                            UNITED STATES DISTRICT COURT
                            FOR THE DISTRICT OF COLUMBIA

                                                 )
ELIZABETH MURPHY, et al.,                        )
                                                 )
       Plaintiffs,                               )
                                                 )
               v.                                )                                06-cv-596 (RCL)
                                                 )
ISLAMIC REPUBLIC OF IRAN, et al.,                )
                                                 )
       Defendants.                               )
                                                 )


                                  MEMORANDUM OPINION

I.     Introduction.

       This case arises out of the October 23, 1983, bombing of the United States Marine

barracks in Beirut, Lebanon (“the Beirut bombing”), where a suicide bomber murdered 241

American military servicemen in the most deadly state-sponsored terrorist attack upon

Americans until the tragic attacks on September 11, 2001. The Court will first discuss the

background of this case: the commencement of this case by plaintiffs, the later inclusion of

plaintiffs in intervention, the retroactive application of recent changes to the Foreign Sovereign

Immunities Act (FSIA), the judicial notice taken of findings and conclusions made in a related

case, the entry of default judgment, and a summary of the claims made in this case. Second, the

Court will make findings of fact. Third, the Court will discuss the Court’s personal and subject-

matter jurisdiction. Fourth, the Court will discuss defendants’ liability under the federal cause of

action created by the Foreign Sovereign Immunities Act. Finally, the Court will award

compensatory and punitive damages as appropriate.
II.    Background.

       This case contains two complaints: one by the plaintiffs, the other by the plaintiffs in

intervention (also referred to as “intervenor plaintiffs” or “intervenors”). The terrorism

exception to the FSIA, as recently amended, applies retroactively to claims made by both

plaintiffs and intervenors. The Court has taken judicial notice of the findings and conclusions

entered in a related case. The Court will enter default judgment against defendants and in favor

of all plaintiffs and intervenors. Plaintiffs and intervenors have brought various claims of

wrongful death, assault, battery, and intentional infliction of emotional distress (IIED), for which

they seek compensatory and punitive damages.

       A.      Retroactive Application of Recently Amended Provisions of the FSIA to
               Plaintiffs and Intervenors.

       Plaintiffs originally brought this action against defendants under 28 U.S.C. § 1605(a)(7),

the former state-sponsor-of-terrorism exception to the general rule of sovereign immunity

enumerated in the Foreign Sovereign Immunities Act of 1976, 28 U.S.C. §§ 1330, 1602–1611.

See Compl., Mar. 31, 2006, ECF No. 1. Section 1605(a)(7) “was ‘merely a jurisdiction

conferring provision,’ and therefore did not create an independent federal cause of action against

a foreign state or its agents.” In re Islamic Republic of Iran Terrorism Litig., 659 F. Supp. 2d 31

(D.D.C. 2009) (Lamberth, J.) (quoting Cicippio-Puleo v. Islamic Republic of Iran, 353 F.3d

1024, 1027, 1032 (D.C. Cir. 2007)). It merely opened the door to plaintiffs seeking to bring suit

in federal court against foreign sovereigns for terrorism-related claims, which had to be based on

state tort law. Id. at 40–48 (providing a historical overview of the FSIA terrorism exception)

Further, the FSIA did not permit the awarding of punitive damages against foreign states

themselves. Id. at 48.




                                                 2
       This case comes to the Court following final judgment in Peterson v. Islamic Republic of

Iran. See Peterson v. Islamic Republic of Iran, 515 F. Supp. 2d 25 (D.D.C. 2007) (Lamberth, J.)

[hereinafter Peterson II] (final judgment); Peterson v. Islamic Republic of Iran, 264 F. Supp. 2d

46 (D.D.C. 2003) (Lamberth, J.) [hereinafter Peterson I] (default judgment). Peterson

established the liability of Iran and MOIS in the terrorist attack out of which this case also arise,

but did so under § 1605(a)(7), thus reaching “inconsistent and varied result[s]” when various

states’ tort laws differed. In re Islamic Republic of Iran Terrorism Litig., 659 F. Supp. 2d at 59;

Congress responded to this inconsistency and the unavailability of punitive damages by replacing

§ 1605(a)(7) with § 1605A, a new terrorism exception that provides an independent federal cause

of action and makes punitive damages available to plaintiffs. See In re Islamic Republic of Iran

Terrorism Litig., 659 F. Supp. 2d at 58–61 (discussing repeal of § 1605(a)(7) and enactment of

§ 1605A). Plaintiffs now seek to retroactively take advantage of these changes. As do plaintiffs

in intervention; Intervenors filed their complaint in intervention stating claims only under

§ 1605A, but they too must satisfy certain procedural requirements to take advantage of

§ 1605A, enacted in 2008, to the Beirut Bombing, which occurred in 1983.

       Parties seeking to take advantage of this new federal cause of action and punitive-

damages allowance must proceed under one of three procedural approaches, which are laid out in

part in the National Defense Authorization Act for Fiscal Year 2008 (2008 NDAA), Pub. L. No.

110-181, § 1083(2)–(3), 112 Stat. 3, 342–43 (2008). See generally In re Islamic Republic of Iran

Terrorism Litig., 659 F. Supp. 2d at 62–65). These three approaches are prior actions, related

actions, or stand-alone actions.

       First, § 1605A may apply to a “prior action,” which is one that (1) “was brought under

section 1605(a)(7) of title 28, United States Code . . . before the date of the enactment of this




                                                  3
Act,” the 2008 NDAA, January 28, 2008, § 1083(c)(2)(A)(i); (2) “relied upon . . . such provision

as creating a cause of action,” § 1083(c)(2)(A)(ii); (3) “has been adversely affected on the

grounds that [such] provision[] fail[ed] to create a cause of action against the state,”

§ 1083(c)(2)(A)(iii); and (4) “as of such date of enactment, [was] before the courts in any form,”

§ 1083(c)(2)(A)(iv). Second and alternatively, § 1605A may apply to a “related action,” which

is one “arising out of the same act or incident” as “an action arising out of an act or incident

[that] has been timely commenced under section 1605(a)(7) of title 28, United States Code.”

§ 1083(c)(3). Third and finally, potential plaintiffs may pursue a stand-alone action, which is

one in which § 1605A need not retroactively apply to some past attack. Plaintiffs and

intervenors in this case proceed under the second approach. This case is related to, among other

cases, Valore v. Islamic Republic of Iran, a consolidation of four cases, all of which were timely

commenced under § 1605(a)(7) and which arose out of the same act or incident as this case: the

Beirut Bombing. Valore v. Islamic Republic of Iran, 700 F. Supp. 2d 52, 57 (D.D.C. 2010)

(Lamberth, C.J.) (“All plaintiffs in this case originally brought their individual actions against

defendants under 28 U.S.C. § 1605(a)(7) . . . .”).

       To secure retroactive application of § 1605A, a party in a related action must seek such

retroactivity “not later than the latter of 60 days after the date of the entry of judgment in the

original action”—the one to which the related action is related—or January 28, 2008—the date

of the enactment of the 2008 NDAA. § 1083(c)(3). Plaintiffs sought retroactive application

through their Motion for Leave to Amend Complaint, ECF No. 46, which was filed on February

26, 2010. Plaintiffs in intervention sought retroactive application by filing their Complaint in

Intervention, ECF No. 31, on November 17, 2008. Final judgment in Valore was entered on

March 31, 2010. See Order & J., Valore, No. 03-cv-1959 (D.D.C. Mar. 31, 2010), ECF No. 60.




                                                   4
Both plaintiffs and intervenors therefore commenced their respective portions of this action well

before 60 days after the entry of final judgment in Valore. The Court may therefore apply

§ 1605A to all claims in this case, and has allowed plaintiffs to amend their complaint and

intervenors to intervene. Order Granting Mot. for Leave to Am. Compl., Apr. 13, 2010, ECF

No. 52; Order, Nov. 17, 2008, ECF No. 30; see Am. Compl. for Dam., Apr. 13, 2010, ECF No.

54 [hereinafter Pls.’ Compl.]; Compl. in Intervention, Nov. 17, 2008, ECF No. 30 [hereinafter

Ints.’ Compl.].

       B.         Judicial Notice and Default Judgment.

       The Court has taken judicial notice of the findings of fact and conclusions of law made in

Peterson, which also arose out of the Beirut Bombing; in the orders taking such notice, the Court

also issued default judgments against both defendants, which failed to appear. Order Granting in

Part and Finding as Moot in Part Mot. for Judicial Notice of Findings of Fact and Conclusions of

Law on Liability of Defs., Apr. 13, 2010, ECF No. 53; Order, Oct. 2, 2007, ECF No. 27.

Plaintiffs and intervenors had both established their right to relief “by evidence satisfactory to the

court,” 28 U.S.C. § 1608(e), through “uncontroverted factual allegations, which are supported

by . . . documentary and affidavit evidence,” Int’l Road Fed’n v. Embassy of the Democratic

Republic of the Congo, 131 F. Supp. 2d 248, 252 n.4 (D.D.C. 2001) (quotation omitted).

       A court may take judicial notice of any fact “not subject to reasonable dispute in that it

is . . . capable of accurate and ready determination by resort to sources whose accuracy cannot

reasonably be questioned.” Fed. R. Evid. 201(b). Under Rule 201(b), courts generally may take

judicial notice of court records. See 21B Charles Alan Wright & Kenneth W. Graham, Jr.,

Federal Practice and Procedure § 5106.4; see also Booth v. Fletcher, 101 F.2d 676, 679 n.2 (D.C.

Cir. 1938) (“A court may take judicial notice of, and give effect to, its own records in another but




                                                  5
interrelated proceeding . . . .”). Indeed, as has been noted in several other FSIA cases brought in

this District, “this Court ‘may take judicial notice of related proceedings and records in cases

before the same court.’” Brewer v. Islamic Republic of Iran, 664 F. Supp. 2d 43, 50–51 (D.D.C.

2009) (quoting Heiser v. Islamic Republic of Iran, 466 F. Supp. 2d. 229, 267 (D.D.C. 2006)

(Lamberth, J.) [hereinafter Heiser I]). At issue is the effect of such notice.

       Although a court clearly may judicially notice its findings of facts and conclusions of law

in related cases, this Circuit has not directly considered whether and under what circumstances a

court may judicially notice the truth of such findings and conclusions. Circuits that have

addressed this question have concluded that “courts generally cannot take notice of findings of

fact from other proceedings for the truth asserted therein because these are disputable and usually

are disputed”; but because “it is conceivable that a finding of fact may satisfy the indisputability

requirement,” these courts have not adopted a per se rule against such notice. Taylor v. Charter

Med. Corp., 162 F.3d 827, 829–30 (5th Cir. 1998); see also Wyatt v. Terhune, 315 F.3d 1108,

1114 n.5 (9th Cir. 2003); Int’l Star Class Yacht Racing Ass’n v. Tommy Hilfiger U.S.A., Inc., 146

F. 3d 66, 70 (2d Cir. 1998); Gen. Elec. Capital Corp. v. Lease Resolution Corp., 128 F.3d 1074,

1082 n.6 (7th Cir. 1997); United States v. Jones, 29 F.3d 1549, 1553 (11th Cir. 1994); Holloway

v. Lockhart, 813 F.2d 874, 878–79 (8th Cir. 1987). See generally 21B Wright & Graham, supra,

§ 5106.4 (“While judicial findings of fact may be more reliable than other facts found in the file,

this does not make them indisputable . . . .”).

