This case represents the first appellate examination of the defect notification provisions of the National Traffic and Motor Vehicle Safety Act of 1966.1
The Government filed an action in the District Court for a declaration that General Motors Corporation (GM) violated this Act by failing to notify purchasers of % ton 1960-65 model year Chevrolet and GMC pickup trucks (Trucks) equipped with three-piece 15 X 5.50 Kelsey-Hayes disc wheels (Wheels) of a defect in the Wheels relating to motor vehicle safety. The District Court concluded that a “defect” existed whenever there was “a large number of failures of components or materials, i. e., failures in performance, regardless of the cause.”2 Finding that undisputed facts established a large number of Wheel failures, the District Court granted the Government’s motion for summary judgment and ordered GM to issue defect notifications as required by the Act.3 GM appeals this determination, particularly challenging this definition of “defect.”
This case focuses on the meaning of § 113 of the Act, set forth in pertinent part in the margin.4 The statutory *426framework places primary responsibility on the manufacturer to notify purchasers of “any defect in any motor Vehicle or motor vehicle equipment produced by such manufacturer which he determines, in good faith, relates to motor vehicle safety.” The manufacturer may base his defect determination on his own studies, information supplied by purchasers and dealers, or the Secretary of Transportation’s finding that the equipment “contains a defect.” 5 Judicial involvement in the defect notification process takes place only in cases where the Secretary, after affording the manufacturer an opportunity to present its views, reaffirms his defect determination by directing the manufacturer to issue notices and the manufacturer continues to challenge the finding by refusing to comply. In such cases, the Government may bring an action in United States district court to restrain the manufacturer’s violation of the directive.6 The District Court enforcement proceeding affords the manufacturer a trial de novo with the burden of proof on the Government to establish the existence of a safety-related defect.7
The primary question presented by this appeal is whether the District Court erred in concluding that undisputed proof of a large number of Wheel failures conclusively established a “defect” within the meaning of the Act, and that the cause of such failures was immaterial. GM contends that no defect exists unless a significant number of failures occur in vehicles operated in conformity with the manufacturer’s specifications. Specifically, GM argues that the Wheel failures were a product of owner abuse — overloading the Trucks with heavy campers or special bodies — and that the Wheels are suitable for uses that comply with the weight limitations set forth in the owner’s manual. Alternatively, GM asserts that prior letters sent to owners describing the dangers created by overloading Trucks equipped with the Kelsey-Hayes wheels comply with the requirements of the Act and constitute a defense against the present enforcement action.
Our survey of the Act’s purpose and legislative history leads us to reject *427both the definition of defect urged by the Government and adopted by the District Court and the definition put forth by GM. We find that a vehicle or component “contains a defect” if it is subject to a significant number of failures in normal operation, including failures either occurring during specified use or resulting from owner abuse (including inadequate maintenance) that is reasonably foreseeable8 (ordinary abuse), but excluding failures attributable to normal deterioration of a component as a result of age and wear. Whether a defect exists in a particular case thus turns on the nature of the component involved, the circumstances in which the failures occurred, and the number of failures experienced. Where, as here, the component is designed to function without replacement over the lifetime of the vehicle,9 the Government may discharge its burden of establishing a defect by showing a significant number of failures without making any showing of cause. But in all cases the manufacturer may prove, as an affirmative defense, that the failures resulted from unforeseeable owner abuse (gross abuse) or unforeseeable neglect of vehicle maintenance.
This view of the legislative contemplation leads us to conclude that the District Court’s grant of summary judgment must be reversed, because there are presently genuine issues of material fact regarding GM’s defense that the Wheel failures stem from unforeseeable overloading of the Trucks.
I. BACKGROUND
We begin with a brief description of the vehicle component involved in this case, the administrative proceedings culminating in the present enforcement action, and the proceedings in the District Court.
