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Wednesday, January 2, 2013

The revision petitioner (V.Krishnaveni) is the mother of Rajkumar, the first respondent herein.-Claiming that she was living in the residential house bearing door No.6, Nagalingam Pillai Street, Thiruchuli Road, Aruppukkottai, Virudhunagar District which was purchased by her husband in 1991; that her husband died on 22.02.2008 and that the first respondent, who got the property by virtue of a gift deed executed by her husband failed to maintain the revision petitioner and on the other hand, has driven her out of the said house, preferred a complaint with the Deputy Superintendent of Police, Aruppukottai to give her police protection to stay in the above said house. = the revision petitioner had not made out any prima facie case for any of the reliefs sought for under sections 18, 19 and 23 of the protection of Women from Domestic Violence Act 2005.=subsequent to the death of the husband of the revision petitioner and also referred to the fact that the revision petitioner chose to reside with her first son at Madurai, who got a sum of Rs.17,25,000/- from the first respondent for not claiming any right in the property mentioned above and that the said property had been never a house shared by the petitioner and the first respondent.


BEFORE THE MADURAI BENCH OF MADRAS HIGH COURT

DATED: 22/02/2012

CORAM
THE HONOURABLE MR.JUSTICE P.R.SHIVAKUMAR

Crl.R.C.(MD)No.553 of 2011
and
M.P.(MD)No.1 of 2011

V.Krishnaveni      ... Petitioner/Complainant

Vs.

1.V.Rajkumar
2.A.Gopalakrishnan  ... Respondents/Respondents

Criminal Revision Case is filed under Section 397 r/w 401 Cr.P.C praying
to call for the records and set aside the order passed by the learned Judicial
Magistrate No.V, Madurai, in Cr.M.P.No.120 of 2010, dated 15.06.2010, confirmed
by the learned Additional Sessions Judge, (Fast Track Court No.1), Madurai in
C.A.No.57 of 2010 dated 07.03.2011 and consequently direct the respondents to
permit the petitioner to reside in the shared household situated at No.6,
Nagalingampillai Street, Thiruchuli Road, Aruppukkottai, Virudhunagar District.

!For Petitioners   ... P.Senthurpandian
                       (No appearance)
^For Respondent    ... Mr.Babu Rajendran

:ORDER

There is no representation for the petitioner.   It is not the first time
the revision petitioner has left the matter without representation. As such,
this court deems it appropriate to pass an order after going through the records
and after hearing the submissions made on behalf of the respondent.

2.The revision petitioner (V.Krishnaveni) is the mother of Rajkumar, the
first respondent herein.
A.Gopalakrishnan, the 2nd respondent is the father-in-law of Rajkumar.
The revision petitioner is a widow.
Claiming that she was
living in the residential house bearing door No.6, Nagalingam Pillai Street,
Thiruchuli Road, Aruppukkottai, Virudhunagar District which was purchased by her
husband in 1991; that her husband died on 22.02.2008 and that the first
respondent, who got the property by virtue of a gift deed executed by her
husband failed to maintain the revision petitioner
and on the other hand, has
driven her out of the said house, preferred a complaint with the Deputy
Superintendent of Police, Aruppukottai to give her police protection to stay in
the above said house.
Of course after the failure on the part of the police to
take action on her complaint, Crl.O.P(MD)No.8835 of 2009 came to be filed and
this court by order dated 20.10.2009 directed the police to take necessary
action pursuant to the complaint of the petitioner dated 11.08.2009. 
As she
could not enter the said house and reside therein even thereafter she preferred
a complaint against the first respondent, as if he had committed an offence of
domestic violence at the instigation of the 2nd respondent, who is none other
than the father-in-law of the first respondent.
3.Based on the above mentioned allegation, the revision petitioner filed a
petition under sections 18, 19 and 23 of the Protection of Women from Domestic
Violence Act 2005 for the following reliefs:-
(i)Protection order under section 18 of the said Act, prohibiting the
respondent No.1 and 2 from committing any act of domestic violence on the
revision petitioner and prohibiting the respondent No.1 from alienating the
property bearing door No.6 Nagalingam Pillai Street, Thiruchuli Road,
Arupukkottai, Virudhunagar District, which the petitioner claims to be a shared
household;

(ii)Restraining the respondents 1 and 2 from dispossessing or in any other
manner disturbing the possession of the petitioner of the above said shared
household at bearing door No.6, Nagalingam Pillai Street, Thiruchuli Road,
Aruppukkottai, Virudhunagar District after she would begin her stay in the said
shared house and for giving protection to her through police; and

(iii)For an interim direction, directing the first respondent to permit
the revision petitioner to reside in the said house.

4.The said petition, taken on file by the learned Judicial Magistrate
No.V, Madurai as Cr.M.P.No.120 of 2010, was resisted by the first respondent on
the ground that the said court did not have the jurisdiction to entertain the
complaint. On merits also, the said petition was resisted. The learned Judicial
Magistrate, after hearing, passed an order on 16.06.2010 dismissing the said
petition.

5.As against the said order, the revision petitioner filed an appeal
before the Sessions Court in C.A.No.57 of 2010 which came to be disposed of by
the learned Additional Sessions Judge, Fast Track Court No.1, Madurai by
judgment dated 07.03.2011. The learned Additional Sessions Judge, Fast Track
Court No.1, Madurai, upon hearing the appeal, concurred with the findings of the
trial court that the revision petitioner had not made out any prima facie case
for any of the reliefs sought for under sections 18, 19 and 23 of the protection
of Women from Domestic Violence Act 2005.
6.The learned appellate Judge has adverted to 
the transactions that took
place subsequent to the death of the husband of the revision petitioner and also
referred to the fact that the revision petitioner chose to reside with her first
son at Madurai, who got a sum of Rs.17,25,000/- from the first respondent for
not claiming any right in the property mentioned above and that the said
property had been never a house shared by the petitioner and the first
respondent.
Accordingly,  the learned appellate Judge dismissed the appeal by
judgment dated 07.03.2011 which is sought to be impugned in the present criminal
revision case.
7.Upon perusing the records, this court does not find any defect or
infirmity in the said order passed by the learned appellate Judge warranting
interference by this court. There is no merit in the criminal revision case and
the same deserves to be dismissed.

8.Accordingly, this criminal revision case is dismissed.  Consequently,
connected Miscellaneous Petition is closed.

er

To,

1.The Judicial Magistrate No.V,
  Madurai.

2.The Additional Sessions Judge,
  Fast Track Court No.1,
  Madurai.

Tuesday, January 1, 2013

When the R.H. and pattadar pass book and title deed shows as private land, mere entry as A.W land in revenue record does not convert the land as government land = the revenue record clearly shows that the land is a private land. In support of his plea that it was a private land, the petitioner filed a copy of the Register of Holding, a perusal of which would show that the name of Guduru Rachaiah is shown as the owner of the property admeasuring Ac.4.84 cents in Sy.No.147/2. This extract shows that the same has been issued by the Office of the Sub-Registrar. The petitioner has also filed a copy of the pattadar passbook issued by the Mandal Revenue Officer as far back as 30.06.1994. It is not disputed that the petitioner has purchased the property under a registered sale deed on 12.04.1972. In the face of this overwhelming documentary evidence to show that the petitioner is the owner of the property, the only ground on which respondent No.5 declined to register the sale deed and respondent No.4 confirmed the refusal order of respondent No.5 is that in the list furnished by the then Tahsildar in the year 2007, the property was shown as AW belonging to the Government. Respondent Nos.4 and 5, being the independent functionaries exercising powers and discharging duties under the provisions of the Registration Act, 1908 (for short 'the Act'), are bound to act independently by exercising their mind without being blindly guided by the instructions of the Tahsildar or the other revenue officials of the District. The mere fact that in the opinion of the Tahsildar, the property is the Assessed Waste belonging to the Government and he has accordingly included the property in his list sent to the registering authority would not make the land truly belonging to the Government.= The Chief Secretary of the State of Andhra Pradesh is directed to personally examine the issue and issue appropriate instructions to the Principal Secretaries of the Revenue and Stamps and Registration to work out the modalities strictly in accordance with the provisions of Section 22-A of the Act to ensure that the revenue officials, such as Tahsildars, do not include the private properties in the Government list, unless the revenue record unambiguously shows that the properties belong to the Government, and the registering authorities do not refuse to entertain the documents simply on the basis of the list sent by the Tahsildars and other revenue officials.