       This District has followed a similar approach in FSIA cases: judicial notice of the truth of

findings and conclusions is not prohibited per se, but is inappropriate absent some particular

indicia of indisputability. Here, there are no such indicia. With “defendants having failed to

enter an appearance,” Peterson was decided without the full benefits of adversarial litigation, and




                                                  6
its findings thus lack the absolute certainty with which they might otherwise be afforded.

Peterson I, 264 F. Supp. 2d at 49. Just as “findings of fact made during this type of one-sided

hearing should not be given a preclusive effect,” Weinstein v. Islamic Republic of Iran, 175 F.

Supp. 2d 13, 20 (D.D.C. 2001) (Lamberth, J.), they also should not be assumed true beyond

reasonable dispute. Moreover, because “default judgments under the FSIA require additional

findings than in the case of ordinary default judgments,” id. at 19–20, the court should endeavor

to make such additional findings in each case.

       The taking of judicial notice of the Peterson opinion, therefore, does not conclusively

establish the facts found in Peterson for, or the liability of the defendants in, this case. But “the

FSIA does not require this Court to relitigate issues that have already been settled” in previous

decisions. Brewer, 664 F. Supp. 2d at 54. Instead, the Court may review evidence considered in

an opinion that is judicially noticed, without necessitating the re-presentment of such evidence.

Heiser I, 466 F. Supp. 2d at 264 (reconsidering evidence presented in Blais v. Islamic Republic

of Iran, 459 F. Supp. 2d 40 (2006) (Lamberth, J.)). In rendering default judgment against

defendants, the Court was therefore required to, and did, find facts and make legal conclusions

anew. Below, the Court expounds on those findings and conclusions.

       C.      Summary of Plaintiffs’ and Intervenors’ Claims.

       Servicemen Armando Ybarra and John L’Heureux who survived the attack have brought

claims of assault, battery, and intentional infliction of emotional distress, seeking damages for

pain and suffering and economic losses. The estates of one serviceman killed in the attack—

Terrance Rick (“decedent”), represented by Elizabeth Murphy—has brought a claim for

wrongful death, seeking to recover decedent’s lost wages and earnings. Finally, family members

of servicemen-victims—Elizabeth Murphy, Bryan Harris, Mary E. Wells, Kerry M. L’Heureux,




                                                  7
and Jane L. L’Heureux—have brought claims for intentional infliction of emotional distress,

seeking solatium. Armando Ybarra and John L’Heureux have also sought punitive damages.

III.   Facts.

       Based on plaintiffs’ and intervenors’ uncontroverted factual assertions in their complaints

and with due reference to facts found in Peterson, the Court finds the following:

       A.       The Relationship Between Hezbollah and Iran.

               In late 1982 [during the Lebanese Civil War], with the concurrence of the
       United Nations, a multinational peacekeeping coalition consisting of American,
       British, French, and Italian soldiers arrived in the Lebanese capital of Beirut. In
       May of 1983, the 24th Marine Amphibious Unit of the U.S. Marines (“the 24th
       MAU”) joined this coalition.
               ....
               Following the 1979 revolution spearheaded by the Ayatollah Ruhollah
       Khomeini, the nation of Iran was transformed into an Islamic theocracy. . . . The
       post-revolutionary government in Iran . . . declared its commitment to spread the
       goals of the 1979 revolution to other nations. Towards that end, between 1983
       and 1988, the government of Iran spent approximately $50 to $150 million
       financing terrorist organizations in the Near East. One of the nations to which the
       Iranian government directed its attention was the war-torn republic of Lebanon.
                “Hezbollah” is an Arabic word meaning “the party of God.” It is also the
       name of a group of Shi’ite Muslims in Lebanon that was formed under the
       auspices of the government of Iran. Hezbollah began its existence as a faction
       within a group of moderate Lebanese Shi’ites known as Amal. Following the
       1982 Israeli invasion of Lebanon, the Iranian government sought to radicalize the
       Lebanese Shi’ite community, and encouraged Hezbollah to split from Amal.
       Having established the existence of Hezbollah as a separate entity, the
       government of Iran framed the primary objective of Hezbollah: to engage in
       terrorist activities in furtherance of the transformation of Lebanon into an Islamic
       theocracy modeled after Iran.

Peterson I, 264 F. Supp. 2d at 49–51 (footnotes omitted).

       During the Peterson trial, several experts testified on Iran’s terrorist activities. Patrick

Clawson, Ph.D., “a widely-renowned expert on Iranian affairs,” testified that in 1983, Hezbollah

was “a creature of the Iranian government.” Id. at 51. According to Dr. Clawson:

       Both from the accounts of Hezbollah members and from the accounts of the
       Iranians and of every academic study that I’m aware of, certainly at this time,



                                                  8
       Hezbollah is largely under Iranian orders. It’s almost entirely acting . . . under the
       order of the Iranians and being financed almost entirely by the Iranians.

Id. Dr. Clawson’s testimony was corroborated by that of Michael Ledeen, Ph.D., “a consultant

to the Department of Defense at the time of the Marine barracks bombing and an expert on U.S.

foreign relations, [who] testified at trial that ‘Iran invented, created, funded, trained, and runs to

this day Hezbollah, which is arguably the world’s most dangerous terrorist organization.’” Id. at

51 n.8. Dr. Clawson’s testimony was further corroborated by Reuven Paz, Ph.D., “who has

researched Islamic groups for the last 25 years” and who testified at trial that Hezbollah “totally

relied upon . . . Iranian support” and that at the time of the Beirut bombing, “when Hezbollah

was not yet formed as a strong group, it was totally controlled by Iran and actually served

mainly the Iranian interest in Lebanon.” Id. at 52. Dr. Paz testified further that Hezbollah could

not have carried out the Beirut bombing “without Iranian training, without . . . Iranian supply of

the explosives . . . , and without directions from the Iranian forces in Lebanon itself.” Id.

               It is clear that the formation and emergence of Hezbollah as a major
       terrorist organization is due to the government of Iran. Hezbollah . . . receive[d]
       extensive financial and military technical support from Iran, which funds and
       supports terrorist activities. The primary agency through which the Iranian
       government both established and exercised operational control over Hezbollah
       was the Iranian Ministry of Information and Security (“MOIS”). MOIS had
       formerly served as the secret police of the Shah of Iran prior to his overthrow in
       1979. Despite the revolutionary government’s complete break with the old
       regime, it did not disband MOIS, but instead allowed it to continue its operations
       as the intelligence organization of the new government. . . . MOIS acted as a
       conduit for the Islamic Republic of Iran’s provision of funds to Hezbollah,
       provided explosives to Hezbollah and, at all times relevant to these proceedings,
       exercised operational control over Hezbollah.

Id. at 53. See generally Council on Foreign Relations, Hezbollah (a.k.a. Hizbollah, Hizbu’llah)

(July 15, 2010), http://www.cfr.org/publication/9155 (“[Hezbollah] has close links to Iran . . . .”);

Council on Foreign Relations, State Sponsors: Iran (Aug. 2007), http://www.cfr.org/publication/




                                                   9
9362 (“Iran mostly backs Islamist groups, including the Lebanese Shiite militants of

Hezbollah . . . .”).

                It is clear that MOIS was no rogue agency acting outside of the control
        and authority of the Iranian government. . . . [T]he October 23 attack would have
        been impossible without the express approval of Iranian government leaders at the
        highest level . . . .
                ....
                The approval of the ayatollah and the prime minister was absolutely
        necessary to carry out the continuing economic commitment of Iran to Hezbollah,
        and to execute the October 23 attack. Given their positions of authority, any act of
        these two officials must be deemed an act of the government of Iran.

Peterson I, 264 F. Supp. 2d at 52–53 (footnotes omitted). As Dr. Clawson testified, approval for

the attack could only come after “a discussion in the National Security Council which would

involve the prime minister, and it would also have required the approval of Iran’s supreme

religious leader, Ayatollah Khomeini.” Id. at 53; see also Anthony H. Cordesman & Martin

Kleiber, Ctr. for Strategic & Int’l Studies, Iran’s Military Forces and Warfighting Capabilities

131 (2007) (noting that MOIS is funded by Iran with “a comparatively large budget” and

“operates under the broader guidance of Ali Khamenei”).

        B.      The Beirut Bombing.

                The complicity of Iran in the 1983 attack was established
        conclusively . . . [by a] message [that] had been sent from MOIS to [the] Iranian
        ambassador to Syria . . . . The message directed the Iranian ambassador to
        contact . . . the leader of the terrorist group Islamic Amal, and to instruct him to
        have his group instigate attacks against the multinational coalition in Lebanon,
        and “to take a spectacular action against the United States Marines.”
                ....
                Hezbollah members formed a plan to carry out simultaneous attacks
        against the American and French barracks in Lebanon.
                ....
                [A] 19-ton truck was disguised so that it would resemble a water[-]
        delivery truck that routinely arrived at the Beirut International Airport, which was
        located near the U.S. Marine barracks in Beirut, and modified the truck so that it
        could transport an explosive device. On the morning of October 23, 1983,
        members of Hezbollah ambushed the real water delivery truck before it arrived at




                                                 10
       the barracks. An observer was placed on a hill near the barracks to monitor the
       operation. The fake water delivery truck then set out for the barracks . . . .
                At approximately 6:25 a.m. Beirut time, the truck drove past the Marine
       barracks. As the truck circled in the large parking lot behind the barracks, it
       increased its speed. The truck crashed through a concertina wire barrier and a
       wall of sandbags, and entered the barracks. When the truck reached the center of
       the barracks, the bomb in the truck detonated.
                The resulting explosion was the largest non-nuclear explosion that had
       ever been detonated on the face of the Earth. The force of its impact ripped
       locked doors from their doorjambs at the nearest building, which was 256 feet
       away. Trees located 370 feet away were shredded and completely exfoliated. At
       the traffic control tower of the Beirut International Airport, over half a mile away,
       all of the windows shattered. . . . The explosion created a crater in the earth over
       eight feet deep. The four-story Marine barracks was reduced to fifteen feet of
       rubble.

Peterson I, 264 F. Supp. 2d at 54–58 (footnotes omitted).

       “As a result of the Marine barracks explosion, 241 servicemen were killed, and many

others suffered severe injuries.” Id. at 58. In the immediate aftermath of the explosion, those

who could “ran to the rubble and started searching for survivors among the loose hands, heads,

legs, arms, and torsos that littered the ruble-strewn ground.” Eric M. Hammel, The Root: The

Marines in Beirut, August 1982–February 1984, at 330 (1985). In the remains of the barracks,

“[h]uge blocks of steel-laced concrete angled in all directions” where “twisted corpses dangled

from the cracks.” Id. at 352. Many of those who survived “had shredded skin adhering to their

lower legs and feet . . . caused by the force of the blast.” Id. at 351. The Court need not expand

further on the gruesome detail of this horrific attack; several historians and eyewitnesses have

contributed to a rich historical record of the tragedy.1



       1
         For the Marine Corps’ official history of the event, see Benis M. Frank, U.S. Marines in
Lebanon: 1982–1984, at 1–5, 94–105 (1987), available at http://purl.access.gpo.gov/GPO/
LPS98826. For gripping first-hand accounts, see Glenn E. Dolphin, 24 MAU 1983: A Marine
Looks Back at the Peacekeeping Mission to Beirut, Lebanon 161–90 (2005) and Michael Petit,
Peacekeepers at War: A Marine’s Account of the Beirut Catastrophe 165–98 (1986). For an
excellent combination of eyewitness accounting and historical analysis, including the role of Iran
and Hezbollah in the attack and a discussion of the Peterson litigation, see Timothy J. Geraghty,


                                                  11
IV.     Jurisdiction.

        The FSIA “is the sole basis of jurisdiction over foreign states in our courts.” In re

Islamic Republic of Iran Terrorism Litig., 659 F. Supp. 2d at 39. The FSIA concerns both

subject-matter jurisdiction and personal jurisdiction. The Court has both.