A. The Kelsey-Hayes Wheel
The three-piece 15 X 5.50 Kelsey-Hayes disc wheel was introduced by GM in the fall of 1959, the beginning of the 1960 model year, as an option on its % ton Chevrolet Series 20 and GMC Series 1500 pickup trucks. The Wheels proved to be an extremely popular option — a total of 810,000 Wheels were installed on approximately 200,000 of the 321,743 GM trucks manufactured during the 1960-65 model years.10 This popularity apparently stemmed from the fact that the Wheel could be used with a tube-type tire capable of being changed in the field.11
The load carrying capabilities of the trucks equipped with Kelsey-Hayes wheels depended on which of three different tube tires was selected by the purchaser. The maximum load capacity of a truck is its gross vehicle weight (GVW) — the sum of the curb (empty) weight of the truck itself and the maximum load. The gross vehicle weights of Trucks here involved ranged from 5,500 lbs. with 700 X 15 6-ply tires, to 6,000 lbs. with 700 X 15 8-ply tires, and 6700 lbs. with 7.50 X 15 8-ply tires. While the maximum load capacity of the Kel*428sey-Hayes wheel was 2060 lbs., the tire-wheel capacity, combining the Wheel with the tires identified in the previous sentence, was 1520 lbs., 1800 lbs., and 2060 lbs., respectively.12 The GVW of the Trucks is thus significantly less than the figure obtained by multiplying the tire-wheel capacity by four. This deviation from a simple multiple of the tire-wheel capacity stems in part from the manner in which load weights are distributed between the front and rear wheels.
Each Truck came with a permanently affixed GVW plate stating that the maximum GVW rating was 7500 lbs. This 7500 lb. figure on the plate is in excess of the 5500 lb. GVW of Trucks with the standard wheel and tire, available without extra charge,13 and in excess of the GVW of Trucks with the Kelsey-Hayes optional wheel (which ranged from 5500 to 6700 lbs.).
Information on the tire-wheel capacity of particular tire-wheel combinations was set forth in the owner’s manual in a table marked “Tire Inflation Tables for Highway Service.” Also in the owner’s manual was a table listing gross vehicle weights, referred to in some manuals as “load capacity chart.” This table listed gross vehicle weights for various combinations of tires for front and rear wheels (sometimes with notations of necessary equipment such as heavy duty springs). However, this table did not show gross vehicle weight for any of the 15-inch tires used with the Kelsey-Hayes wheels.14
General Motors discontinued the Wheel as an available option at the end of the 1965 model year.15
B. Administrative Proceedings
A September 4, 1968, letter from Ralph Nader, the noted exponent of consumer causes, reported an injury-producing accident caused by the failure of a Kelsey-Hayes wheel. This prompted the National Highway Safety Bureau (NHSB) (now the National Highway Traffic Safety Administration) to initiate an investigation to determine whether the Wheel contained a safety-related defect.16 General Motors indicated, in response to NHSB inquiries, that its records revealed 53 Wheel failures.17 GM disputed NHSB’s engineering reports which suggested a manufacturing defect, stating that its engineers had determined that the failures “were not caused by a defect but rather by the type of loading to which the wheels were subjected.” 18 Part I of NHSB’s Investigation Report, dated April 2, 1969, concluded that “[sjafety-related defects still exist in 15 X 5.5 three-piece disc wheels which are in active use” and recommended that “all such wheels” be “replaced as early as possible.”19
Following the completion of the initial investigation, meetings were held between NHSB personnel and GM representatives. Although persisting in its claim that there was no defect and therefore no obligation under the Act to issue, notifications, GM advised the agency on April 19, 1969, of its plans to notify each owner of a truck equipped with Kelsey-Hayes wheels of the dangers *429posed by overloading and overinflating tires. The proposed bulletin included a table specifying the maximum weight and tire pressure for each of the three tires used with the Wheel.20 A draft of the letter was hammered out at a May 22, 1969, meeting of Government and GM personnel, and, beginning on May 28, notices were sent to 280,000 truck owners.21
Part II of NHSB’s Investigation Report, dated August 12, 1969, reaffirmed the agency’s earlier findings and recommendations. It rejected GM’s overloading theory, finding that “96 percent of all known wheel failures have occurred under loads which are below the design wheel strength level specified” by GM and that metallurgical analyses indicated manufacturing defects. In addition, the report concluded that the May 28 bulletin was deficient.22 On August 22, 1969, the Federal Highway Administrator informed GM that “the present state of the record” demonstrates that “a defect which relates to motor vehicle safety exists” and notified GM that it would have an opportunity to present its views and supporting evidence in accordance with Section 113(e) of the Act.23 At a meeting held September 12, 1969, GM submitted a written statement of its position and summarized its major points in an oral presentation.