THE HONOURABLE SRI JUSTICE C.V.NAGARJUNA REDDY            

WRIT PETITION No.38148 of 2012  

11-12-2012

Gaddam Lingaiah

The District Collector, Kadapa, Kadapa District and others

Counsel for Petitioner:  Mr. D. Seshasayana Reddy

Counsel for Respondents: AGP for Revenue
                               
<GIST:

>HEAD NOTE:  

?CITATIONS:

ORDER:


The overjealous attitude of the Revenue and Stamps and Registration officials
has been time and again driving the citizens to take recourse to the remedy of
judicial review. 
This case is a paradigm where the property, which was shown as
a private property in the extract of Register of Holding, 
is treated as
Government land and the request of the petitioner for its registration was
rejected by the registering authority-respondent No.5, which was confirmed by
the appellate authority-respondent No.4.

One Guduru Rachaiah is stated to be the absolute owner, possessor and pattadar
of agricultural lands admeasuring Ac.4.84 cents in Sy.No.147/2 of Pedda
Rangapuram Village, Pulivendla Mandal, Kadapa District.
It is the pleaded case
of the petitioner that
the extract of Register of Holding for the period between
1914 and 1955 would amply corroborate this claim. That the said Rachaiah has
sold the land to the petitioner through registered document No.568/72 dated 12.04.1972.
When the petitioner intended to sell the property to the third
parties in April, 2011, respondent No.5 refused to receive the document on the
ground that the land belongs to the Government.
The petitioner filed
W.P.No.30994 of 2012 feeling aggrieved by the refusal of respondent No.5 to
receive the document. The said writ petition was disposed of by this Court by
order dated 05.10.2012 with the direction to respondent No.5 to receive and
process the document without insisting on 'No Objection Certificate' from the
revenue authorities. 
Accordingly, the petitioner has presented the document on
31.10.2012 before respondent No.5 for registration. Having received the said
document, respondent No.5 has passed an order refusing to register the sale deed
vide his endorsement dated 31.10.2012 on the sole ground that Sy.No.147/2 is
classified as Assessed Waste (AW) and that the same is included in the list of
Government lands furnished by Tahsildar, Pulivendula, vide his proceedings dated
05.02.2007.
Feeling aggrieved by the said order, the petitioner filed a
statutory appeal before respondent No.4 and it was taken on file as Appeal No.5
of 2012. The said appeal was disposed of by respondent No.4, by order dated
27.11.2012, whereby he has confirmed the order of respondent No.5. Assailing
both these orders, the petitioner filed this writ petition.

As noted above, it is the specific case of the petitioner that the revenue
record clearly shows that the land is a private land.  In support of his plea
that it was a private land, the petitioner filed a copy of the Register of
Holding, a perusal of which would show that the name of Guduru Rachaiah is shown 
as the owner of the property admeasuring Ac.4.84 cents in Sy.No.147/2.  This
extract shows that the same has been issued by the Office of the Sub-Registrar.
The petitioner has also filed a copy of the pattadar passbook issued by the
Mandal Revenue Officer as far back as 30.06.1994. It is not disputed that the
petitioner has purchased the property under a registered sale deed on
12.04.1972.
In the face of this overwhelming documentary evidence to show that
the petitioner is the owner of the property, the only ground on which respondent
No.5 declined to register the sale deed and respondent No.4 confirmed the
refusal order of respondent No.5 is that in the list furnished by the then
Tahsildar in the year 2007, the property was shown as AW belonging to the
Government. Respondent Nos.4 and 5, being the independent functionaries 
exercising powers and discharging duties under the provisions of the
Registration Act, 1908 (for short 'the Act'), are bound to act independently by
exercising their mind without being blindly guided by the instructions of the
Tahsildar or the other revenue officials of the District.  The mere fact that in
the opinion of the Tahsildar, the property is the Assessed Waste belonging to
the Government and he has accordingly included the property in his list sent to
the registering authority would not make the land truly belonging to the
Government. A list sent by the Tahsildar or the District Collector to the
registering authority showing the properties as belonging to the Government does
not have the same efficacy or binding force as a notification issued under sub-
section (2) of Section 22-A of the Act. Notwithstanding the inclusion of the
properties in the list of the revenue officials, the registering authority shall
apply its mind to the material that may be placed by the private party as well
as the revenue officials and arrive at its own conclusion.

Leave alone respondent No.5, even respondent No.4, who is the appellate
authority, has simply guided himself by the said list despite the above
discussed documentary evidence placed by the petitioner before him to show that
the property is treated as a private property and not Government property and a
registered transaction has taken place as far back as 12.04.1972.
Instances galore where the persons, who are recognized as rightful owners not
only by being allowed to purchase under registered documents decades ago but 
also by issuing the pattadar passbooks, are being deprived of their right to
transfer the properties by way of sale, mortgage etc. While the efforts of the
official functionaries for protecting the Government properties always deserve
to be appreciated, in the guise of such protection, they cannot be permitted to
harass the innocent citizens by driving them to the courts again and again by
styling the private lands as Government lands without any shred of evidence in
support thereof.

If respondents 1 to 3 really felt that the property in question is the
Government land, it defies any logic and reason as to why they have been keeping
quiet without recovering the property from the petitioner. Far from doing so,
the rights of the petitioner were well recognized by them by issuing pattadar
passbooks as far back as the year 1994.  This Court is unable to comprehend as
to by merely preventing registration, will the Government gain anything ?
Except curtailing the right of a private party to enjoy the property as he
likes, it results in nothing. Only at the time of registration, the revenue
authorities appear to be preventing registration without doing anything further
to safeguard and protect the so called Government properties and to recover the
possession thereof. This attitude of the revenue officials being supported by
the registering authorities is creating a situation where needless litigation is
being promoted driving the citizens to resort to needless and frivolous
litigation.
Time and again this Court has been holding that mere registration of the
document will not create any title in the purchaser, unless such title is vested
in the vendor himself.
While preventing registrations on frivolous objections,
Government is only denying itself of the revenue without doing anything else. As
observed above, there are no instances where the possession of the properties,
which are found to be in the Government list, is sought to be recovered by the
revenue authorities. Not only that the litigants are vexed with this sort of
litigation, but this Court feels that it is time that litigation of this nature
is put an end to. Unless the Chief Secretary of the State of Andhra Pradesh
intervenes and finds a proper solution to this vexed problem, the litigation of
this nature may continue unabated.

For the above-mentioned reasons, I do not find any justification in respondent
No.5 refusing to register the document presented by the petitioner. Accordingly,
the impugned endorsement of respondent No.5 and the order of respondent No.4
confirming the said endorsement are set aside.  The respondent shall pay costs
of Rs.10,000/- to the petitioner.

The Chief Secretary of the State of Andhra Pradesh is directed to personally
examine the issue and issue appropriate instructions to the Principal
Secretaries of the Revenue and Stamps and Registration to work out the
modalities strictly in accordance with the provisions of Section 22-A of the Act
to ensure that the revenue officials, such as Tahsildars, do not include the
private properties in the Government list, unless the revenue record
unambiguously shows that the properties belong to the Government, and the
registering authorities do not refuse to entertain the documents simply on the
basis of the list sent by the Tahsildars and other revenue officials.

Subject to the above directions, the Writ Petition is allowed to the extent
indicated above.

As a sequel, WPMP.No.48383 of 2012 filed for interim relief is dismissed as
infructuous.

_______________________  
C.V.NAGARJUNA REDDY,J    
11.12.2012

Note:
1. Copy to the Chief Secretary to Govt. of A.P., Hyderabad.
2. Copy to the Principal Secretary of Revenue
3. Copy to the Principal Secretary of Stamps & Registration

A.P.Assigned Lands (Prohibition of Transfers) Act,=the land assigned to the ex- servicemen on market value was not treated as a regular assignment within the provisions of the Act 9 of 1977 =This Court, on appreciation of the facts, held that the assignment made in favour of the original assignee did not contain the same conditions, which were made applicable to the assignments made to the landless poor persons and that therefore, the provisions of the Act were not attracted. This Court has taken note of the further fact that the assignment was made as per GO.Ms.No.1070, 20- 06-1961, and that in the absence of any clause relating to prohibition of alienation containing therein, the assignment did not fall within the provisions of the Act.