        A.      Subject-Matter Jurisdiction.

        Several sections of the FSIA and related statutes set forth several specific requisites that

must be satisfied for the Court to have jurisdiction over the subject matter of this case. These

requisites may be broken down into four categories: grant of original jurisdiction, waiver of

sovereign immunity, requirement that a claim be heard, and limitations. Plaintiffs and

intervenors have satisfied all subject-matter jurisdictional requisites.

                1.      Grant of Original Jurisdiction.

        The FSIA grants U.S. district courts “original jurisdiction without regard to amount in

controversy of any [(1)] nonjury civil action [(2)] against a foreign state . . . [(3)] as to any claim

for relief in personam [(4)] with respect to which the foreign state is not entitled to immunity.”

§ 1330(a). The FSIA defines a foreign state to include any “political subdivision” or “agency or

instrumentality” thereof, § 1603(a), and further defines an agency or instrumentality as “any

entity (1) which is a separate legal person, corporate or otherwise[,] . . . (2) which is an organ of

a foreign state or political subdivision thereof, or a majority of whose shares or other ownership

interest is owned by a foreign state or political subdivision thereof[;] and (3) which is neither a

citizen of a State of the United States . . . nor created under the laws of any third country,”

§ 1603(b). In interpreting and applying these statutory definitions, this Circuit employs a core-

functions test, under which “an entity that is an ‘integral part of a foreign state’s political


Peacekeepers at War: Beirut 1983—The Marine Commander Tells His Story 91–121, 181–201
(2009).


                                                  12
structure’ is to be treated as the foreign state itself” while an “entity the structure and core

function of which are commercial is to be treated as an ‘agency or instrumentality’ of the state.”

TMR Energy Ltd. v. State Property Fund of Ukraine, 411 F.3d 296, 300 (D.C. Cir. 2005)

(quoting Transaero, Inc. v. La Fuerza Aerea Boliviana, 30 F.3d 148, 151 (D.C. Cir. 1994)).

        First, no party has sought a jury trial, nor are they entitled to one under the Seventh

Amendment in this type of case, Croesus EMTR Master Fund L.P. v. Federative Republic of

Brazil, 212 F. Supp. 2d 30, 40 (D.D.C. 2002) (“[C]laims under the FSIA are not eligible for

resolution by a jury . . . .”). Therefore, this is a nonjury civil action.

        Second, plaintiffs and intervenors have instituted this action against Iran and MOIS, both

of which are considered to be a foreign state. Iran, of course, is the foreign state itself. “MOIS is

considered to be a division of state of Iran, and is treated as a member of the state of Iran itself.”

Bennett v. Islamic Republic of Iran, 507 F. Supp. 2d 117, 125 (citing Roeder v. Islamic Republic

of Iran, 333 F.3d 228, 234 (D.C. Cir. 2003); Salazar v. Islamic Republic of Iran, 370 F. Supp. 2d

105, 116 (D.D.C. 2005)) (Lamberth, J.). In other words, MOIS is a political subdivision of Iran.

Therefore, this action is against a foreign state as defined by the FSIA.

        Third, as discussed infra Part IV.B, the Court has personal jurisdiction over the

defendants as legal persons, rather than property. Therefore, this is an action in personam, rather

than in rem.

        Fourth and finally, as discussed infra Part IV.A.2., Iran and MOIS are not entitled to

immunity from this suit. Accordingly, because this is a nonjury civil action against a foreign

state for relief in personam to which the defendants are not immune, the Court has original

jurisdiction over this case.




                                                   13
               2.      Waiver of Sovereign Immunity.

       Under the FSIA, “a foreign state is presumptively immune from the jurisdiction of United

States courts; unless a specified exception applies, a federal court lacks subject-matter

jurisdiction over a claim against a foreign state.” Saudi Arabia v. Nelson, 507 U.S. 349, 355

(1993). Because “subject-matter jurisdiction turns on the existence of an exception to foreign

sovereign immunity, . . . even if the foreign state does not enter an appearance to assert an

immunity defense, a District Court still must determine that immunity is unavailable under the

Act.” Verlinden B.V. v. Cent. Bank of Nigeria, 461 U.S. 480, 495 n.20 (1983). Under the FSIA

terrorism exception, sovereign immunity is waived when (1) a foreign state (2) committed “an

act of torture, extrajudicial killing, aircraft sabotage, hostage taking, or [provided] material

support or resources for such an act if such act or provision of material support or resources is

engaged in by an official, employee, or agent of such foreign state while acting within the scope

of his or her office, employment, or agency,” (3) which “caused” (4) “personal injury or death”

(5) for which “money damages are sought.” § 1605A(1).

       First, plaintiffs and intervenors have brought suit against Iran and MOIS, both of which

are considered to be a foreign state. See discussion supra Part IV.A.1.

       Second, plaintiffs and intervenors, in their respective complaints, allege that defendants

committed torture, committed extrajudicial killing, and provided material support and resources

therefor by providing operational control over and financial and technical assistance to Iranian

agents of Hezbollah who constructed, deployed, and exploded the truck bomb, injuring and

killing hundreds. Pls.’ Compl. ¶ 15; Ints.’ Compl. ¶ 9. Plaintiffs and intervenors therefore have

sufficiently alleged the commission of acts of torture and extrajudicial killing and the provision

of material support and resources therefor by defendants.




                                                  14
       Third, concerning causation, “there is no ‘but-for’ causation requirement” for claims

made under the FSIA. In re Islamic Republic of Iran Terrorism Litig., 659 F. Supp 2d at 42. In

Kilburn v. Socialist People’s Libyan Arab Jamahiriya, a case which interpreted the substantially

similar § 1605(a)(7) that is now § 1605A, this Circuit noted that in the FSIA, “the words ‘but for’

simply do not appear; only ‘caused by’ do.” 376 F.3d 1123, 1128 (D.C. Cir. 2004). Adopting

the Supreme Court’s approach to a different but similarly worded jurisdictional statute, the

Circuit interpreted the causation element “to require only a showing of ‘proximate cause.’” Id.

(citing Jerome B. Grubart, Inc. v. Great Lakes Dredge & Dock Co., 513 U.S. 527, 536–38

(1995)). “Proximate cause exists so long as there is ‘some reasonable connection between the

act or omission of the defendant and the damages which the plaintiff has suffered.’” Brewer, 664

F. Supp. 2d at 54 (construing causation element in § 1605A by reference to cases decided under

§ 1605(a)(7)) (quoting Kilburn, 376 F.3d at 1128). Here, there are several reasonable alleged

connections between the acts of defendants and the injuries suffered by plaintiffs and

intervenors: plaintiffs and intervenors allege that Iran’s high-level technical participation

facilitated the construction and deployment of the bomb so as to maximize its destructive effect,

that defendants ordered the attack and oversaw its operation, and that Iran financially supported

Hezbollah. Pls.’ Compl. ¶¶ 11, 13, 16; Ints.’ Compl. ¶¶ 6, 8. Plaintiffs and intervenors therefore

have sufficiently alleged causation.

       Fourth and fifth, plaintiffs and intervenors allege several instances of personal injury and

death for which money damages have been sought. The FSIA does not restrict the personal

injury or death element to injury or death suffered directly by the claimant; instead, such injury

or death must merely be the bases of a claim for which money damages are sought. § 1605A(1).

In this case, plaintiffs and intervenors alleged, of course, the deaths of 241 servicemen and




                                                 15
numerous other physical injuries suffered by those who survived the attack, but also emotional

and financial injury to survivors, decedents, decedent’s estates, and decedent’s family members,

for which plaintiffs and intervenors seek millions of dollars in money damages. See Pls.’

Compl.; Ints.’ Compl. Plaintiffs and intervenors have therefore alleged personal injury or death

for which money damages have been sought.

       Accordingly, because plaintiffs and intervenors have brought suit against a foreign state

for acts of torture and extrajudicial killing and the provision of material resources for the same

which caused personal injury and death for which money damages have been sought, defendants

are not entitled to sovereign immunity.

               3.      Requirement That a Claim Be Heard.

       A federal district court “shall hear a claim” under the FSIA terrorism exception when

certain conditions are met. § 1605A(2). One such set of conditions applies where (1) “the

foreign state was designated as a state sponsor of terrorism at the time the act” giving rise to the

claim occurred “or was so designated as a result of such act,” § 1605A(a)(2)(A)(i)(I), and, in a

related action, “was designated as a state sponsor of terrorism when the . . . related action under

section 1605(a)(7) . . . was filed,” § 1605A(a)(2)(A)(i)(II); (2) “the claimant or the victim was, at

the time the act” giving rise to the claim, “a national of the United States[,] a member of the

armed forces[,] or otherwise an employee of the Government of the United States[] or of an

individual performing a contract awarded by the United States Government, acting within the

scope of the employee’s employment,” § 1605A(a)(2)(A)(ii); and (3) “in a case in which the act

occurred in the foreign state against which the claim has been brought, the claimant has afforded

the foreign state a reasonable opportunity to arbitrate the claim in accordance with the accepted

international rules of arbitration,” § 1605A(a)(2)(A)(iii). The FSIA elaborates on the first




                                                 16
element by defining “state sponsor of terrorism” to mean “a country the government of which the

Secretary of State has determined . . . is a government that has repeatedly provided support for

acts of international terrorism,” § 1605A(h)(6), and the second by defining “national of the

United States” to mean “a citizen of the United States[] or . . . a person who, though not a citizen

of the United States, owes permanent allegiance to the United States,” 8 U.S.C. § 1101(22);

§ 1605A(h)(5).

        First, concerning designation as a state sponsor of terrorism, Iran was so designated by

the Secretary of State in partial response to the Beirut bombing. U.S. Dep’t of State,

Determination Pursuant to Section 6(i) of the Export Administration Act of 1979—Iran, 49 Fed.

Reg. 2836, Jan. 23, 1984 (designating Iran as a state sponsor of terrorism for the first time upon

concluding that “Iran is a country which has repeatedly provided support for acts of international

terrorism”). Iran also remained so designated when the action to which this case is related—

Valore—was filed in 2003. See U.S. Dep’t of State, Patterns of Global Terrorism 2003, at 86

(2004), available at http://www.state.gov/documents/organization/31912.pdf. The requirements

of § 1605A(a)(2)(A)(i) are therefore satisfied.

        Second, concerning claimants and victims, the Court identifies victims as those who

suffered injury or died as a result of the attack and claimants as those whose claims arise out of

those injuries or deaths but who might not be victims themselves. In this case, victims include

the 241 members of the U.S. armed forces who were killed, the many more who were physically

and emotionally injured, and the family members alleging injury suffered from intentional

infliction of emotional distress, all of whom are nationals of the United States. Claimants

include the same groups or the estates thereof. The requirements of § 1605A(a)(2)(A)(ii) are

therefore satisfied.




                                                  17
       Third and finally, because the Beirut bombing occurred in Lebanon, not the defendant-

state, the arbitration requirements of § 1605A(a)(2)(A)(iii) do not apply.

       Accordingly, because Iran was designated a state sponsor of terror by the U.S. State

Department as a partial result of the Beirut bombing and remained so designated when a case

related to this one was filed; all victims and claimants were or are members of the U.S. armed

forces, U.S. nationals, or the estates thereof; and arbitration need not be attempted, the Court is

required by the FSIA to hear plaintiffs’ claims.