Prior to a ruling by the Administrator in the defect proceeding, GM submitted a settlement offer. By letter of October 3, 1969, GM proposed “as a matter of customer relations” to send a second bulletin warning owners about proper loading and tire inflation and offering to replace, at GM’s expense, the three-piece Kelsey-Hayes wheels on those trucks— estimated at 50,000 in number — on which campers or other special bodies had been installed by the owners. The settlement offer set forth GM’s understanding that its proposed action would moot the pending defect proceeding with the result that the investigation would be closed “immediately” and “not be subject to reopening.”24 The NHSB accepted GM’s proposal on October 8, 1969, but expressly reserved the right to take further action “in the interests of safety.” 25 As of May 1974, approximately 66,270 Wheels had been replaced by GM under its offer.26
In November, 1969, Secretary of Transportation Volpe, in response to a letter written by Ralph Nader criticizing the settlement, stated that NHSB was carrying forward its survey of the plain trucks (not equipped with campers or special bodies) — estimated at 150,000 in number — to determine whether corrective measures were indicated.27 In an attempt to spur agency action, amici curiae in this case, Ralph Nader, et al., filed an action on March 31, 1970, against Secretary Volpe and others seeking to compel reconsideration of whether *430there was a safety-related defect in Kelsey-Hayes wheels installed on plain trucks.28 On June 26, 1970, Judge Waddy issued an order remanding the matter to the NHSB with instructions to continue its investigation and report to the court by September 17, 1970.
Two weeks before its progress report was due, the agency completed Part III of its Investigation Report. This report found that there were 98 known failures on plain trucks and contended that “[a] significant number of wheel failures has occurred on [plain] trucks . . . under loads which are below wheel strength level specified” by GM.29 NHSB provided GM with a copy of the report and advised GM of its right to present its position to the agency on September 30. At the meeting, GM rested on a twenty-four page memorandum which argued that the failure data contained in Part III of the Investigation Report were unreliable and that metallurgical conclusions in Parts I and II were “absolutely unfounded.”30 After evaluating the evidence in the record, the Director of NHSB found the Wheels defective because they “are subject to sudden and catastrophic failures resulting in an unreasonable risk of accident, death, and injuries to persons using the highways.” By letter of November 4, 1970, he directed GM, pursuant to § 113(e) of the Act, to furnish § 113(c) defect notifications to owners of Trucks which had not had their Wheels replaced under the October 8, 1969, settlement offer.31
On the same day, GM filed an action in the United States District Court for the District of Delaware seeking injunctive and declaratory relief with respect to the NHSB’s directive. Two days later, on November 6, 1970, the Government brought the present enforcement action in the United States District Court for the District of Columbia. GM’s pre-enforcement action in Delaware was dismissed, and GM was remitted to presenting its challenges as defenses to the Government’s enforcement action.32
C. Proceedings in the District Court
Shortly after the Government filed its enforcement action, GM moved to dismiss, transfer, or stay further proceedings in view of the pre-enforcement action it had filed in Delaware. As a result of delay attributable to the jurisdictional question, defendant did not file its answer until February 3, 1971, and discovery did not commence until April. Following more than a year of extensive discovery by both parties, the Government moved for summary judgment on July 12, 1972. The Government’s motion rested on the theory that a defect could be established by showing a large number of failures in performance.33 In support of its motion, the Government submitted 160 owner affidavits reporting 436 Wheel failures and the affidavit of a statistical expert projecting that the Government could have obtained 707 owner affidavits showing 1503 Wheel failures if all of the owners reporting failures who were known to NHTSA had been contacted.34
GM filed its initial opposition to the summary judgment motion on May 15, *4311973, and submitted a further response on May 25, 1973. The defendant contended that only failures on non-overloaded plain trucks were relevant to the enforcement action because its two 1969 bulletins had adequately warned of any safety risk on overloaded trucks or trucks with campers or special bodies. GM urged that neither the 160 owner affidavits nor the statistical projection demonstrated that “even one failure” had occurred “on a non-overloaded straight pickup truck.”35 In addition, GM challenged the Government’s proposed definition of defect, contending that Congress intended to adopt the common law definition of defect which required the plaintiff to show that product failures were not caused by owner misuse.36
On April 30, 1974, in the light of Judge Waddy’s illness, the case was reassigned to Judge Gasch. He held a hearing on the summary judgment motion on May 22, 1974, and issued an opinion and order granting summary judgment on June 13, 1974. The District Court found that the Government’s large number of failures theory was supported by the purpose and plain language of the Act, the administrative construction of the statute, and the need for practical and effective enforcement. It rejected GM’s contention that the 1969 bulletins limited the scope of the enforcement proceeding to non-overloaded plain trucks.37 The issue of GM’s liability for civil penalties of up to $400,000 for failure to comply with the defect notification directive was deferred.38 In a Memorandum and Order of July 30, 1974, Judge Gasch ordered GM to pay $100,000 in civil penalties.39 That order is the subject of a separate appeal pending in this court.40
Following the summary judgment ruling, GM applied to the District Court for a stay pending appeal. The District Court denied defendant’s motion on June 26, 1974.41 The next day this court entered a stay pending appeal. In response to the Government’s motion to vacate the stay as improvidently granted, this court conditioned the continuation of the stay upon the issuance of an interim notification to current owners of Trucks equipped with Wheels which advised them of Judge Gasch’s ruling and the pendency of this appeal.42
II. DEFINITION OF DEFECT
The District Court found that Congress intended “to have the manufacturer issue such [defect] notifications not only when there was a cognizable defect in design or manufacture but also when the evidence reveals a large number of failures of components or materials, i. e., failures in performance, regardless of the cause.” (Emphasis in original.)