The Hon'ble Sri Justice C.V.Nagarjuna Reddy

Writ Petition No.36402 of 2012

27.11.2012

S.Shankaraiah and 4 others

The District Registrar, Adilabad District and 5 others

^Counsel for the petitioners: Sri C.Naresh Reddy

!Counsel for the respondents: AGP for Revenue

<Gist:

>Head Note:

?Cases referred:

Order:
        The inaction of respondent No.2 in refusing to register the land
admeasuring Acs.30-00 guntas in Survey No.277/1 of Bhutkur Village, Khadem  
Mandal, Adilabad District, is assailed in this Writ Petition.
        An extent of Acs.60-00 guntas of Government Land in Survey No.277/1 of
Bhutkur Village was permitted to be assigned in favour of one Mohammed Yousuf, 
who was an ex-serviceman vide Government Memo No.1-2-III/3801/60-1, dated 21-12-  
1960.  
In pursuance thereof, respondent No.5 issued proceeding No.G/3920/63,
dated 06-06-1963, assigning the land in favour of the said person subject to the
condition of his paying a total amount of Rs.3,000/- (Rs.50/- per acre) payable
in 20 instalments in terms of G.O.Ms.No.1070, dated 20-06-1961.   
After the
death of the original assignee, his son viz., Mohd Ibrahim succeeded thereto.
Out of the entire extent of Acs.60-00 guntas of the assigned land, an extent of
Acs.30-00 guntas was sold to one Sama Ananthaiah by Mohd.Ibrahim and the   
remaining extent of Acs.30-00 guntas was continued in his possession.
        When Mohd.Ibrahim was sought to be dispossessed from the Acs.30-00 guntas  
of land in his possession, he has filed WP.No.11996 of 1996, which was disposed
of by this Court, by Order, dated 25-06-1996, with a direction to the
respondents therein not to dispossess the petitioner from the land in question
without following the due process of law.
Thereafter, 
proceedings for resumption
under the provisions of the A.P.Assigned Lands (Prohibition of Transfers) Act,
1977 (for short 'the Act'), were initiated in respect of the said Acs.30-00
guntas of land.  The said proceedings culminated in passing of an order of
resumption on the ground that the said land was in possession of one person
viz., G.Narayan Reddy in contravention of the provisions of the Act.  
Assailing
the said order, Mohd.Ibrahim filed WP.No.25289 of 1997.  The said Writ Petition
was allowed by this Court by Order, dated 14-02-2007.
This Court, on
appreciation of the facts, held that the assignment made in favour of the
original assignee did not contain the same conditions, which were made
applicable to the assignments made to the landless poor persons and that
therefore, the provisions of the Act were not attracted.  This Court has taken
note of the further fact that the assignment was made as per GO.Ms.No.1070, 20-
06-1961, and that in the absence of any clause relating to prohibition of
alienation containing therein, the assignment did not fall within the provisions
of the Act.
This Court has, thus, allowed the said Writ Petition and set aside
the resumption order, dated 07-09-1997.
        With regard to the balance Acs.30-00 of land, which was sold to
Ananthaiah, when the revenue authorities refused to mutate the lands in favour
of the legal heirs of the said Ananthaiah, they have filed WP.No.10082 of 1992
wherein a similar plea was raised by the legal heirs of Ananthaiah as was raised
by the son of the original assignee in WP.No.25289 of 1997.
This Court disposed
of the said Writ Petition by Order, dated 14-06-2004, with the direction to the
District Collector, Adilabad, to hold a comprehensive enquiry on all aspects and
pass appropriate order as to the entitlement of the petitioners therein for
patta and for the consequential action of mutation in the revenue records.
The
petitioners have filed report, dated 07-01-2011, of respondent No.6 addressed to
respondent No.5 wherein he has inter alia stated that the then Tahsildar,
Kaddam, has issued pattadar passbooks and title deeds to the legal heirs of
Ananthaiah in pursuance of the registered sale deed, dated 22-04-1965.
In spite
of the above noted facts, which clearly reveal that 
the land assigned to the ex-
servicemen on market value was not treated as a regular assignment within the provisions of the Act 9 of 1977
and the specific declaration by this Court to
that effect by order, dated 14-02-2007, in WP.No.25289 of 1997, the revenue
authorities are still treating the land in question as regular assignment
prohibiting its alienation.  Having regard to this stand of the revenue
officials, respondent No.2 has been refusing to register the documents.  By this
unreasonable action of the respondents, the petitioners, who were stated to have
purchased the subject property under an agreement of sale from the legal heirs
of Ananthaiah, are prevented from registering the sale deeds.  This, in my
opinion, is wholly without justification.  The overzealous attitude of the
revenue officials and the registering authorities even in cases of this nature
has been causing untold hardship to the citizens.  This is one such case where
despite the unequivocal pronouncement of this Court, the respondents are still
maintaining a very unreasonable stand that the subject land is an assigned land
containing prohibition on alienation.  Such an attitude on the part of the
respondents is not only leading to avoidable litigation but also causing severe
harassment to the general public.  It is time that the Principal Secretaries,
Revenue and Stamps & Registrations, take stock of the situation and issue
appropriate instructions to the revenue officials and the registering
authorities not to object to or refuse registrations in a routine and mechanical
manner without there being legally sustainable reasons for such
objections/refusals.
        Subject to the above observations, the Writ Petition is allowed.
Respondent No.2 is directed to receive the documents that may be presented by 
the petitioners and register the same subject to the latter complying with the
provisions of the Registration Act, 1908, and the Indian Stamp Act, 1899.
        As a sequel, WPMP.No.46237 of 2012, filed by the petitioners for interim
relief, is disposed of as infructuous.
______________________  
(C.V.Nagarjuna Reddy, J)
27th November, 2012

Monday, December 24, 2012

Arkansas Game and Fish Commission (Commission)= Petitioner, Arkansas Game and Fish Commission (Commission), owns and manages the Dave Donaldson Black River Wildlife Management Area (Management Area or Area), which comprises 23,000 acres along the Black River that are forested with multiple hardwood oak species and serve as a venue for recreation and hunting. In 1948, the U. S. Army Corps of Engineers (Corps) constructed the Clearwater Dam (Dam) upstream from the Management Area and adopted a plan known as the Water Control Manual (Manual), which sets seasonally varying rates for the release of water from the Dam. Periodically from 1993 until 2000, the Corps, at the request of farmers, authorized deviations from the Manual that extended flooding into the Management Area’s peak timber growing season. The Commission objected to the deviations on the ground that they adversely impacted the Management Area, and opposed the Corps’ proposal to make the temporary deviations part of the Manual’s permanent water-release plan. After testing the effect of the deviations, the Corps abandoned the proposed Manual revision and ceased its temporary deviations. The Commission sued the United States, alleging that the temporary deviations constituted a taking of property that entitled the Commission to compensation. = The Commission had been deprived of the customary use of the Management Area as a forest and wildlife preserve, as the bottomland hardwood forest turned, over time, into a “headwater swamp.” 87 Fed. Cl., at 610 (internal quotation marks omitted); see supra, at 5.2 The Government, however, challenged several of the trial court’s factfindings, including those relating to causation, foreseeability, substantiality, and the amount of damages. Because the Federal Circuit rested its decision entirely on the temporary duration of the flooding, it did not address those challenges. As earlier noted, see supra, at 13, preserved issues remain open for consideration on remand. * * * The Commission is endeavoring to reclaim the land through a restoration program. The prospect of reclamation, however, does not disqualify a landowner from receipt of just compensation for a taking.