               4.      Limitations.

       All cases brought under § 1605A face a 10-year limitations period. § 1605A(b). For a

related action, the action to which the related action is related must have been “commenced

under section 1605(a)(7) . . . not later than the latter of 10 years after April 24, 1996, or 10 years

after the date on which the cause of action arose.” § 1605A(b). The action to which this action

is related—Valore—was commenced in 2003, well within the 10-year period after April 24,

1996. Accordingly, plaintiffs and intervenors satisfy the 10-year limitations period.

               5.      Conclusions Concerning Subject-Matter Jurisdiction.

       First, these cases are nonjury civil actions against a foreign state for relief in personam to

which the defendants are not immune. The Court therefore has original jurisdiction over these

cases. Second, plaintiffs have brought suit against a foreign state for acts of torture and

extrajudicial killing and the provision of material resources for the same which caused personal

injury and death for which money damages have been sought. Defendants are therefore not

entitled to sovereign immunity. Third, Iran was designated a state sponsor of terror by the U.S.

State Department as a partial result of the Beirut bombing and remained so designated when

cases related to this one were filed; all victims and claimants were or are members of the U.S.




                                                   18
armed forces, U.S. nationals, or the estates thereof; and arbitration need not be attempted. The

Court is therefore required to hear plaintiffs’ claims. Fourth and finally, plaintiffs satisfied the

10-year limitations period. Plaintiffs are therefore not time-barred from bringing suit. The Court

therefore has subject-matter jurisdiction over these cases.

       B.      Personal Jurisdiction.

       The FSIA provides specific statutory rules controlling when a federal district court shall

have personal jurisdiction over a foreign state, see § 1608, and ordinary minimum-contacts

requirements of the Fifth Amendment do not apply to non-person foreign entities, see TMR

Energy, 411 F.3d at 299–302. Under both the statutory rules and the minimum-contacts test, the

definition of foreign state otherwise applicable to provisions of the FSIA does not apply;

Congress and the courts distinguish between a foreign state itself and a political subdivision,

agency, or instrumentality (collectively, “entities”) thereof. § 1603(a) (defining “foreign state”

for all FSIA sections except § 1608); § 1608 (setting forth statutory distinctions between foreign

states and entities thereof); TMR Energy, 411 F.3d at 299–302 (discussing jurisprudential

distinctions between foreign states and entities thereof). Applying these distinctions, the Court

has personal jurisdiction under the FSIA over Iran—a foreign state itself—and MOIS—a

political subdivision thereof—and the minimum-contacts test does not apply.

               1.      FSIA-Specific Rules.

               The FSIA establishes the requirements for proper service upon a foreign
       state or a political subdivision of a foreign state. See Fed. R. Civ. P. 4(j)(1). The
       FSIA prescribes four methods of service, in descending order of preference.
       Plaintiffs must attempt service by the first method (or determine that it is
       unavailable) before proceeding to the second method, and so on. See 28 U.S.C.
       § 1608(a).
               The preferred method of service is delivery of the summons and complaint
       “in accordance with any special arrangement for service between the plaintiff and
       the foreign state.” 28 U.S.C. § 1608(a)(1). If no such arrangement exists, then
       delivery is to be made “in accordance with an applicable international convention



                                                  19
       on service of judicial documents.” Id. § 1608(a)(2). If neither of the first two
       methods is available, plaintiffs may send the summons, complaint, and a notice of
       suit (together with a translation of each into the official language of the foreign
       state) “by any form of mail requiring a signed receipt, to be addressed and
       dispatched by the clerk of the court to the head of the ministry of foreign affairs of
       the foreign state concerned.” Id. § 1608(a)(3). Finally, if mailed service cannot
       be accomplished within thirty days, then the statute permits plaintiffs to request
       that the clerk of the court dispatch two copies of the summons, complaint, and
       notice of suit (together with a translation of each into the foreign state’s official
       language) to the Secretary of State, who then “shall transmit one copy of the
       papers through diplomatic channels to the foreign state and shall send to the clerk
       of the court a certified copy of the diplomatic note indicating when the papers
       were transmitted.” Id. § 1608(a)(4).

Ben-Rafael v. Islamic Republic of Iran, 540 F. Supp. 2d 39, 52 (D.D.C. 2008)).2

       In this case, no special arrangements for service exist between Iran and plaintiffs or

intervenors, nor is Iran a party to any applicable international convention on service of judicial

documents. See U.S. Dep’t of State, Bureau of Consular Affairs, Service Of Legal Documents

Abroad, http://travel.state.gov/law/judicial/judicial_680.html (last visited Sept. 24, 2010)

(discussing international conventions on service of process); Hague Conf. on Private Int’l Law,

Status Table, http://hcch.e-vision.nl/index_en.php?act=conventions.status&cid=17 (last visited

Sept. 24, 2010) (showing that Iran is not a signatory to the Convention on the Service Abroad of

Judicial and Extra-Judicial Documents in Civil or Commercial Matters). The first two methods

of service are therefore inapplicable. Concerning the third method, plaintiffs and intervenors

attempted to serve the summons, complaint, and notice of suit, translated into Farsi, the official

language of Iran, to the head of the Iranian Ministry of Foreign Affairs, but to no avail; service

was refused.

       Plaintiffs and intervenors therefore requested that the clerk dispatch two copies of the

summons, complaint, and notice of suit, translated into Farsi, to the Secretary of State. The

       2
         See § 1608(b) for language applying to service of agencies and instrumentalities of
foreign states.


                                                 20
Court granted plaintiffs’ and intervenors’ requests, the clerk dispatched the documents, and the

Secretary of State transmitted one copy of the documents to Iran via a diplomatic note though the

Embassy of the Swiss Confederation while returning the other copy to the clerk. Plaintiffs and

intervenors therefore properly served defendants under § 1608(a)(4).

                 2.      Fifth-Amendment Requirements.

          The Due Process Clause of the Fifth Amendment to the U.S. Constitution mandates that

“[n]o person shall . . . be deprived of life, liberty, or property, without due process of law.” In

civil cases against persons, then, the Due Process Clause “requires that if the defendant ‘be not

present within the territory of the forum, he have certain minimum contacts with it such that the

maintenance of the suit does not offend traditional notions of fair play and substantial justice.’”

Price v. Socialist People’s Libyan Arab Jamahiriya, 294 F.3d 82, 95 (D.C. Cir. 2002) (quoting

Int’l Shoe Co. v. Wash., 326 U.S. 310, 316 (1945) (internal quotation omitted)). “In the absence

of such contacts, the liberty interest protected by the Due Process Clause shields the defendant

from the burden of litigating in that forum.” Id. (citing Burger King Corp. v. Rudzewicz, 471

U.S. 462, 471–72 (1985)). Whether this minimum-contacts requirement applies to defendants

sued under the FSIA depends on whether such defendants are persons under the Due Process

Clause.

          Concerning foreign states themselves, this Circuit has squarely held that “foreign states

are not ‘persons’ protected by the Fifth Amendment.” Id. at 96. As the Circuit later put it, “as a

constitutional matter, there is no constitutional matter.” I.T. Consultants, Inc. v. Republic of

Pakistan, 351 F.3d 1184, 1191 (D.C. Cir. 2003). The Circuit reasoned that “in common usage,

the term ‘person’ does not include the sovereign.” Price, 294 F.3d at 96 (quoting Will v.

Michigan Dep’t of State Police, 491 U.S. 58, 64 (1989) (internal quotation omitted)). Moreover,




                                                  21
because states of the United States are not persons entitled to the Fifth Amendment Due Process

protections, South Carolina v. Katzenback 383 U.S. 301, 323–24 (1966), “absent some

compelling reason to treat foreign sovereigns more favorably than ‘States of the Union,’ it would

make no sense to view foreign states as ‘persons’ under the Due Process Clause,” Price, 294

F.3d at 96. Because foreign states themselves are not persons and thus not entitled to Fifth

Amendment Due Process Protections, plaintiffs and intervenors need not show any contacts

threshold between Iran and the District of Columbia.

       Concerning entities of a foreign state, the issue is whether a state “exerted sufficient

control over” the entity “to make it an agent of the [s]tate.” TMR Energy, 411 F.3d at 301. If

such control is exerted, “then there is no reason to extend to” such entity “a constitutional right

that is denied to the sovereign itself.” Id.3 This Circuit has held that “plenary control” by a state

over an entity thereof is sufficient to conclude that the entity is not a person under the Fifth

Amendment. Id. For example, in TMR Energy the State of Ukraine had plenary control over the

State Property Fund of Ukraine because the Fund’s operations were funded and regulated by, and

its leaders were chosen by, the State. Id. at 301–02. MOIS, which operates as the foreign and

domestic intelligence agency of Iran, is funded by Iran and operates under the guidance of

Iranian Supreme Leader Ayatollah Ali Khamenei. It is clear, then, that Iran has plenary control

of MOIS, which is therefore not a person entitled to Fifth Amendment Due Process protections.

       3
          Price, which was limited to the issue of personhood of foreign states themselves,
“express[ed] no view as to whether other entities that fall within the FSIA’s definition of ‘foreign
state’”—political subdivisions, agencies, and instrumentalities thereof—“could yet be considered
persons under the Due Process Clause.” 294 F.3d at 99–100. The later case of TMR Energy
took on the issue expressly avoided by Price, but did so only for agencies and instrumentalities
of foreign states. 411 F.3d at 300–02. The logic of TMR Energy, however, applies with equal
force to political subdivisions of foreign states: if a foreign state exercises sufficient control over
a political subdivision thereof such that the political subdivision may be considered an agent of
the state itself, the subdivision-agent is no more a person entitled to Fifth Amendment Due
Process than the state-principal.


                                                  22
Plaintiffs and intervenors need not show any contacts threshold between MOIS and the District

of Columbia.

               3.      Customary International Law.

       In previous cases, this Circuit has also considered the effect of customary international

law and whether it requires a minimum-contacts-like test. TMR Energy, 411 F.3d at 302.

According to the Court of Appeals, “[c]ustomary international law comes into play only ‘where

there is no treaty[] and no controlling executive or legislative act or judicial decision.’” Id.

(quoting The Paquete Habana, 175 U.S. 677, 700 (1900)). “Never does customary international

law prevail over a contrary federal statute.” Id. (citing Comm. of U.S. Citizens Living in

Nicaragua v. Reagan, 859 F.2d 929, 939 (D.C. Cir. 1988)). Here, the FSIA and Fifth

Amendment jurisprudence control. The Court therefore need not decide whether customary

international law would require some contacts threshold between defendants and the District of

Columbia; even if it did, it would not apply.

               4.      Conclusions Concerning Personal Jurisdiction.

       First, plaintiffs and intervenors properly served defendants under FSIA-specific rules.

Second, defendants are not persons entitled to Fifth Amendment Due Process, making

unnecessary any consideration of their contacts with this forum. Third, customary international

law, regardless of the extent to which it may call for a minimum-contacts-like test, does not

apply. The Court therefore has personal jurisdiction over defendants in this case.

V.     Liability.

       The FSIA prescribes which entities are subject to liability as defendants under the FSIA-

created cause of action, the individuals or entities to whom or which defendants may be liable,

and for what actions such liability may attach. In this case, both defendants are liable to




                                                  23
plaintiffs and intervenors for acts of extrajudicial killing and the provision of material support

and resources for such killing, but are not liable for acts of torture because no such acts were

committed.

       A.      Entities Subject to Liability.

       The FSIA restricts entities subject to liability under its federal cause of action to (1) a

“foreign state [(2)] that is or was a state sponsor of terrorism as described” in the elements

concerning the requirement to hear a claim, and (3) “any official, employee, or agent of that

foreign state [(4)] while acting within the scope of his or her office, employment, or agency.”