The District Court added: “This statute is designed specifically to warn a consumer before an accident occurs and a defect in performance, such as a ‘large number of failures,’ exposes the consumers to dangers of which they should promptly be notified.” In its footnote 20, the court amplified: “Where the agency shows that there is a prima facie case of a defect in performance through the submission of evidence of a large number of failures of the Wheel, the only defense in such an instance is that this large number of failures did not occur for it is clear the failures of wheels are clear dangers to motor vehicle safety.” 43
GM concedes that a defect finding can be premised on a significant number of *432failures in performance but contends that those failures must occur on vehicles operated in conformity with the manufacturer’s specifications.44 Under its definition of defect, GM claims that there is a genuine issue of material fact as to whether a significant number of Wheels have failed on Trucks operated within weight limitations set forth in the owner’s manual.
For the reasons developed below, we find that the District Court erred in holding that the cause of failures is irrelevant to the defect determination. We also reject GM’s specified use formulation of defect as unduly restrictive and not in conformity with legislative intention.
A. Statutory Provisions
This enforcement action is brought pursuant to the Secretary of Transportation’s determination under § 113(e) of the Act that the Wheels contain a “defect which relates to motor vehicle safety.”45 The definitional section, § 102, defines the two critical terms “defect” and “motor vehicle safety.” Section 102(11) provides: “ ‘Defect’ includes any defect in performance, construction, components, or materials in motor vehicles or motor vehicle equipment.”46 Section 102(1) provides:
“Motor vehicle safety” means the performance of motor vehicles and motor vehicle equipment in such a manner that the public is protected against unreasonable risk of accidents occurring as a result of the design, construction or performance of motor vehicles 47
These provisions indicate that a determination of “defect” does not require any predicate of a finding identifying engineering, metallurgical, or manufacturing failures. A determination of “defect” may be based exclusively on the performance record of the vehicle or component.
The District Court concluded that “the plain language” of the sections, when read in conjunction with the statutory purpose “to reduce traffic accidents,” “forcefully demands” that defect notifications be sent whenever there are a large number of failures.48 We find the language of the statute more opague. The Act requires a “defect in performance” and does not on its face address the core issue, whether the causes of component failures are relevant to the determination of a “defect in performance.” That is the question we must answer, and we begin our quest by turning to legislative history of the Act.