 
 
(Slip Opinion)  OCTOBER TERM, 2012  1
Syllabus
NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
being done in connection with this case, at the time the opinion is issued.
The syllabus constitutes no part of the opinion of the Court but has been
prepared by the Reporter of Decisions for the convenience of the reader.
See United States v. Detroit Timber & Lumber Co., 200 U. S. 321, 337.
SUPREME COURT OF THE UNITED STATES
Syllabus
ARKANSAS GAME AND FISH COMMISSION v.
UNITED STATES

CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
THE FEDERAL CIRCUIT
No. 11–597. Argued October 3, 2012—Decided December 4, 2012
Petitioner, Arkansas Game and Fish Commission (Commission), owns 
and manages the Dave Donaldson Black River Wildlife Management 
Area (Management Area or Area), which comprises 23,000 acres 
along the Black River that are forested with multiple hardwood oak 
species and serve as a venue for recreation and hunting.
In 1948, the 
U. S. Army Corps of Engineers (Corps) constructed the Clearwater 
Dam (Dam) upstream from the Management Area and adopted a 
plan known as the Water Control Manual (Manual), which sets seasonally varying rates for the release of water from the Dam.  Periodically from 1993 until 2000, the Corps, at the request of farmers, authorized deviations from the Manual that extended flooding into the
Management Area’s peak timber growing season.  
The Commission 
objected to the deviations on the ground that they adversely impacted
the Management Area, and opposed the Corps’ proposal to make the
temporary deviations part of the Manual’s permanent water-release 
plan. After testing the effect of the deviations, the Corps abandoned 
the proposed Manual revision and ceased its temporary deviations.
The Commission sued the United States, 
alleging that the temporary deviations constituted a taking of property that entitled the
Commission to compensation.  
The Commission maintained that the 
deviations caused sustained flooding during tree-growing season, and
that the cumulative impact of the flooding caused the destruction of
timber in the Area and a substantial change in the character of the 
terrain, necessitating costly reclamation measures.
The Court of 
Federal Claims’ judgment in favor of the Commission was reversed 
by the Federal Circuit.  The Court of Appeals acknowledged that 
temporary government action may give rise to a takings claim if  
 
 
2  ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Syllabus
permanent action of the same character would constitute a taking.  It 
held, however, that government-induced flooding can give rise to a 
taking claim only if the flooding is “permanent or inevitably recurring.”
The Federal Circuit understood this conclusion to be dictated
by Sanguinetti v. United States, 264 U. S. 146, 150, and United States
v. Cress, 243 U. S. 316, 328.
Held: Government-induced flooding temporary in duration gains no
automatic exemption from Takings Clause inspection.  Pp. 6–15.
(a) No magic formula enables a court to judge, in every case, 
whether a given government interference with property is a taking.
This Court has drawn some bright lines, but in the main, takings
claims turn on situation-specific factual inquiries.  
See Penn Central 
Transp. Co. v. New York City, 438 U. S. 104, 124. 
As to the question whether temporary flooding can ever give rise to
a takings claim, this Court has ruled that government-induced flooding, Pumpelly v. Green Bay Co., 13 Wall. 166, and seasonally recurring flooding,  Cress, 243 U. S., at 328, can constitute takings.  The 
Court has also ruled that takings temporary in duration can be compensable.   E.g., United States v.  Causby, 328 U. S. 256, 266.  This 
Court’s precedent thus indicates that government-induced flooding of 
limited duration may be compensable.  None of the Court’s decisions 
authorizes a blanket temporary-flooding exception to the Court’s Takings Clause jurisprudence, and the Court declines to create such an
exception in this case.  Pp. 6–9.
(b) In advocating a temporary-flooding exception, the Government 
relies primarily on  Sanguinetti, 264 U. S. 146, which held that no 
taking occurred when a government-constructed canal overflowed onto the claimant’s land.  In its  opinion, the Court summarized prior
flooding cases as standing for the proposition that “in order to create
an enforceable liability against the Government, it is, at least, necessary that the overflow be the direct result of the structure, and constitute an actual, permanent invasion of the land.”  Id., at 149.  The 
Government urges the Court to extract from the quoted words a definitive rule that there can be no temporary taking caused by floods.
But the Court does not read the passing reference to permanence in 
Sanguinetti as having done so much work.  Sanguinetti was decided 
in 1924, well before the World War II-era cases and  First English 
Evangelical Lutheran Church of Glendale v. County of Los Angeles, 
482 U. S. 304, in which the Court first homed in on the matter of 
compensation for temporary takings.  There is no suggestion in Sanguinetti that flooding cases should be set apart from the mine run of
takings claims. 
The Court thus finds no solid grounding in precedent for setting 
flooding apart from other government intrusions on property.   And   
  
Cite as: 568 U. S. ____ (2012)  3 
Syllabus 
the Government has presented no other persuasive reason to do so. 
Its primary argument is that reversing the Federal Circuit’s decision
risks disrupting public works dedicated to flood control.  While the 
public interests here are important, they are not categorically different from the interests at stake in myriad other Takings Clause cases
in which this Court has rejected similar arguments when deployed to 
urge blanket exemptions from the Fifth Amendment’s instruction. 
The Government argues in the alternative that damage to downstream property, however foreseeable, is collateral or incidental; it is
not aimed at any particular landowner and therefore is not compensable under the Takings Clause.  The Court expresses no opinion on
this claim, which was first tendered at oral argument and not aired 
in the courts below.  For the same reason, the Court declines to address the bearing, if any, of Arkansas water-rights law on this case.
Pp. 9–13.
(c) When regulation or temporary physical invasion by government
interferes with private property, time is a factor in determining the 
existence vel non of a compensable taking.  See, e.g., Loretto v. Teleprompter Manhattan CATV Corp., 458 U. S. 419, 435, n. 12.  Also relevant to the takings inquiry is the degree to which the invasion is intended or is the foreseeable result of authorized government action. 
See,  e.g., John Horstmann Co. v. United States, 257 U. S. 138, 146. 
So, too, are the character of the land at issue and the owner’s “reasonable investment-backed expectations” regarding the land’s use, 
Palazzolo v. Rhode Island, 533 U. S. 606, 618, as well as the severity 
of the interference, see, e.g., Penn Central, 438 U. S., at 130–131.  In 
concluding that the flooding was foreseeable in this case, the Court of
Federal Claims noted the Commission’s repeated complaints to the
Corps about the destructive impact of the successive planned deviations and determined that the interference with the Commission’s 
property was severe. The Government, however, challenged several 
of the trial court’s factfindings, including those relating to causation, 
foreseeability, substantiality, and the amount of damages.  Because 
the Federal Circuit rested its decision entirely on the temporary duration of the flooding, it did not address those challenges, which remain open for consideration on remand.  Pp. 14–15. 
637 F. 3d 1366, reversed and remanded. 
GINSBURG, J., delivered the opinion of the Court, in which all other
Members joined, except KAGAN, J., who took no part in the consideration or decision of the case.  
 
_________________
_________________
Cite as: 568 U. S. ____ (2012)  1
Opinion of the Court
NOTICE: This opinion is subject to formal revision before publication in the
preliminary print of the United States Reports. Readers are requested to
notify the Reporter of Decisions, Supreme Court of the United States, Washington, D. C. 20543, of any typographical or other formal errors, in order
that corrections may be made before the preliminary print goes to press.
SUPREME COURT OF THE UNITED STATES
No. 11–597
ARKANSAS GAME AND FISH COMMISSION,
PETITIONER v. UNITED STATES

ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
APPEALS FOR THE FEDERAL CIRCUIT