§ 1605A(c). The FSIA also makes clear that “a foreign state shall be vicariously liable for the

acts of its officials, employees, or agents.” Id.

       In this case, the named defendants are Iran and MOIS, both of which are considered a

“foreign state,” see discussion supra Part IV.A.1., and both of which were designated state

sponsors of terrorism at all times and for reasons giving rise to liability under the FSIA, see

discussion supra Part IV.A.3. Additionally, the bases for the alleged liability of these defendants

are actions of their officials, employees, and agents; officials and employees of MOIS funded,

technically assisted, and operationally controlled its agents of Hezbollah in planning and

carrying out the Beirut bombing. Defendants are therefore subject to liability under the FSIA.

       B.      Individuals or Entities to Whom or Which a Defendant May Be Liable.

       The FSIA prescribes which individuals qualify as those to whom entities subject to

liability may be liable. Such individuals include “(1) a national of the United States[;] (2) a

member of the armed forces[;] (3) an employee of the Government of the United States, or of an

individual performing a contract awarded by the United States Government, acting within the

scope of the employee’s employment[;] or (4) the legal representative of [any such] person.”




                                                    24
§ 1605A(c). The FSIA elaborates on the first class of individuals by defining “national of the

United States” to mean “a citizen of the United States[] or . . . a person who, though not a citizen

of the United States, owes permanent allegiance to the United States,” 8 U.S.C. § 1101(22);

§ 1605A(h)(5), and the second by defining “armed forces” to mean “the Army, Navy, Air Force,

Marine Corps, and Coast Guard,” 10 U.S.C. § 101(a)(4); § 1605A(h)(4).

       The Court is satisfied, based on plaintiffs’ uncontroverted allegations, that Armondo

Ybarra, John L’Heureux, Elizabeth Murphy, and Bryan Harris are U.S. citizens, and that

decedent Terrence Rich was a U.S. citizen while alive. Pls.’ Compl. ¶ 1. The Court is further

satisfied, based on affidavits of intervenors, that intervenor plaintiffs are also U.S. citizens. See

Wells Aff., Sept. 20, 2010, ECF No. 60; Jane L’Heureux Aff., Sept. 20, 2010, ECF No. 61;

Kerry L’Heureux Aff., Sept. 20, 2010, ECF No. 62. All plaintiffs and intervenors are, therefore,

individuals or entities to whom or which defendants may be liable under the FSIA-created cause

of action.

       C.      Defendants’ Liability in This Case.

       Under the FSIA terrorism exception, foreign states are liable for (1) any “act of torture,

extrajudicial killing, aircraft sabotage, hostage taking, or the provision of material support or

resources for such an act if such act or provision . . . is engaged in by an official, employee, or

agent of such foreign state while acting within the scope of his or her office, employment, or

agency”; (2) where such act is committed or provision provided by “that foreign state, or of an

official, employee, or agent of that foreign state”; (3) which “caused [(4)] personal injury or

death”; and (5) “for which Courts of the United States may main jurisdiction for money

damages.” § 1605A(a)(1), (c). When viewed together, the third and fourth elements of this




                                                  25
FSIA-created general cause of action require plaintiffs and intervenors to prove a theory of

liability under which defendants cause the requisite injury or death.

               1.      Acts for Which Defendants Are Liable.

       First, concerning acts for which defendants may be liable, plaintiffs and intervenors plead

three: torture, extrajudicial killing, and the provision of material support and resources therefor.

The FSIA provides definitions of these acts, which guide the analysis of whether such acts

occurred with respect to the Beirut bombing. As discussed below, defendants committed acts of

extrajudicial killing and provided material support and resources for such killing, but defendants

did not commit torture.

               “[T]orture” means [(1)] any act, [(2)] directed against an individual in the
       offender’s custody or physical control, [(3)] by which severe pain or suffering
       (other than pain or suffering arising only from or inherent in, or incidental to,
       lawful sanctions), whether physical or mental, [(4)] is intentionally inflicted on
       that individual [(5)] for such purposes as obtaining from that individual or a third
       person information or a confession, punishing that individual for an act that
       individual or a third person has committed or is suspected of having committed,
       intimidating or coercing that individual or a third person, or for any reason based
       on discrimination of any kind.

Torture Victim Protection Act of 1991, Pub. L. No. 102-256, § 3(b), 106 Stat. 73, 73 (1992);

§ 1605A(h)(7). See generally 44B Am. Jur. 2d International Law § 152. For example, the six-

year imprisonment of; beating of; and deprivation of food, light, toilet facilities, and medical care

to an American professor at a Lebanese university constituted torture. Sutherland v. Islamic

Republic of Iran, 151 F. Supp. 2d 27 (D.D.C. 2001) (Lamberth, J.). Similarly, depriving a

hostage “of adequate food, light, toilet facilities, and medical care for 564 days amounts to

torture.” Jenco v. Islamic Republic of Iran, 154 F. Supp. 2d 27 (D.D.C. 2001) (Lamberth, J.).

The facts of this case, however, do not support a similar conclusion. Unlike in Sutherland and

Jenco, the defendants here never had custody or physical control over the victims of the Beirut




                                                 26
bombing. Hezbollah did not kidnap or imprison the soldiers of the 24th MAU; indeed, the

contact between Iranian agents and the victims in this case was fleeting—only the time it took to

drive an explosives-laden truck into a building. The Beirut bombing, therefore, does not

constitute torture under the FSIA.

                   “[E]xtrajudicial killing” means a [(1)] deliberated killing [(2)] not
           authorized by a previous judgment pronounced by a regularly constituted court
           [(3)] affording all the judicial guarantees which are recognized as indispensable
           by civilized peoples. [(4)] Such term, however, does not include any such killing
           that, under international law, is lawfully carried out under the authority of a
           foreign nation.

Torture Victim Protection Act of 1991, Pub. L. No. 102-256, § 3(a), 106 Stat. 73, 73 (1992);

§ 1605A(h)(7). As this Court has previously found, and now reconfirms, Hezbollah, Iran, and

MOIS deliberately killed 241 American military servicemen in the Beirut bombing. Peterson I,

264 F. Supp. 2d at 61. They in no way acted as a regularly constituted court and had no

authority to authorize such killings. Id. Indeed, through their use of terroristic violence

defendants acted contrary to, not in conformity with, those guarantees recognized as

indispensable by civilized people. The Beirut bombing, therefore, constitutes extrajudicial

killing.

                    “[M]aterial support or resources” means any property, tangible or
           intangible, or service, including currency or monetary instruments or financial
           securities, financial services, lodging, training, expert advice or assistance,
           safehouses, false documentation or identification, communications equipment,
           facilities, weapons, lethal substances, explosives, personnel . . . , and
           transportation, except medicine or religious materials.

18 U.S.C. § 2339A(b)(1); § 1605A(h)(3). Regarding financing, “[t]his Court has determined that

‘the routine provision of financial assistance to a terrorist group in support of its terrorist

activities constitutes providing material support and resources for a terrorist act within the

meaning of the [terrorism exception of the FSIA].’” In re Islamic Republic of Iran Terrorism




                                                   27
Litig., 659 F. Supp. 2d (quoting Flatow v. Islamic Republic of Iran, 999 F. Supp. 1, 19 (D.D.C.

1998) (internal quotation omitted) (Lamberth, J.)). Additionally, this Court has found that “a

plaintiff need not establish that the material support or resources provided by a foreign state for a

terrorist act contributed directly to the act from which his claim arises.” Id. (quoting Flatow, 999

F. Supp. at 19). As this Court has previously found, and now reconfirms, Iran and MOIS,

through their officials and employees, provided financial support and technical expertise to

Hezbollah, which, acting at the behest and under the operational control of defendants, was an

agent of defendants. Peterson I, 264 F. Supp. 2d at 60–61. Further, such provision was done

within the scope of the officers’ office, employees’ employment, and Hezbollah’s agency: the

goal of all involved was to support the execution of terrorist violence against the United States.

Defendants, therefore, provided material support and resources for the Beirut bombing.

               2.      Entities Liable.

       Second, concerning the entity that committed the act or provided the provision of

material support and resources therefor, the wording of the FSIA is, at times, repetitive. Here,

the section setting forth the elements of the federal cause of action specifies that liability for

“acts described in subsection (a)(1)” of the FSIA terrorism exception shall apply only where such

acts are committed by “that foreign state, or of an official, employee, or agent of that foreign

state.” § 1605A(c) One of the acts in subsection (a)(1) is the provision of material support or

resources for another act, such as extrajudicial killing, but only where such provision is be made

“by an official, employee, or agent of such foreign state while acting within the scope of his or

her office, employment, or agency.” § 1605A(a)(1). The result is that, in the analysis of liability

for the provision of material support for extrajudicial killing, the lines are blurred. The definition

of such provision includes not only the provision itself, but requires that the provision be made




                                                  28
by a foreign state or an official, employee, of agent thereof. The second element then again

requires that the act for which liability attaches—here, provision—be committed by a foreign

state or an official, employee, or agent thereof. But in the analysis of liability for extrajudicial

killing, the first element—the act—and the second element—the actor—are not repetitive. The

definition of extrajudicial killing does not specify that the killer be a foreign state or an official,

employee, or agent thereof; that part is left to the second element.

        Thus, in the paragraphs above concerning the first element of liability for provision, the

court has already concluded that officials, employees, and agents of defendants provided material

support and resources to Hezbollah, and did so within the scope of their office, employment, and

agency. As to the second element, then, the Court concludes once more that such provision was

made by officials, employees, and agents of defendants. Concerning extrajudicial killing, the

Court similarly concludes that Hezbollah, because it acted at the behest and under the operational

control of defendants, acted as agents of defendants. Defendants are therefore liable because the

extrajudicial killing and provision of material support and resources were committed by officials,

employees, and agents of Iran and MOIS. Peterson I, 264 F. Supp. 2d at 60–61. Or, as one keen

eyewitness to the attack put it the day after the bombing: “The Iranians have blood on their

hands. The terrorists were too well equipped. You don’t go to a local drug store and buy a

couple of tons of TNT. That takes the support of a government.” Petit, supra note 1, at 202.

                3.      Causation and Injury Generally.

        As discussed above, there is no but-for causation requirement under the FSIA; proximate

causation is sufficient. See discussion supra Part IV.A.2. The Court noted that plaintiffs had

alleged several connections between defendants and the attack: Iran’s high level technical

participation facilitated the construction and deployment of the bomb so as to maximize its




                                                   29
destructive effect, defendants ordered the attack and oversaw its operation, and Iran financially

supported Hezbollah. See id.

       Above, the Court only considered these connections as allegations; now, it finds once

again that these allegations are true. See Peterson I, 264 F. Supp. 2d at 58.

       [I]t is beyond question that Hezbollah and its agents received massive material
       and technical support from the Iranian government. The sophistication
       demonstrated in the placement of an explosive charge in the center of the Marine
       barracks building and the devastating effect of the detonation of the charge
       indicates that it is highly unlikely that this attack could have resulted in such loss
       of life without the assistance of regular military forces, such as those of Iran.

Id. The Court therefore concludes that these connections constitute proximate causation of

plaintiffs and intervenors’ and intervenors’ injuries, to the extent that they actually suffered such

injuries under a theory of recovery advanced by plaintiffs and intervenors.