B. Legislative History
The National Traffic and Motor Vehicle Safety Act of 1966 was a product of the heightened public interest in, and concern over, automotive safety during the mid-1960’s.49 The mounting human and economic cost of auto .accidents and attacks by consumer advocates on dangerous vehicle designs prompted numerous legislative proposals dealing with the traffic safety problem.50
An Administration bill was introduced in both chambers in March, 1966. The *433purpose of the bill, like that of the' enacted legislation, was “to reduce traffic accidents and the deaths, injuries, and property damage resulting from traffic accidents.”51 Although the bill dealt with all aspects of the traffic safety problem — the vehicle, the highway, and the driver — it focused on improving the safety of motor vehicles. The emphasis on upgrading motor vehicle safety reflected an understanding that a certain level of driver error and owner carelessness is inevitable. As Senator Ribicoff noted on the opening day of the Senate hearings, “the automobile manufacturer has a part to play, taking into account that a human being is never going to be perfect.”52
Neither the original House or Senate bills contained a defect notification provision.53 Shortly after the introduction of the bills, concerns regarding industry practice with respect to notice and repair of defects were voiced in committee hearings.54 The defect notification provision ultimately incorporated in the Senate bill stemmed from an amendment introduced by Senator Mondale on April 18, 1966. His amendment was prompted by evidence that manufacturers either failed to notify purchasers of defects or merely stated that some unidentified “improvements” were necessary. The amendment sought to vindicate the owner’s “right to know what hazards are associated with a particular product” by compelling manufacturers to give purchasers fair warning of the specific safety risks presented. Senator Mondale did not explain when defect notices should be issued, beyond stating that they were not required for minor defects but “must be sent in all cases involving a safety hazard.” 55
Senate consideration of this amendment and House examination of similar amendments reaffirmed the need for “uniform and prompt notification to vehicle owners of the discovery of any defects related to safety,”56 without further explication of the circumstances requiring manufacturers to furnish notifications. The Senate bill defined “defect” as “any defect in design, construction, components or materials” and the Senate Report indicated that the term “is used in the sense of an error or mistake in design, manufacture or assembly.” 57 The concept of “defect in performance” did not appear in the Senate bill. That phrase first emerged in the final House bill, in the definition of defect. It was accepted by the conference committee and incorporated into the version subsequently enacted into law.58 Neither the House Report nor the Conference Report comments on the intended scope of “defect” or “defect in performance.”59
Legislative History and GM’s Intended Use Formulation
In its argument in the District Court, GM seized on the language of the Senate Report and the absence of any meaningful statutory definition to argue *434that “it must be assumed that Congress adopted the common law definition” of defect, requiring “the plaintiff to demonstrate, at the very least, that his misuse of the product was not the cause of the failure.”60 The District Court properly rejected appellant’s contention. The Act was designed as a preventive measure “supplementary of and in addition to the common law of negligence and product liability.”61 Determinations of fault or liability relevant to the award of damages at common law are not controlling on the interpretation of the scope of this prophylactic defect notification legislation.
In its brief on appeal, GM contends that the District Court’s standard ignoring the cause of performance failures cannot be squared with the common meaning of a defect. Appellant puts it that “an item of equipment cannot be called ‘defective’ in any sense if it only fails to operate properly when the applicable instructions and warnings are ignored.” 62
GM’s approach does not measure up to the purpose of the defect notification provision and the statute as a whole. Congress was concerned with the day-today performance of motor vehicles in the myriad conditions of use experienced by the public, not the test data compiled by professional drivers on the manufacturer’s proving grounds or performance specifications under laboratory conditions. The protection afforded by the Act was not limited to careful drivers who fastidiously observed speed limits and conscientiously complied with manufacturer’s instructions on vehicle maintenance and operation. The mood of the statute is fairly identified by the comments of various Senators espousing the proposed legislation even before the notification provision was added by the House, as affording, in the words of Senator Hartke, “an added area of safety” to “an owner who is lackadaisical, who neglects regular maintenance, and doesn’t switch his tires, doesn’t keep them at proper pressure,” and as observant that “this is the human factor we are talking about.”63
GM’s contention that there can be no “defect in performance” so long as the Wheel does not fail under loads specified by the manufacturer is undermined by its own description of the manner in which purchasers normally operate their trucks. As GM’s counsel stated during the administrative proceeding: “We know, we always have known, everybody knows that trucks are overloaded on occasion.” 64 A 1969 GM letter to the Federal Highway Administrator explained *435that “[i]n the case of trucks the applicable GVW can be exceeded easily and will be exceeded unless the operator takes precautions against so doing” and that “owners have continued and will continue to exceed these limitations.”65 These statements underscore the realities of operation' — owners do not always know or pay close attention to the weight of their cargo, and are not always scrupulous to make sure that tires are inflated to specified pressures, and loads carefully balanced front-to-back and side-to-side.66 The reality of day-to-day operation embraces some to-be-expected overloading of the vehicle and overinflation of the tires, and this provides the proper context in which to evaluate vehicle performance.