[December 4, 2012]
 JUSTICE GINSBURG delivered the opinion of the Court.
Periodically from 1993 until 2000, the U. S. Army Corps
of Engineers (Corps) authorized flooding that extended
into the peak growing season for timber on forest land
owned and managed by petitioner, Arkansas Game and
Fish Commission (Commission).  Cumulative in effect, the
repeated flooding damaged or destroyed more than 18
million board feet of timber and disrupted the ordinary
use and enjoyment of the Commission’s property.  The
Commission sought compensation from the United States
pursuant to the Fifth Amendment’s instruction: “[N]or
shall private property be taken for public use, without
just compensation.” The question presented is whether a
taking may occur, within the meaning of the Takings
Clause, when government-induced flood invasions, although repetitive, are temporary.
Ordinarily, this Court’s decisions confirm, if government
action would qualify as a taking when permanently continued, temporary actions of the same character may also
qualify as a taking.  In the instant case, the parties and  
2  ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
the courts below divided on the appropriate classification
of temporary flooding. Reversing the judgment of the
Court of Federal Claims, which awarded compensation to
the Commission, the Federal Circuit held, 2 to 1, that
compensation may be sought only when flooding is “a per-
manent or inevitably recurring condition, rather than an
inherently temporary situation.”  637 F. 3d 1366, 1378
(2011). We disagree and conclude that recurrent floodings, even if of finite duration, are not categorically exempt from Takings Clause liability.
I
A
The Commission owns the Dave Donaldson Black River
Wildlife Management Area (Management Area or Area),
which comprises 23,000 acres along both banks of the
Black River in northeast Arkansas.  The Management
Area is forested with multiple hardwood timber species
that support a variety of wildlife habitats.  The Commission operates the Management Area as a wildlife and
hunting preserve, and also uses it as a timber resource,
conducting regular harvests of timber as part of its forestmanagement efforts. Three types of hardwood oak species—nuttall, overcup, and willow—account for 80 percent
of the trees in the Management Area.  The presence of
these hardwood oaks is essential to the Area’s character as
a habitat for migratory birds and as a venue for recreation
and hunting.
The Clearwater Dam (Dam) is located 115 miles upstream from the Management Area.  The Corps constructed
the Dam in 1948, and shortly thereafter adopted a plan
known as the Water Control Manual (Manual) to determine the rates at which water would be released from the
Dam. The Manual sets seasonally varying release rates,
but permits planned deviations from the prescribed rates
for agricultural, recreational, and other purposes.  
Cite as: 568 U. S. ____ (2012)  3
Opinion of the Court
In 1993, the Corps approved a planned deviation in
response to requests from farmers. From September to
December 1993, the Corps released water from the Dam at
a slower rate than usual, providing downstream farmers
with a longer harvest time. As a result, more water than
usual accumulated in Clearwater Lake behind the Dam.
To reduce the accumulation, the Corps extended the pe-
riod in which a high amount of water would be released.
The Commission maintained this extension yielded downstream flooding in the Management Area, above historical
norms, during the tree-growing season, which runs from
April to October.  If the  Corps had released the water
more rapidly in the fall of 1993, in accordance with the
Manual and with past practice, there would have been
short-term waves of flooding which would have receded
quickly. The lower rate of release in the fall, however,
extended the period of flooding well into the following
spring and summer.  While the deviation benefited farmers, it interfered with the Management Area’s treegrowing season.
The Corps adopted similar deviations each year from
1994 through 2000. The record indicates that the decision
to deviate from the Manual was made independently in
each year and that the amount of deviation varied over the
span of years. Nevertheless, the result was an unbroken
string of annual deviations from the Manual.  Each deviation lowered the rate at which water was released during
the fall, which necessitated extension of the release period
into the following spring and summer.  During this span of
years the Corps proposed Manual revisions that would
have made its temporary deviations part of the permanent
water-release plan.  On multiple occasions between 1993
and 2000, the Commission objected to the temporary
deviations and opposed any  permanent revision to the
Manual, on the ground that the departures from the traditional water-release plan adversely impacted the Man-  
 
4  ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
agement Area.  Ultimately, the Corps tested the effect of
the deviations on the Management Area. It thereupon
abandoned the proposal to permanently revise the Manual
and, in 2001, ceased its temporary deviations.
B
In 2005, the Commission filed the instant lawsuit
against the United States, claiming that the temporary
deviations from the Manual constituted a taking of property that entitled the Commission to compensation.  The
Commission maintained that the deviations caused sustained flooding of its land during the tree-growing season.
The cumulative impact of this flooding over a six-year
period between 1993 and 1999, the Commission alleged,
resulted in the destruction of timber in the Management
Area and a substantial change in the character of the
terrain, which necessitated costly reclamation measures.
Following a trial, the Court of Federal Claims ruled in
favor of the Commission and issued an opinion and order
containing detailed findings of fact.  87 Fed. Cl. 594
(2009).
The Court of Federal Claims found that the forests in
the Management Area were healthy and flourishing before
the flooding that occurred in the 1990’s, and that the
forests had been sustainably managed for decades under
the water-release plan contained in the Manual.   Id., at
631.  It further found that the Commission repeatedly
objected to the deviations from the Manual and alerted the
Corps to the detrimental effect the longer period of flooding would have on the hardwood timber in the Management Area.  Id., at 604.
As found by the Court of Federal Claims, the flooding
caused by the deviations contrasted markedly with historical flooding patterns.  Between 1949 and 1992, the river
level near the Management Area reached six feet an average of 64.7 days per year during the growing season; the
number of such days had been even lower on average Cite as: 568 U. S. ____ (2012)  5
Opinion of the Court
before the Clearwater Dam was built.  Between 1993 and
1999, however, the river reached the same level an average of 91.14 days per year, an increase of more than 40
percent over the historic average. Although the Management Area lies in a floodplain, in no previously recorded
time span did comparable flooding patterns occur.  Id., at
607–608. Evidence at trial indicated that half of the nuttall oaks in the Management Area were saturated with
water when the river level was at six feet, id., at 608; the
evidence further indicated that the saturation of the soil
around the trees’ root systems could persist for weeks even
after the flooding had receded.  Id., at 627.
The court concluded that the Corps’ deviations caused
six consecutive years of substantially increased flooding,
which constituted an appropriation of the Commission’s
property, albeit a temporary rather than a permanent
one.  Important to this conclusion, the court emphasized
the deviations’ cumulative effect.  The trees were subject
to prolonged periods of flooding year after year, which
reduced the oxygen level in the soil and considerably weak-
ened the trees’ root systems. The repeated annual flooding for six years altered the character of the property to
a much greater extent than would have been shown if
the harm caused by one year of flooding were simply multiplied by six. When a moderate drought occurred in 1999
and 2000, the trees did not have the root systems necessary to sustain themselves; the result, in the court’s
words, was “catastrophic mortality.”   Id., at 632. More
than 18 million board feet of timber were destroyed or
degraded.  Id., at 638–640.
This damage altered the character of the Management
Area. The destruction of the trees led to the invasion of
undesirable plant species, making natural regeneration of
the forests improbable in the absence of reclamation efforts.  Id., at 643. To determine the measure of just
compensation, the Court of Federal Claims calculated the  
 
6  ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
value of the lost timber and the projected cost of the reclamation and awarded the Commission $5.7 million.
The Federal Circuit reversed. It acknowledged that in
general, temporary government action may give rise to a
takings claim if permanent action of the same character
would constitute a taking.  But it held that “cases involving flooding and [flowage] easements are different.” 637
F. 3d, at 1374. Government-induced flooding can give rise
to a taking claim, the Federal Circuit concluded, only if
the flooding is “permanent or inevitably recurring.”   Id.,
at 1378. The Court of Appeals understood this conclusion
to be dictated by this Court’s decisions in Sanguinetti v.
United States, 264 U. S. 146, 150 (1924), and  United
States v.  Cress, 243 U. S. 316, 328 (1917).  We granted
certiorari to resolve the question whether government
actions that cause repeated floodings must be permanent
or inevitably recurring to constitute a taking of property.
566 U. S. ___ (2012).
II
The Takings Clause is “designed to bar Government
from forcing some people alone to bear public burdens
which, in all fairness and justice, should be borne by the
public as a whole.”  Armstrong v. United States, 364 U. S.
40, 49 (1960).  See also First English Evangelical Lutheran
Church of Glendale v.  County of Los Angeles, 482 U. S.
304, 318–319 (1987);  Penn Central Transp. Co. v.  New
York City, 438 U. S. 104, 123–125 (1978).  And “[w]hen the
government physically takes possession of an interest in
property for some public purpose, it has a categorical duty
to compensate the former owner.”  Tahoe-Sierra Preservation Council, Inc. v.  Tahoe Regional Planning Agency,
535 U. S. 302, 322 (2002) (citing  United States v.  Pewee
Coal Co., 341 U. S. 114, 115 (1951)).  These guides are
fundamental in our Takings Clause jurisprudence.  We have
recognized, however, that no magic formula enables a  
Cite as: 568 U. S. ____ (2012)  7
Opinion of the Court
court to judge, in every case, whether a given government
interference with property is a taking.  In view of the
nearly infinite variety of ways in which government actions or regulations can affect property interests, the
Court has recognized few invariable rules in this area.
True, we have drawn some bright lines, notably, the
rule that a permanent physical occupation of property
authorized by government is a taking.   Loretto v.  Teleprompter Manhattan CATV Corp., 458 U. S. 419, 426
(1982). So, too, is a regulation that permanently requires
a property owner to sacrifice  all economically beneficial
uses of his or her land.  Lucas v. South Carolina Coastal
Council, 505 U. S. 1003, 1019 (1992).  But aside from the
cases attended by rules of this order, most takings claims
turn on situation-specific factual inquiries.  See  Penn
Central, 438 U. S., at 124.  With this in mind, we turn to
the question presented here—whether temporary flooding
can ever give rise to a takings claim.
The Court first ruled that government-induced flooding
can constitute a taking in Pumpelly v. Green Bay Co., 13
Wall. 166 (1872). The Wisconsin Legislature had authorized the defendant to build a dam which led to the creation
of a lake, permanently submerging the plaintiff’s land.
The defendant argued that the land had not been taken
because the government did not exercise the right of eminent domain to acquire title to the affected property.
Moreover, the defendant urged, the damage was merely
“a consequential result” of the dam’s construction near the
plaintiff’s property.  Id., at 177. Rejecting that crabbed
reading of the Takings Clause, the Court held that “where
real estate is actually invaded by superinduced additions
of water, earth, sand, or other material . . . so as to effectually destroy or impair its usefulness, it is a taking,
within the meaning of the Constitution.”  Id., at 181.
Following Pumpelly, the Court recognized that season-
ally recurring flooding could constitute a taking.  United  
8  ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
States v.  Cress, 243 U. S. 316 (1917), involved the Government’s construction of a lock and dam, which subjected
the plaintiff’s land to “intermittent but inevitably recurring overflows.”  Id., at 328. The Court held that the
regularly recurring flooding gave rise to a takings claim
no less valid than the claim of an owner whose land was
continuously kept under water.  Id., at 328–329.
Furthermore, our decisions confirm that takings temporary in duration can be compensable.  This principle
was solidly established in the World War II era, when
“[c]ondemnation for indefinite periods of occupancy [took
hold as] a practical response to the uncertainties of the
Government’s needs in wartime.”  United States v. Westinghouse Elec. & Mfg. Co., 339 U. S. 261, 267 (1950).  In
support of the war effort, the Government took temporary
possession of many properties.  These exercises of government authority, the Court recognized, qualified as
compensable temporary takings.  See Pewee Coal Co., 341
U. S. 114; Kimball Laundry Co. v. United States, 338 U. S.
1 (1949); United States v. General Motors Corp., 323 U. S.
373 (1945). Notably in relation to the question before us,
the takings claims approved in these cases were not confined to instances in which the Government took outright
physical possession of the property involved. A temporary
takings claim could be maintained as well when government action occurring outside the property gave rise to “a
direct and immediate interference with the enjoyment and
use of the land.”  United States v.  Causby, 328 U. S.
256, 266 (1946) (frequent overflights from a nearby airport
resulted in a taking, for the flights deprived the property
owner of the customary use of his property as a chicken
farm); cf.  United States v.  Dickinson, 331 U. S. 745, 751
(1947) (flooding of claimant’s land was a taking even
though claimant successfully “reclaimed most of his land
which the Government originally took by flooding”).
Ever since, we have rejected the argument that govern-
 