       In this case, servicemen who survived the attack advance theories of liability of assault,

battery, and intentional infliction of emotional distress; the estate of a serviceman who did not

survive advances a wrongful-death theory of recovery; and family members of such servicemen

advance theories of intentional infliction of emotional distress. The Court is presented with the

difficulty of evaluating these claims under the FSIA-created cause of action, which does not spell

out the elements of these claims that the Court should apply. Thus, the Court “is forced . . . to

apply general principles of tort law—an approach that in effect looks no different from one that

explicitly applies federal common law”—but “because these actions arise solely from statutory

rights, they are not in theory matters of federal common law.” Heiser v Islamic Republic of Iran,

659 F. Supp. 2d 20, 24 (D.D.C. 2009) (Lamberth, C.J.) [hereinafter Heiser II]. The Court of

Appeals addressed this difficulty in Bettis v. Islamic Republic of Iran:

       The term “federal common law” seems to us to be a misnomer. Indeed, it is a
       mistake, we think, to label actions under the FSIA and Flatow Amendment for
       solatium damages as “federal common law” cases, for these actions are based on



                                                 30
       statutory rights. . . . Rather, . . . because the FSIA instructs that “the foreign state
       shall be liable in the same manner and to the same extent as a private individual
       under like circumstances,” 28 U.S.C. § 1606, it in effect instructs federal judges to
       find the relevant law, not to make it.

315 F.3d 325, 333 (D.C. Cir. 2003). District courts thus look to Restatements, among other

sources, “to find and apply what are generally considered to be the well-established standards of

state common law.” Heiser II, 659 F. Supp. 2d at 24. The Court will therefore now “turn to the

Restatement (Second) of Torts ‘as a proxy for state common law.’” Id. (quoting Bettis, 315 F. 3d

at 333; citing Sutherland, 151 F. Supp. 2d at 48–50 (applying the Restatement to several tort

claims).

               4.      Claims Brought by Survivors of the Attack: Assault, Battery, and
                       IIED.

       Survivors of the Beirut bombing have alleged assault, battery, and IIED. Defendants are

liable under all three theories to these plaintiffs—Armando Ybarra and John L’Heureux.

       Iran is liable for assault in this case if, when it committed extrajudicial killing or provided

material support and resources therefor, (1) it acted “intending to cause a harmful contact

with . . . , or an imminent apprehension of such a contact” by, those attacked and (2) those

attacked were “thereby put in such imminent apprehension.” Restatement (Second) of Torts

§ 21(1). It is clear that defendants acted with intent to cause harmful contact and the immediate

apprehension thereof: acts of terrorism are, by their very nature, intended to harm and to terrify

by instilling fear of further harm. Valore, 700 F. Supp. 2d at 76. Accepting these plaintiffs’

uncontroverted assertions that they did, in fact, fear such harm because of the attack, Pls.’

Compl. ¶¶ 24, 29, the Court concludes that defendants are liable for assault.

       Survivors have also alleged battery. Iran is liable for battery in this case if, when it

committed extrajudicial killing or provided material support and resources therefor, it acted




                                                 31
“intending to cause a harmful or offensive contact with . . . , or an imminent apprehension of

such a contact” by, those attacked and (2) “a harmful contact with” those attacked “directly or

indirectly result[ed].” Restatement (Second) of Torts § 13. Harmful contact is that which results

in “any physical impairment of the condition of another’s body, or physical pain or illness.” Id.

§ 15. Again, it is clear that defendants acted with intent to cause harmful contact and the

immediate apprehension thereof: acts of terrorism are, by their very nature, intended to harm and

to terrify by instilling fear of such harm. Valore, 700 F. Supp. 2d at 77. Accepting these

plaintiffs’ uncontroverted assertions that they did, in fact, suffer severe physical injury from the

blast, Pls. Compl. ¶¶ 25, 30, the Court concludes that defendants are liable for battery.

       Finally, survivors have also alleged intentional infliction of emotional distress. “One

who by extreme and outrageous conduct intentionally or recklessly causes severe emotional

distress to another is subject to liability for such emotional distress, and if bodily harm to the

other results from it, for such bodily harm.” Restatement (Second) of Torts § 46(1). “Acts of

terrorism are by their very definition extreme and outrageous and intended to cause the highest

degree of emotional distress.” Belkin v. Islamic Republic of Iran, 667 F. Supp. 2d 8 (D.D.C.

2009) (citing Stethem v. Islamic Republic of Iran, 201 F. Supp. 2d 78, 89 (D.D.C. 2002)).

Accepting these plaintiffs’ and intervenors’ uncontroverted assertions that they did, in fact, suffer

severe emotional and physical injury, Pls.’ Compl. ¶¶ 26, 31, the Court concludes that defendants

are liable for IIED.

       The Court notes that these plaintiffs who have claimed assault, battery, and IIED may

recover under only one of any such theories, as multiple recovery is prohibited. See, e.g., Beer v.

Islamic Republic of Iran, 574 F. Supp. 2d. 1, 13 (D.D.C. 2008) (prohibiting double recovery for




                                                  32
both IIED and wrongful death) (Lamberth, C.J.). The Court considers the amount of recovery to

which these plaintiffs and intervenors are entitled in the section on damages below.

               5.      Claim Brought by an Estate for Wrongful Death.

       A wrongful-death action is one brought by a decedent’s heirs at law, and may be brought

through the estate of the decedent, “for economic losses which result from a decedent’s

premature death.” Flatow, 999 F. Supp. at 27. Only one estate-plaintiff has brought such a

claim: the estate of Terrance Rich. Because defendants are liable for the extrajudicial killing of

the decedent, see discussion supra Part IV.C.1., defendants are also liable for the economic

damages caused to decedent’s estate. The Court considers the amount of recovery to which this

plaintiff is entitled in the section on damages below.

               6.      Claims Brought by Family Members of Victims for IIED.

       Several family members of victims have brought IIED claims, alleging that extreme and

outrageous conduct directed at third-person relatives caused these plaintiffs and intervenors

severe emotional distress. These family members are plaintiffs Elizabeth Murphy and Bryan

Harris—mother and half-brother, respectively, of Terrance Rich—and intervenors Mary E.

Wells, Kerry M. L’Heureux, and Jane L. L’Heureux—mother and sisters, respectively, of John

L’Heureux.4



       4
         The Court notes that Elizabeth Murphy and Bryan Harris do not formally style their
claim as one for IIED, but instead plead a claim for “loss of society.” Pls.’ Compl. ¶¶ 21–22.
The particulars of the claim, however, read as one for IIED: “As the result of the death of
Terrence Rich, his mother, Elizabeth Murphy, and surviving sibling, Bryan Harris, have suffered
and will continue to suffer severe mental anguish and the loss of society.” Id. ¶ 22. The sort of
suffering claimed is compensated with solatium. Valore, 700 F. Supp. 2d at 85 (“Solatium is
awarded to compensate the mental anguish, bereavement[,] and grief that those with a close
personal relationship to a decedent experience as the result of the decedent’s death, as well as the
harm caused by the loss of the decedent[’s] society and comfort.” (internal quotation marks
omitted)). “Under the FSIA, a solatium claim is indistinguishable from an IIED claim.” Id.
Accordingly, the Court construes these plaintiffs’ claim as an allegation of IIED.


                                                 33
       Iran is liable in this case under such claims if it (1) engaged in extreme and outrageous

conduct (2) which was directed at persons other than plaintiffs (3) which intentionally or

recklessly caused severe emotional distress, but not necessarily bodily harm, (4) to such persons’

immediate family members—the immediate-family requirement—who were present at the time

such conduct occurred—the presence requirement. Restatement (Second) of Torts § 46(1)–

(2)(a). Although this fourth element appears to prohibit recovery for emotional injury by those

not in the immediate family of the person to whom extreme and outrageous conduct is directed

or by those who are not present at the time such conduct occurs, the drafters of the Restatement

include a caveat: “The [American Law] Institute expresses no opinion as to whether there may

not be other circumstances under which the actor may be subject to liability for the intentional or

reckless infliction of emotional distress.” Restatement (Second) of Torts § 46 Caveat. In other

words, there may be instances where it is appropriate to permit recovery by individuals not

satisfying the immediate-family or presence requirements.

       Plaintiffs and intervenors have easily proven the first three elements. “Acts of terrorism

are by their very definition extreme and outrageous and intended to cause the highest degree of

emotional distress,” Belkin v. Islamic Republic of Iran, 667 F. Supp. 2d 8 (D.D.C. 2009) (citing

Stethem v. Islamic Republic of Iran, 201 F. Supp. 2d 78, 89 (D.D.C. 2002)), and the conduct was

directed at servicemen, not family-member plaintiffs or intervenors. The immediate-family and

presence requirements, however, require more discussion.

       Concerning the immediate-family requirement, this Court has previously “adopted the

strict meaning of ‘immediate family,’ defined as one’s spouse, parents, siblings, and children.”

Heiser II, 659 F. Supp. 2d at 28 (citing Jenco, 54 F. Supp. 2d at 36 n.8). Immediate family

members do include those of the half blood, as “[s]iblings of half-blood to the servicemen in this




                                                34
case are presumed to recover as a full-blood sibling would.” Peterson II, 515 F. Supp. 2d at 52.

All family-member plaintiffs and intervenors satisfy this requirement as either parents of siblings

of servicemen.5 Concerning the presence requirement, the Restatement’s caveat “suggests

that . . . ‘[i]f the defendants’ conduct is sufficiently outrageous and intended to inflict severe

emotional harm upon a person which is not present, no essential reason of logic or policy

prevents liability.’” Heiser II, 659 F. Supp. 2d at 27 (quoting Dan B. Dobbs, The Law of Torts

§ 307, at 834 (2000)). As this Court has noted, “[t]errorism, unique among the types of tortious

activities in both its extreme methods and aims, passes this test easily.” Id. One therefore need

not be present at the time of a terrorist attack upon a third person to recover for severe emotional

injuries suffered as a result. Family-member plaintiffs and intervenors, although not present at

the Beirut bombing, may therefore recover for the emotional injuries they suffered as a result of

that attack.

        D.       Jurisdiction.

        In satisfaction of the final element of the FSIA-created cause of action, the Court has

jurisdiction over this case, see discussion supra Part IV., for money damages, see discussion

infra Part VI.

        E.       Conclusions Concerning Liability.

        In this case, both defendants are considered a foreign state and were and are designated

state sponsors of terrorism at all times and for reasons giving rise to liability under the FSIA.

Additionally, the bases for the alleged liability of these defendants are actions of their officials,

employees, and agents. Defendants are therefore subject to liability under the FSIA-created



        5
        Although the Court has no occasion in this case to expand the immediate-family
requirement to include non-immediate family members, the Court notes that is has been so
expanded in a similar case. See Valore, 700 F. Supp. 2d at 79.


                                                  35
cause of action. Further, plaintiffs and intervenors all are or were nationals of the United States.

Plaintiffs therefore fall into a class of individuals to whom defendants may be liable. Finally,

though not liable for torture, defendants are liable for extrajudicial killing and the provision of

material support and resources for such killing, which was committed by officials, employees,

and agents of defendants; which caused injury under several theories of liability; and for which

the Court has jurisdiction for money damages. Therefore, plaintiffs and intervenors may recover

the appropriate amount of damages as determined by the Court infra Part VI.

VI.    Damages.

       The Court hereby adopts, just as it did in Peterson, all facts found and recommendations

made by the special masters relating to all plaintiffs and intervenors in this case, except where

recommendations as to family-member plaintiffs or intervenors deviate from the damages

framework, discussed below. Peterson II, 515 F. Supp. 2d at 52–53. Any such deviations “shall

be altered so as to conform with the respective award amounts set forth” in the framework,

unless otherwise noted. Id. at 53.

