometrist's report to the 
    medical examiner at the time of the annual medical examination; and (3) 
    that each individual provide a copy of the annual medical certification 
    to the employer for retention in its driver qualification file, or keep 
    a copy in his/her driver qualification file if he/she is self-employed. 
    The driver must also have a copy of the certification when driving so 
    it may be presented to a duly authorized Federal, State, or local 
    enforcement official.
        In accordance with revised 49 U.S.C. 31315 and 31136(e), each 
    exemption will be valid for 2 years unless revoked earlier by the FHWA. 
    The exemption will be revoked if (1) the person fails to comply with 
    the terms and conditions of the exemption; (2) the exemption has 
    resulted in a lower level of safety than was maintained before it was 
    granted; or (3) continuation of the exemption would not be consistent 
    with the goals and objectives of 49 U.S.C. 31315 and 31136. If the 
    exemption is still effective at the end of the 2-year period, the 
    person may apply to the FHWA for a renewal under procedures in effect 
    at that time.
    
        Authority: 49 U.S.C. 31315 and 31136; 23 U.S.C. 315; 49 CFR 
    1.48.
    
        Issued on: March 29, 1999.
    Kenneth R. Wykle,
    Federal Highway Administrator.
    [FR Doc. 99-8196 Filed 4-2-99; 8:45 am]
    BILLING CODE 4910-22-P
    
    
    

Document Information

Effective Date:
4/5/1999
Published:
04/05/1999
Department:
Federal Highway Administration
Entry Type:
Notice
Action:
Notice of final disposition.
Document Number:
99-8196
Dates:
April 5, 1999.
Pages:
16517-16520 (4 pages)
Docket Numbers:
FHWA Docket No. FHWA-98-4334
PDF File:
99-8196.pdf