Cite as: 568 U. S. ____ (2012)  9
Opinion of the Court
ment action must be permanent to qualify as a taking.
Once the government’s actions have worked a taking of
property, “no subsequent action by the government can re-
lieve it of the duty to provide compensation for the period during which the taking was effective.”  First English,
482 U. S., at 321.  See also Tahoe-Sierra, 535 U. S., at 337
(“[W]e do not hold that the temporary nature of a land-use
restriction precludes finding that it effects a taking; we
simply recognize that it should not be given exclusive
significance one way or the other.”).
Because government-induced flooding can constitute a
taking of property, and because a taking need not be
permanent to be compensable, our precedent indicates
that government-induced flooding of limited duration may
be compensable. No decision of this Court authorizes
a blanket temporary-flooding exception to our Takings
Clause jurisprudence, and we decline to create such an
exception in this case.
III
In advocating a temporary-flooding exception, the Government relies primarily on  Sanguinetti, 264 U. S. 146.
That case involved a canal constructed by the Government
connecting a slough and a river.  The claimant’s land was
positioned between the slough and the river above the
canal. The year after the canal’s construction, a “flood of
unprecedented severity” caused the canal to overflow onto
the claimant’s land; less severe flooding and overflow
occurred in later years.  Id., at 147.
The Court held there was no taking on these facts.  This
outcome rested on settled principles of foreseeability and
causation. The Court emphasized that the Government
did not intend to flood the land or have “any reason to
expect that such [a] result would follow” from construction
of the canal.  Id.,  at 148.  Moreover, the property was
subject to seasonal flooding prior to the construction of the  
 
10 ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
canal, and the landowner failed to show a causal connection between the canal and the increased flooding, which
may well have been occasioned by changes in weather
patterns. See id., at 149 (characterizing the causal relationship asserted by the landowner as “purely conjectural”). These case-specific features were more than
sufficient to dispose of the property owner’s claim.
In the course of the Sanguinetti  decision, however, the
Court summarized prior flooding cases as standing for the
proposition that “in order to create an enforceable liability
against the Government, it is, at least, necessary that the
overflow be the direct result of the structure, and constitute an actual, permanent invasion of the land.”   Ibid.
The Government would have us extract from this statement a definitive rule that there can be no temporary
taking caused by floods.
We do not read so much into the word “permanent” as it
appears in a nondispositive sentence in Sanguinetti. That
case, we note, was decided in 1924, well before the World
War II-era cases and  First English, in which the Court
first homed in on the matter of compensation for temporary takings.  That time factor, we think, renders understandable the Court’s passing reference to permanence.  If
the Court indeed meant to express a general limitation on
the Takings Clause, that limitation has been superseded
by subsequent developments in our jurisprudence.
There is certainly no suggestion in  Sanguinetti that
flooding cases should be set apart from the mine run of
takings claims.  The sentence in question was composed to
summarize the flooding cases the Court had encountered
up to that point, which had unexceptionally involved
permanent, rather than temporary, government-induced
flooding. 264 U. S., at 149.  See Cress, 243 U. S., at 328;
United States v. Lynah, 188 U. S. 445, 469 (1903).  But as
just explained, no distinction between permanent and
temporary flooding was material to the result in  San-
 