       A.      Damages Available.

       Damages available under the FSIA-created cause of action “include economic damages,

solatium, pain and suffering, and punitive damages.” § 1605A(c). Accordingly, those who

survived the attack can recover damages for their pain and suffering, as well as any other

economic losses caused by their injuries; estates of those who did not survive can recover

economic losses stemming from wrongful death of the decedent; family members can recover

solatium for their emotional injury; and plaintiffs who have requested them can recover punitive

damages.




                                                 36
        “To obtain damages against defendants in an FSIA action, the plaintiff must prove that

the consequences of the defendants’ conduct were ‘reasonably certain (i.e., more likely than not)

to occur, and must prove the amount of the damages by a reasonable estimate consistent with this

[Circuit’s] application of the American rule on damages.’” Salazar, 370 F. Supp. 2d at 115–16

(quoting Hill v. Republic of Iraq, 328 F.3d 680, 681 (D.C. Cir. 2003) (internal quotations

omitted)). As discussed above, plaintiffs have proven that the defendants’ commission of acts of

extrajudicial killing and provision of material support and resources for such killing was

reasonably certain to—and indeed intended to—cause injury to plaintiffs. The Court now

discusses reasonable estimates of the different damages sought under the FSIA-created cause of

action. The damages awarded are laid out in the tables in the separate Order and Judgment

issued this date.

        B.      Damages Awarded in This Case.

        Survivors of the Beirut Bombing are entitled to damages for the pain and suffering they

endured and continue to endure to this day, as well as damages for economic losses. The one

estate plaintiff is entitled to damages for economic loss suffered by decedent’s estate. Family

members of victims of the Beirut Bombing are entitled to solatium. Finally, those plaintiffs who

have requested them are entitled to punitive damages.6

                1.     Pain and Suffering of Survivors.

        Damages for surviving victims are determined based upon an assessment of such factors

as “the severity of the pain immediately following the injury, the length of hospitalization, and

the extent of the impairment that will remain with the victim for the rest of his or her life.”



        6
          Plaintiffs and intervenors have also requested that the Court award costs of suit.
Plaintiffs and intervenors do not need to specifically request that the Court award costs. Instead,
they should prepare a bill of costs per Local Civil Rule 54.1.


                                                 37
Peterson II, 515 F. Supp. 2d at 52 n.26 (quotation omitted). “In awarding pain and suffering

damages, the Court must take pains to ensure that individuals with similar injuries receive

similar awards.” Peterson II, 515 F. Supp. 2d at 54. Thus in Peterson, the Court granted a

baseline award of $5 million to individuals suffering such physical injuries as compound

fractures, severe flesh wounds, and wounds and scars from shrapnel, as well as “lasting and

severe psychological pain.” Id. The Court was willing to depart upward from this baseline to

between $7.5 and $12 million in more severe instances of physical and psychological pain, such

as where victims suffered relatively more numerous and severe injuries, were rendered

quadriplegic, partially lost vision and hearing, or were mistaken for dead, as was one soldier who

“was placed in a body bag [and] buried alive in a morgue for four days until someone heard him

moaning in pain.” Id. Similarly, the Court was willing to depart downward to between $2 and

$3 million where victims suffered only minor shrapnel injuries or minor injury from small-arms

fire. Id. With these considerations in mind, the Court now analyzes the recommendations of the

special master.

       Concerning Armando J. Ybarra, the special master recommended that the Court not

deviate from its damages framework. Rpt. of Special Master Pursuant to Order of Reference

Concerning Count V (Armando J. Ybarra) 11, June 10, 2010, ECF No. 55 [hereinafter Ybarra

Rpt.]. In the immediate aftermath of the attack, Mr. Ybarra was buried under concrete for

several hours, which cut and crushed—but did not break—his right leg, causing severe muscle

and nerve damage. Id. at 5–6. The rest of his body was riddled with shrapnel. Id. at 6. Today,

he has no feeling in his lower right leg; his injured limb is prone to recurrent infection; he

requires the assistance of a cane, walker, or wheelchair for mobility; and suffers from depression

and post-traumatic stress disorder. Id. at 7–8. These injuries are serious and life-long and




                                                 38
comport with the sorts of injuries for which a baseline award is made. Accordingly, the Court

agrees that Mr. Ybarra should receive $5,000,000.00 in damages for pain and suffering.

       Concerning John E. L’Heureux, the special master recommended that the Court depart

upward from its baseline to $7.5 million. Rpt. of Special Master Pursuant to Order of Reference

Concerning Count VI (John L’Heureux) 20, July 15, 2010, ECF No. 56 [hereinafter L’Heureux

Rpt.]. In the immediate aftermath of the Attack, Mr. L’Heureux suffered severe and multiple

injuries, including an “impaled rectum by an object that split his sphincter and pierced his

stomach; [a] crushed kidney; [a] fractured pelvis; [a] detached ear; cuts and abrasions over 80 to

90% of his body; [the wearing of a] colostomy bag for 11 months[,] and damage to his legs and

feet that confined him to a wheelchair for many months.” Id. at 5. Today, he continues to suffer

from severe physical and emotional pain, including anxiety and post-traumatic stress disorder.

Id. at 7. He is 100% disabled. Id. at 20. Given the severity, number, and life-long deleterious

effect of Mr. L’Heureux’s injuries, the Court agrees that an upward departure is warranted.

Accordingly, the Court agrees that Mr. L’Heureux should receive $7,500,000.00 in damages for

pain and suffering.

               2.      Economic Loss of Survivors.

       In addition to pain and suffering, the plaintiffs who survived the attack proved to the

satisfaction of the special master, and thus to the satisfaction of the Court, lost wages resulting

from permanent and debilitating injuries suffered in the attack. See Ybarra Rpt. 11–12,

L’Heureux Rpt. 20–21. Based on economic reports submitted to the special master by a forensic

economist, the master recommends that Mr. Ybarra should receive $2,123,146.00 and that Mr.

L’Heureux should receive $3,197,369.00. in damages for economic loss. The Court agrees.




                                                 39
                3.     Economic Loss of Decedent.

       The one estate plaintiff—Estate of Terrance Rich—has proven to the satisfaction of the

special master, and thus to the satisfaction of the Court, loss of accretions to the estate resulting

from the wrongful death of decedent in the attack. See Rpt. of Special Master Pursuant to Order

of Reference Concerning Count IV (Elizabeth Murphy and Bryan Harris), July 22, 2010, ECF

No. 57 [hereinafter Rich Rpt.]. Based on economic reports submitted to the special master by a

forensic economist, the master recommends that the estate should receive $1,545,055.00. The

Court agrees.

                4.     Solatium of Family Members.

       Solatium is awarded to compensate the “the mental anguish, bereavement[,] and grief that

those with a close personal relationship to a decedent experience as the result of the decedent’s

death, as well as the harm caused by the loss of the decedent[’s] society and comfort.” Belkin,

667 F. Supp. 2d at 22 (citing Dammarell v. Islamic Republic of Iran, 281 F. Supp. 2d 105, 196–

97 (D.D.C. 2003); Elahi, 124 F. Supp. 2d at 110). “In determining the appropriate award of

damages for solatium, the Court may look to prior decisions awarding damages for intentional

infliction of emotional distress as well as to decisions regarding solatium.” Acosta v. Islamic

Republic of Iran, 574 F. Supp. 2d 15, 29 (D.D.C. 2008) (citing Haim v. Islamic Republic of Iran,

425 F. Supp. 2d 56, 71 (D.D.C. 2006) (Lamberth, J.)) (Lamberth, C.J.).

       In Peterson, this Court adopted the framework set forth in Heiser as “an appropriate

measure of damages for the family members of victims who died” in the Beirut bombing.

Peterson II, 515 F. Supp. 2d at 51 (citing Heiser I, 466 F. Supp. 2d at 271–356). That

framework awarded valid claims brought by parents and siblings of deceased servicemen $5

million and $2.5 million each, respectively. Relatives of surviving servicemen received awards




                                                  40
valued at half of the awards to family members of the deceased: $2.5 million for parents, and

$1.25 million for siblings. Although “the loss suffered” by family members of victims “is

undeniably difficult to quantify,” Heiser I, 466 F. Supp. 2d at 269, a review of similar cases

shows that the damages framework as laid out in Peterson has strong precedential support, see,

e.g., Valore, 700 F. Supp. 2d at 85; Brewer, 664 F. Supp. 2d at 57–58; Heiser II, 659 F. Supp. 2d

at 27 n.4; Anderson v. Islamic Republic of Iran, 90 F. Supp. 2d 107, 113 (D.D.C. 2000);

Eisenfeld, 172 F. Supp. 2d at 10–11; Flatow, 999 F. Supp. at 29–32.

       These numbers, however, are not set in stone. The Court may award greater amounts in

cases “with aggravating circumstances,” Greenbaum v. Islamic Republic of Iran, 451 F. Supp. 2d

90, 108 (D.D.C. 2006) (Lamberth, J.), indicated by such things as “[t]estimony which describes a

general feeling of permanent loss or change caused by decedent’s absence” or “[m]edical

treatment for depression and related affective disorders,” Flatow, 999 F. Supp. at 31. Such

departures are usually relatively small, absent “circumstances that appreciably worsen” a

claimant’s “pain and suffering, such as cases involving torture or kidnapping” of the party to

whom extreme and outrageous conduct was directed. Greenbaum, 451 F. Supp. 2d at 108

(departing upward from $8 million to $9 million in a widower’s award upon consideration of

“the severity of his pain and suffering due to the loss of his wife and unborn first child”).

Conversely, the Court may depart downward in amount where the relationship between the

claimant and the decedent is more attenuated. See, e.g., Smith ex rel. Smith v. Islamic Emirate of

Afghanistan, 262 F. Supp. 2d 217, 236 (S.D.N.Y. 2003). With these considerations in mind, the

Court now analyzes the recommendations of the special master.

       The special master found no circumstances compelling a deviation form the damages

framework for any family-member plaintiffs or intervenors in this case. Rich Rpt. 15;




                                                 41
L’Heureux Rpt. 20. The Court agrees. Although these plaintiffs and intervenors suffered great

personal loss at the death of family members dearly loved, none suffered the particularly

devastating and uniquely acute suffering warranting an upward departure, such as nervous

breakdowns or self-destructive behavior. See, e.g., Valore, 700 F. Supp. 2d at 86. Accordingly,

the Court agrees that Elizabeth Murphy, mother of deceased serviceman Terrance Rich, should

receive $5,000,000.00; Bryan Harris, half-brother of decedent Terrance Rich, should receive

$2,500,000.00; Mary E. Wells, mother of surviving serviceman John L’Heureux, should receive

$2,500,000.00; and Kerry M. L’Heureux and Jane L. L’Heureux, sisters of surviving serviceman

John L’Heureux, should each receive $1,250,000.00.

               5.     Punitive Damages.

       Only two plaintiffs—Armando J. Ybarra and John E. L’Heureux—have specifically

requested an award of punitive damages. Pls.’ Compl. ¶¶ 27, 32. Neither the other plaintiffs nor

intervenors have made a similar request in their pleadings. See Pls.’ Compl; Ints.’ Compl. “A

default judgment must not differ in kind from, or exceed in amount, what is demanded in the

pleadings.” Fed. R. Civ. P. 54(c). Accordingly, in this default judgment, the Court will only

award punitive damages to those plaintiffs who have demanded them.