Cite as: 568 U. S. ____ (2012)  11
Opinion of the Court
guinetti. We resist reading a single sentence unnecessary
to the decision as having done so much work.  In this regard, we recall Chief Justice Marshall’s sage observation
that “general expressions, in every opinion, are to be taken
in connection with the case in which those expressions are
used. If they go beyond the case, they may be respected,
but ought not to control the judgment in a subsequent suit
when the very point is presented for decision.”  Cohens v.
Virginia, 6 Wheat. 264, 399 (1821).
The Government also asserts that the Court in Loretto
interpreted Sanguinetti the same way the Federal Circuit
did in this case. That assertion bears careful inspection.
A section of the Court’s opinion in  Loretto discussing
permanent physical occupations parenthetically quotes
Sanguinetti’s statement that flooding is a taking if it
constitutes an “actual, permanent invasion of the land.”
458 U. S., at 428.  But the first rule of case law as well as
statutory interpretation is:  Read on.  Later in the Loretto
opinion, the Court clarified that it scarcely intended to
adopt a “flooding-is-different” rule by the obscure means of
quoting parenthetically a fragment from a 1924 opinion.
The Court distinguished permanent physical occupations
from temporary invasions of property, expressly including
flooding cases, and said that “temporary limitations are
subject to a more complex balancing process to determine
whether they are a taking.”  Id., at 435, n. 12.
There is thus no solid grounding in precedent for set-
ting flooding apart from all other government intrusions on
property. And the Government has presented no other
persuasive reason to do so. Its primary argument is of the
in for a penny, in for a pound genre: reversing the decision
below, the Government worries, risks disruption of public works dedicated to flood  control.  “[E]very passing
flood attributable to the government’s operation of a floodcontrol project, no matter  how brief,” the Government
hypothesizes, might qualify as a compensable taking.  
12 ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
Brief for United States 29.  To reject a categorical bar to
temporary-flooding takings claims, however, is scarcely
to credit all, or even many, such claims. It is of course in-
cumbent on courts to weigh carefully the relevant factors
and circumstances in each case, as instructed by our decisions. See infra, at 14.
The slippery slope argument, we note, is hardly novel or
unique to flooding cases.  Time and again in Takings
Clause cases, the Court has heard the prophecy that recognizing a just compensation claim would unduly impede
the government’s ability to act in the public interest.
Causby, 328 U. S., at 275 (Black, J., dissenting); Loretto,
458 U. S., at 455 (Blackmun, J., dissenting).  We have
rejected this argument when  deployed to urge blanket
exemptions from the Fifth Amendment’s instruction.
While we recognize the importance of the public interests
the Government advances in this case, we do not see them
as categorically different from the interests at stake in
myriad other Takings Clause cases.  The sky did not fall
after Causby, and today’s modest decision augurs no deluge of takings liability.
Tellingly, the Government qualifies its defense of the
Federal Circuit’s exclusion of flood invasions from temporary takings analysis.  It sensibly acknowledges that a
taking might be found where there is a “sufficiently prolonged series of nominally  temporary but substantively
identical deviations.” Brief for United States 21. This
concession is in some tension with the categorical rule
adopted by the Court of Appeals.  Indeed, once it is recognized that at least some repeated nonpermanent flooding
can amount to a taking of property, the question presented
to us has been essentially answered.  Flooding cases, like
other takings cases, should be assessed with reference
to the “particular circumstances of each case,” and not by
resorting to blanket exclusionary rules.  United States v.
Central Eureka Mining Co., 357 U. S. 155, 168 (1958)  
Cite as: 568 U. S. ____ (2012)  13
Opinion of the Court
(citing Pennsylvania Coal Co. v. Mahon, 260 U. S. 393, 416
(1922)). See Penn Central, 438 U. S., at 124.  
At oral argument, the Government tendered a different
justification for the Federal Circuit’s judgment, one not
aired in the courts below, and barely hinted at in the brief
the Government filed in this Court: Whether the damage
is permanent or temporary, damage to downstream property, however foreseeable, is collateral or incidental; it is
not aimed at any particular landowner and therefore does
not qualify as an occupation compensable under the Takings Clause. Tr. of Oral Arg. 30–39; Brief for United
States 26–27. “[M]indful that we are a court of review,
not of first view,”  Cutter v.  Wilkinson, 544 U. S. 709,
718, n. 7 (2005), we express no opinion on the proposed
upstream/downstream distinction and confine our opinion
to the issue explored and decided by the Federal Circuit.
For the same reason, we are not equipped to address the
bearing, if any, of Arkansas water-rights law on this case.1
The determination whether a taking has occurred includes
consideration of the property owner’s distinct investmentbacked expectations, a matter often informed by the law in
force in the State in which the property is located.  Lucas,
505 U. S., at 1027–1029;  Phillips v.  Washington Legal
Foundation, 524 U. S. 156, 164 (1998).  But Arkansas law
was not examined by the Federal Circuit, and therefore is
not properly pursued in this Court.  Whether arguments
for an upstream/downstream distinction and on the relevance of Arkansas law have  been preserved and, if so,
whether they have merit, are questions appropriately
addressed to the Court of Appeals on remand. See Glover
v. United States, 531 U. S. 198, 205 (2001).
——————
1
Arkansas water law is barely discussed in the parties’ briefs, see
Brief for United States 43, but has been urged at length in a brief
amicus curiae filed by Professors of Law Teaching in the Property Law
and Water Rights Fields.  
14 ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
IV
We rule today, simply and only, that governmentinduced flooding temporary in duration gains no automatic exemption from Takings Clause inspection.  When
regulation or temporary physical invasion by government
interferes with private property, our decisions recognize,
time is indeed a factor in determining the existence
vel non of a compensable taking.  See Loretto, 458 U. S.,
at 435, n. 12 (temporary physical invasions should be as-
sessed by case-specific factual inquiry); Tahoe-Sierra, 535
U. S., at 342 (duration of regulatory restriction is a factor
for court to consider);  National Bd. of YMCA v.  United
States, 395 U. S. 85, 93 (1969) (“temporary, unplanned
occupation” of building by troops under exigent circumstances is not a taking).  
Also relevant to the takings inquiry is the degree to
which the invasion is intended or is the foreseeable result
of authorized government action.  See  supra, at 9; John
Horstmann Co. v. United States, 257 U. S. 138, 146 (1921)
(no takings liability when damage caused by government
action could not have been foreseen).  See also Ridge Line,
Inc. v. United States, 346 F. 3d 1346, 1355–1356 (CA Fed.
2003); In re Chicago, Milwaukee, St. Paul & Pacific R. Co.,
799 F. 2d 317, 325–326 (CA7 1986).  So, too, are the character of the land at issue and the owner’s “reasonable
investment-backed expectations” regarding the land’s use.
Palazzolo v. Rhode Island, 533 U. S. 606, 618 (2001).  For
example, the Management Area lies in a floodplain below
a dam, and had experienced flooding in the past.  But the
trial court found the Area had not been exposed to flooding
comparable to the 1990’s accumulations in any other time
span either prior to or after the construction of the Dam.
See supra, at 4–5. Severity of the interference figures in
the calculus as well. See Penn Central, 438 U. S., at 130–
131;  Portsmouth Harbor Land & Hotel Co. v.  United
States, 260 U. S. 327, 329–330 (1922) (“[W]hile a single act  
 
Cite as: 568 U. S. ____ (2012)  15
Opinion of the Court
may not be enough, a continuance of them in sufficient
number and for a sufficient time may prove [a taking].
Every successive trespass adds to the force of the
evidence.”).
The Court of Federal Claims found that the flooding the
Commission assails was foreseeable.  In this regard, the
court noted the Commission’s repeated complaints to
the Corps about the destructive impact of the successive
planned deviations from the Water Control Manual.
Further, the court determined that the interference with
the Commission’s property  was severe:
The Commission 
had been deprived of the customary use of the Management Area 
as a forest and wildlife preserve, as the bottomland hardwood forest turned, over time, into a “headwater swamp.” 87 Fed. Cl., at 610 (internal quotation marks
omitted); see supra, at 5.2
The Government, however, challenged several of the 
trial court’s factfindings, including those relating to causation, 
foreseeability, substantiality, and the amount of
damages. 
Because the Federal Circuit rested its decision 
entirely on the temporary duration of the flooding, it did 
not address those challenges. As earlier noted, see supra,
at 13, preserved issues remain open for consideration on 
remand. 
* * *
For the reasons stated, the judgment of the Court of
Appeals for the Federal Circuit is reversed, and the case is
remanded for further proceedings consistent with this 
opinion. 
It is so ordered. 
——————
2
The Commission is endeavoring to reclaim the land through a restoration program. 
 The prospect of  reclamation, however, does not disqualify a landowner from receipt of just compensation for a taking. 
United States v. Dickinson, 331 U. S. 745, 751 (1947).  
16 ARKANSAS GAME AND FISH COMM’N v. UNITED STATES
Opinion of the Court
JUSTICE  KAGAN took no part in the consideration or
decision of this case.

State courts rather than federal courts are most fre­ quently called upon to apply the Federal Arbitration Act (FAA), 9 U. S. C. §1 et seq., including the Act’s national policy favoring arbitration. It is a matter of great im­ portance, therefore, that state supreme courts adhere to a correct interpretation of the legislation. Here, the Okla­homa Supreme Court failed to do so. By declaring the noncompetition agreements in two employment contracts null and void, rather than leaving that determination to the arbitrator in the first instance, the state court ignored a basic tenet of the Act’s substantive arbitration law. The decision must be vacatedThe judgment of the Supreme Court of Oklaho­ ma is vacated, and the case is remanded for proceedings not inconsistent with this opinion. It is so ordered. .


 
Cite as: 568 U. S. ____ (2012)  1
Per Curiam
SUPREME COURT OF THE UNITED STATES
NITRO-LIFT TECHNOLOGIES, L. L. C. v. EDDIE LEE
HOWARD ET AL.
ON PETITION FOR WRIT OF CERTIORARI TO THE SUPREME
COURT OF OKLAHOMA

No. 11–1377. Decided November 26, 2012
 PER CURIAM.
State courts rather than federal courts are most fre­
quently called upon to apply the Federal Arbitration Act
(FAA), 9 U. S. C. §1  et seq., including the Act’s national
policy favoring arbitration. 
 It is a matter of great im­
portance, therefore, that state supreme courts adhere to a 
correct interpretation of the legislation. 
Here, 
the Okla­homa Supreme Court failed to do so. 
By declaring the
noncompetition agreements in two employment contracts
null and void, rather than leaving that determination to
the arbitrator in the first instance, the state court ignored 
a basic tenet of the Act’s substantive arbitration law.  
The 
decision must be vacated. 
* * *
This dispute arises from a contract between petitioner
Nitro-Lift Technologies, L. L. C., and two of its former
employees.
Nitro-Lift contracts with operators of oil and 
gas wells to provide services that enhance production. 
Respondents Eddie Lee Howard and Shane D. Schneider 
entered a confidentiality and noncompetition agreement 
with Nitro-Lift that contained the following arbitration
clause:
“‘Any dispute, difference or unresolved question be­
tween Nitro-Lift and the Employee (collectively the
“Disputing Parties”) shall be settled by arbitration by 
a single arbitrator mutually agreeable to the Disput­
ing Parties in an arbitration proceeding conducted in    
  
2  NITRO-LIFT TECHNOLOGIES, L. L. C. v. HOWARD
Per Curiam
Houston, Texas in accordance with the rules existing 
at the date hereof of the American Arbitration Associ­
ation.’” Pet. for Cert. 5.
After working for Nitro-Lift on wells in Oklahoma, Texas,
and Arkansas, respondents quit and began working for
one of Nitro-Lift’s competitors.
Claiming that respondents
had breached their noncompetition agreements, Nitro-Lift
served them with a demand for arbitration. 
 Respondents
then filed suit in the District Court of Johnston County,
Oklahoma, asking the court to declare the noncompetition 
agreements null and void and to enjoin their enforcement.
The court dismissed the complaint, finding that the con­
tracts contained valid arbitration clauses under which an 
arbitrator, and not the court, must settle the parties’ 
disagreement.
The Oklahoma Supreme Court retained respondents’
appeal and ordered the parties to show cause why the
matter should not be resolved by application of Okla.
Stat., Tit. 15, §219A (West 2011), which limits the en­
forceability of noncompetition agreements.
Nitro-Lift
argued that any dispute as to the contracts’ enforceability
was a question for the arbitrator.
It relied for support—
as it had done before the trial court—upon several of this
Court’s cases interpreting the FAA, and noted that under
Buckeye Check Cashing, Inc. v. Cardegna, 546 U. S. 440,
446 (2006), “this arbitration law applies in both state and
federal courts.” Record in No. 109,003 (Okla.), p. 273.
The Oklahoma Supreme Court was not persuaded. 
 It 
held that despite the “[U. S.] Supreme Court cases on
which the employers rely,” the “existence of an arbitration 
agreement in an employment contract does not prohibit
judicial review of the underlying agreement.”  
2011 OK 98, 
¶15, n. 20, ¶16, 273 P. 3d 20, 26, n. 20, 27.
For that prop­osition,
the court relied on the “exhaustive overview of
the United States Supreme Court decisions construing the
Federal Arbitration Act” in  Bruner  v. Timberlane Manor Cite as: 568 U. S. ____ (2012)  3
Per Curiam
Ltd. Partnership, 2006 OK 90, 155 P. 3d 16, which found
Supreme Court jurisprudence
“not to inhibit our review of the underlying contract’s validity.” 273 P. 3d, at 26. 
Finding the arbitration clauses no obstacle to its review,
the court held that the noncompetition agreements were
“void and unenforceable as against Oklahoma’s public 
policy,” expressed in Okla. Stat., Tit. 15, §219A.  273 P. 3d,
at 27.
The Oklahoma Supreme Court declared that its decision
rests on adequate and independent state grounds.  Id., at
23–24, n. 5.  If that were so, we would have no jurisdiction
over this case. See  Michigan v.  Long, 463 U. S. 1032,
1037–1044 (1983). It is not so, however, because the
court’s reliance on Oklahoma law was not “independent”—
it necessarily depended upon a rejection of the federal
claim, which was both “‘properly presented to’” and “‘ad­
dressed by’” the state court.   Howell v.  Mississippi, 543
U. S. 440, 443 (2005) (per curiam)  (quoting  Adams v.
Robertson, 520 U. S. 83, 86 (1997) (per curiam)).
NitroLift claimed that the arbitrator should decide the con­
tract’s validity, and raised a federal-law basis for that
claim by relying on Supreme Court cases construing the
FAA. “‘[A] litigant wishing to raise a federal issue can
easily indicate the federal law basis for his claim in a
state-court petition or brief . . . by citing in conjunction
with the claim the federal source of law on which he relies
or a case deciding such a claim on federal grounds . . . .’”
Howell, supra, at 444 (quoting Baldwin v. Reese, 541 U. S.
27, 32 (2004); emphasis added).
The Oklahoma Supreme
Court acknowledged the cases on which Nitro-Lift relied,
as well as their relevant holdings, but chose to discount
these controlling decisions.  Its conclusion that, despite
this Court’s jurisprudence, the underlying contract’s valid­
ity is purely a matter of state law for state-court deter­
mination is all the more reason for this Court to assert
jurisdiction.  
 
 
4  NITRO-LIFT TECHNOLOGIES, L. L. C. v. HOWARD
Per Curiam
The Oklahoma Supreme Court’s decision disregards this 
Court’s precedents on the FAA.
That Act, which “de­clare[s] a national policy favoring arbitration,”
Southland Corp. v.  Keating, 465 U. S. 1, 10 (1984), provides that a
“written provision in . . . a contract evidencing a transac­
tion involving commerce to settle by arbitration a contro­
versy thereafter arising out of such contract or transaction
. . . shall be valid, irrevocable, and enforceable, save upon
such grounds as exist at law or in equity for the revocation 
of any contract.”  9 U. S. C. §2.  
It is well settled that 
“the substantive law the Act created [is] applicable in state
and federal courts.”  Southland Corp.,  supra, at 12; see 
also Buckeye, supra, at 446. And when parties commit to 
arbitrate contractual disputes, it is a mainstay of the Act’s
substantive law that attacks on the validity of the con­
tract, as distinct from attacks on the validity of the arbi­
tration clause itself, are to be resolved “by the arbitrator
in the first instance, not by a federal or state court.” 
Preston v. Ferrer, 552 U. S. 346, 349 (2008); see also Prima
Paint Corp. v.  Flood & Conklin Mfg. Co., 388 U. S. 395
(1967). For these purposes, an “arbitration provision is
severable from the remainder of the contract,”  Buckeye,
supra, at 445, and its validity is subject to initial court
determination; but the validity of the remainder of the
contract (if the arbitration provision is valid) is for the
arbitrator to decide.
This principle requires that the decision below be va­
cated.
The trial court found that the contract contained a 
valid arbitration clause, and the Oklahoma Supreme 
Court did not hold otherwise. 
 It nonetheless assumed the
arbitrator’s role by declaring the noncompetition agree­
ments null and void. The state court insisted that its
“[own] jurisprudence controls this issue” and permits
review of a “contract submitted to arbitration where one
party assert[s] that the underlying agreement [is] void and
unenforceable.” 273 P. 3d, at 26.  But the Oklahoma  
Cite as: 568 U. S. ____ (2012)  5
Per Curiam
Supreme Court must abide by the FAA, which is “the
supreme Law of the Land,” U. S. Const., Art. VI, cl. 2, and
by the opinions of this Court interpreting that law.  “It
is this Court’s responsibility to say what a statute means,
and once the Court has spoken, it is the duty of other
courts to respect that understanding of the governing rule
of law.”  Rivers v.  Roadway Express, Inc., 511 U. S. 298,
312 (1994). Our cases hold that the FAA forecloses pre­
cisely this type of “judicial hostility towards arbitration.”
AT&T Mobility LLC  v.  Concepcion, 563 U. S. ___, ___
(2011) (slip op., at 8).
The state court reasoned that Oklahoma’s statute “ad­
dressing the validity of covenants not to compete, must
govern over the more general statute favoring arbitration.”
273 P. 3d, at 26, n. 21.  But the ancient interpretive prin­
ciple that the specific governs the general (generalia specialibus non derogant) applies only to conflict between
laws of equivalent dignity.
Where a specific statute, for 
example, conflicts with a general constitutional provision, 
the latter governs.
And the same is true where a specific
state statute conflicts with a general federal statute.
There is no general-specific exception to the Supremacy
Clause, U. S. Const. Art. VI, cl. 2.
“‘[W]hen state law prohibits outright the arbitration of a particular type of
claim, the analysis is straightforward: The conflicting rule
is displaced by the FAA.’”  Marmet Health Care Center,
Inc. v. Brown, 565 U. S. ___, ___–___ (2012) (per curiam)
(slip op., at 3–4) (quoting  AT&T Mobility LLC, supra, at
___–___ (slip op., at 6–7)).
Hence, it is for the arbitrator to 
decide in the first instance whether the covenants not to 
compete are valid as a matter of applicable state law.  See
Buckeye, 546 U. S., at 445–446.
For the foregoing reasons, the petition for certiorari is
granted. The judgment of the Supreme Court of Oklaho­
ma is vacated, and the case is remanded for proceedings
not inconsistent with this opinion. 
It is so ordered.