       Punitive damages, only recently made available under the revised FSIA terrorism

exception, serve to punish and deter the actions for which they awarded. In re Islamic Republic

of Iran Terrorism Litig., 659 F. Supp. 2d at 61; Heiser II, 659 F. Supp. 2d at 29–30; Acosta, 574

F. Supp. 2d at 30 (citing Restatement (Second) of Torts § 908(1)). Punitive damages are not

meant to compensate the victim, but instead meant to award the victim an amount of money that

will punish outrageous behavior and deter such outrageous conduct in the future. In determining

the proper punitive damages award, courts evaluate four factors: “(1) the character of the




                                                42
defendants’ act, (2) the nature and extent of harm to the plaintiffs that the defendants caused or

intended to cause, (3) the need for deterrence, and (4) the wealth of the defendants.” Acosta, 574

F. Supp. 2d at 30 (citing Flatow, 999 F. Supp. at 32 (citing Restatement (Second) of Torts

§ 908)). The nature of the defendants’ acts and the nature and extent of the harm defendants

intentionally caused are among the most heinous the Court can fathom. See Bodoff, 424 F. Supp.

2d at 88 (determining a bus bombing, for which Iran was held liable, to be “extremely heinous”).

        “The defendants’ demonstrated policy of encouraging, supporting and directing a

campaign of deadly terrorism is evidence of the monstrous character of the bombing that

inflicted maximum pain and suffering on innocent people.” Campuzano v. Islamic Republic of

Iran, 281 F. Supp. 2d 258, 278 (D.D.C. 2003) (concerning a separate bus bombing for which

Iran and MOIS were held liable). As to deterrence and wealth, Dr. Patrick Clawson, an expert

on Iranian terrorism activities, has testified in several cases on the amounts of punitive damages

that would serve to deter Iran from supporting terrorist activities against nationals of the United

States. See, e.g., Flatow, 999 F. Supp. at 32; Heiser II, 659 F. Supp. 2d at 30. Two numbers are

at issue: the multiplicand—the amount of Iran’s annual expenditures on terrorist activities—and

the multiplier—the factor by which the multiplicand should be multiplied to yield the desired

deterrent effect.

        Concerning the multiplicand, most recently in Valore, Dr. Clawson declared that “the

financial material support provided by Iran in support of terrorism is in the range of $300 million

to $500 million a year.” Clawson Aff. ¶ 4, Valore, No. 03-cv-1959 (D.D.C. Mar. 31, 2010), ECF

No. 58. Dr. Clawson based his range on Iran’s provision of approximately $200 million in direct

cash assistance to Hezbollah in 2008, as well as the provision since 2006 of “many tens of

millions of dollars” worth of sophisticated weaponry, including some 40,000 rockets. Id. ¶ 3.a.




                                                 43
(citing U.S. Dep’t of State, Country Reports on Terrorism 2008, at 183 (2009), available at

http://www.state.gov/documents/organization/122599.pdf.). The Court adopted $200 million as

the multiplicand in Valore, as that value was “based on the known amount of Iran’s annual cash

assistance specifically to Hezbollah and does not require the Court to waver from its neutrality

concerning terrorism financing by hazarding a guess as to the value of any non-cash assistance

also provided to Hezbollah.” 700 F. Supp. 2d at 88.

        Concerning the multiplier, Dr. Clawson testified in Flatow that a factor of three times

Iran’s annual expenditures on terrorism “would be the minimum amount in punitive damages

that would affect the conduct of the Islamic Republic of Iran, and that a factor of up to ten times

its annual expenditure for terrorism must be considered to constitute a serious deterrent to future

terrorist activities aimed at United States nationals.” 999 F. Supp. at 32. In Heiser, however, he

recommended a factor between three and five, as opposed to three and ten. 659 F. Supp. 2d at

30. In both cases, the Court conservatively adopted the lower multiplier of each range: three.

        In the action to which this action is related—Valore—the Court adopted five as the

multiplier. 700 F. Supp. 2d at 89. This higher number was “based on the suggestion by Dr.

Clawson that Iran has recently begun to more actively participate in litigation in the United

States and elsewhere.” Id. (citing Clawson Aff. ¶ 6). The Court emphatically pronounced that

“Iran’s support of terrorism against citizens of the United States absolutely will not be tolerated

by the courts of this nation” and that “adopting five as a multiplier . . . will hold Iran to account.”

Id. Multiplying $200 million by five, the Court awarded punitive damages in the amount of $1

billion. Id.

        Today, the Court is faced with a quandary. Punitive damages have already been awarded

in Valore, which concerned the same incident as this case—the Beirut Bombing. Recurrent




                                                  44
awards in case after case arising out of the same facts can financially cripple a defendant, over-

punishing the same conduct through repeated awards with little additional deterrent effect, and

awards in several cases arising out of the same facts can differ, creating anomalous results. 1

Linda L. Schlueter, Punitive Damages § 4.4(A)(5)(b)–(c) (5th ed. 2005); 1 John J. Kircher &

Christine M. Wiseman, Punitive Damages, Law and Practice § 5:26 (2d ed. 2000); see State

Farm Mut. Auto. Ins. Co. v. Campbell, 538 U.S. 408, 423 (2003) (noting concern for “multiple

punitive damages awards for the same conduct”). How, then, should the Court award punitive

damages in a subsequent case arising out of the same facts as a former case in which punitive

damages have already been awarded? The Supreme Court’s recent decision in Philip Morris

USA v. Williams offers insight into how the Court might answer this question. 549 U.S. 346

(2007).

          In Phillip Morris, the Court held that punitive damages may only be awarded to punish

and deter actions of defendants with respect to the plaintiffs in the particular case in which

punitive damages are sought. Id. at 356–57. Punitive damages may not be issued to punish harm

caused to others who are not party to a suit, as such damages would constitute an

unconstitutional taking of property from defendants without due process. Id. at 349, 353–55. In

other words, “under Phillip Morris punitive damages awards are personal to each plaintiff.”

Byron G. Stier, Now It’s Personal: Punishment and Mass Tort Litigation After Philip Morris v.

Williams, 2 Charleston L. Rev. 433, 454 (2008). Phillip Morris has thus largely solved the

problem of multiple punishments: when punitive damages are personal to plaintiffs in a given

case, they are not necessarily excessive when awarded in a subsequent case, even arising out of

the same facts, if the subsequent case involves different plaintiffs. See id. at 454–58.




                                                 45
        But the question still remains: What is the proper punitive-damages award in such a

subsequent case? If the Court were to simply re-enter an award of $1 billion in this case, which

involves only two plaintiffs who have requested punitive damages, after having previously

entered the same amount in the consolidated Valore, which involved approximately 100

plaintiffs who requested punitive damages, the disparity between the two cases’ plaintiffs’ shares

of punitive damages would be severe. The Court is not concerned with that disparity from the

perspective of compensation. Punitive damages are not intended to compensate plaintiffs. The

fact that there may be variance from one case to another, even where those cases arise out of the

same facts, such that some plaintiffs enjoy a higher award than others, raises no concern for

inequitable compensation. The Court is concerned, however, with that disparity from the

perspective of the post-Phillip Morris plaintiff-personal purpose of punishment.

        Where there is more than one case arising out of the same facts, an analysis of the amount

of punitive damages awarded compared with the amount of compensatory damages awarded can

be used to gauge the amount of punishment and deterrence the Court considered necessary based

on the injuries plaintiffs to that case suffered. Where injuries suffered by separate plaintiffs in a

second case are of the same sort as those suffered by plaintiffs in the first, there is no reason to

deviate in the second case from the conclusion reached in the first as to the ratio of punitive-to-

compensatory damages. For example, if a court awarded $1,000,000.00 in punitive damages and

$100,000.00 in compensatory damages in the first case, it makes sense to award $10.00 in

punitive damages for every $1.00 awarded as compensatory in the second. Adopting this

method, the Court will comport with its conclusions made in Valore as to the appropriate level of

punishment and deterrence needed, while also ensuring that punitive damages are personal to

plaintiffs in this case.




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       In Valore, the Court awarded damages in the amount of $1,290,291,092.00, of which

$290,291,092.00 was compensatory and $1,000,000,000.00 was punitive. Revised Order and

Judgment, Valore, No. 03-cv-1959 (D.D.C. Sept. 20, 2010), ECF No. 71. The Court thus

concluded that for every dollar’s worth of injury as measured by compensatory damages, the

appropriate amount needed to punish defendants for and deter defendants from terrorism was

$3.44 (when rounded to the nearest cent). The Court retains that ratio today.7 Accordingly, for




       7
        In Exxon Shipping Co. v. Baker, the Supreme Court recently limited a punitive damages
award to a maximum of a 1:1 ratio with compensatory damages awarded. 128 S. Ct. 2605
(2008). In Valore, the Court distinguished Exxon:

       To the extent that some plaintiffs may share in a punitive damages award higher
       than their compensatory award, and thus with a ratio of punitive to compensatory
       damages higher than 1:1, Exxon is distinguishable from this case. First, Exxon
       concerned punitive damages awarded under maritime law, not the FSIA; the
       Supreme Court explicitly limited its holding, noting that “a 1:1 ratio . . . is a fair
       upper limit in such maritime cases.” [Exxon, 128 S. Ct.] at 2633 (emphasis
       added). But more importantly, the Supreme Court decided a case “with no
       earmarks of exceptional blameworthiness in the punishable spectrum.” Id. When
       “the supertanker Exxon Valdez grounded on Bligh Reef off the Alaskan coast,
       fracturing its hull and spilling millions of gallons of crude oil into Prince William
       Sound,” the defendants acted recklessly but “without intentional or malicious
       conduct.” Id. at 2612, 2631 n.23, 2633. The Supreme Court left open the
       possibility that defendants who do act with intent or malice might be subject to
       higher ratios of punitive to compensatory damages. See id. at 2633.
                This is a case where higher ratios are clearly warranted. Those harboring
       a deep-seeded and malicious hatred of the United States who intentionally commit
       terroristic murder of American military servicemen deserve to be punished at a
       ratio significantly higher than 1:1 with the compensatory damages for which they
       are otherwise liable. Moreover, even after Exxon, this District has repeatedly
       awarded punitive-damages awards in FSIA cases without concern that such
       damages may have been awarded at a higher ratio than 1:1 with compensatory
       damages. See, e.g., Heiser II, 659 F. Supp. 2d at 30–31; Acosta, 574 F. Supp. 2d
       at 30–31; Brewer, 664 F. Supp. 2d at 59 (“There is no reason to depart from
       settled case law regarding the amount of punitive damages in terrorism cases.”).

Valore, 700 F. Supp. 2d at 89 n.17; see also Duckworth v. U.S. ex rel. Locke, 2010 WL
1499490, at *16 n.14. (D.D.C. Apr. 15, 2010). The Court retains this distinction today.


                                                47
those plaintiffs who have prayed for punitive damages, the Court will award $3.44 in punitive

damages for every dollar of compensatory damages awarded to each such plaintiff.

VIII. Conclusion.

       Iran and MOIS are responsible for the deaths and injuries of hundreds of American

servicemen; are liable for physical, emotional, and pecuniary injuries suffered as a result; and

deserve to be punished to the fullest legal extent possible. In a recent interview, Iranian

President Mahmoud Ahmadinejad declared that he and his country “oppose terrorism. We

strongly oppose” it. Interview by George Stephanopoulos, Chief Political Correspondent, ABC

News, with Mahmoud Ahmadinejad, President, Iran (May 5, 2010), transcript available at

http://abcnews.go.com/print?id=10558442. The Court sincerely hopes that the compensatory

damages awarded today help to alleviate plaintiffs’ and intervenors’ injuries, and that the

punitive damages also awarded inspire Iran to adhere to its professed opposition to terrorism.

       A separate Order and Judgment consistent with these findings shall issue this date.

       Signed by Royce C. Lamberth, Chief Judge, on September 24, 2010.




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