When pressed at argument on appeal, counsel for GM conceded — what could not fairly be denied — that “it may very well be true that a manufacturer would have an obligation to anticipate some degree of misuse perhaps or failure to maintain and build in some additional margin for his product.” The congressional purpose to warn owners about safety hazards requires notice not only where the vehicle fails when used in conformity with manufacturer’s instructions, but also when there is an inadequate margin of safety to protect against failures during reasonably expected vehicle operation.
Legislative History and the District Court’s Definition
While the District Court was on sound ground in rejecting GM’s specified use theory, it went too far in the other direction when it held that the cause of component failures was irrelevant to the defect determination. That ruling conflicts with the legislative history of the 1966 Act.
The Senate Report indicates that the “critical definitions which delimit the scope of the bill are those of ‘motor vehicle’ and ‘motor vehicle safety.’ ”67 The latter definition crystallizes the legislative intention to protect the public against vehicle performance posing an “unreasonable risk of accidents.”68 As the Senate hearings make clear, the word “unreasonable” was placed in the bill deliberately, to signify a “commonsense” balancing of safety benefits and economic cost.69 A similar concern was expressed in the Senate Report’s discussion of factors to be evaluated in setting safety standards for new motor vehicles. The report identified safety as “the overriding consideration” but agreed with the General Counsel of the Commerce Department that in promulgating standards “the Secretary will necessarily consider reasonableness of costs, feasibility and adequate leadtime.”70 In view of the Senate Report’s identification of- the motor vehicle safety definition as critical to the scope of the entire bill, and the linkage of the terms “defect” and “motor vehicle safety” in the notification provision (§ 113, quoted supra note 4), we find the “commonsense” approach of “motor vehicle safety” is relevant to the intended meaning of “defect.”71
*436The commonsense limitation reflects an awareness that costs must be considered in determining what safety measures are required by the Act. While some margin of safety must be built-in to protect against failures during day-to-day operation, manufacturers are not required to design vehicles or components that never fail. It would appear economically, if not technologically, infeasible for manufacturers to use tires that do not wear out, lights that never burn out, and brakes that do not need adjusting or relining. Such parts cannot reasonably be termed defective if they fail because of age and wear.
Similarly, a commonsense approach would not find defective a wheel that collapsed under a load, say, four times that specified, and, say, twice the load that might be projected as a use (or technical over-use) that could be deemed a realistic expectation. The District Court’s decision that a large number of failures, regardless of cause, constituted irrebuttable proof of a “defect,” ignores these commonsense limitations and must be rejected as incompatible with the discernible legislative intention.
C. Subsequent History Clarifying Legislative Intent
Amendments to the Act contained in the Motor Vehicle and School-bus Safety Amendments of 1974 require manufacturers, in addition to furnishing defect notifications, to correct at their expense defects which relate to motor vehicle safety. The amendments neither alter the Act’s definitions of defect and motor vehicle safety nor establish separate criteria for the manufacturer’s notification and repair obligations.72 The House Report on the amendments, issued approximately one month after the District Court’s opinion, indicates that the cause of performance failure is relevant to the defect determination.
The remedy without charge requirement is intended to require manufacturers to correct at their expense defects in the performance, design, or construction of their products which relate to motor vehicle safety. It is not intended that manufacturers be required to make corrections if they can establish that the condition requiring correction results from the abuse of their products or the failure to adequately maintain them.73
We are aware that subsequent congressional actions may provide “a hazardous basis for inferring the intent of an earlier” Congress.74 But here we are dealing with provisions that must be applied together and in relation to each other. What Congress was making clear was *437that the defects required to be notified were defects that would have to be repaired at the expense of the manufacturer, not at the expense of the consumer. (There is an exception of no present consequence, removing the obligation to repair or replace as to defects covered by notifications or notification directives issued eight years after the first purchase.) 75
In general, the contours of the defects the manufacturer must remedy fairly delineate the defects that must be notified. We are on sound ground, then, in turning to the legislative understanding of those contours — expressed at a time when it was not making any change in the provisions that define them. In this context, we deem the 1974 House Report, which provides for some defense of abuse, to be a reliable explication of the scope of the original defect notification section.76 Aware of the tension between its recognition of an abuse defense and the need for prompt notification, Congress added a provisional notification section to permit the agency to effectuate prompt notification of the problem while the defense was being litigated.77
D. Administrative Interpretation
The District Court rested in part on the doctrine “[t]hat Courts should give great weight to any reasonable construction of a regulatory statute adopted by the agency charged with the enforcement of that statute.”78 The District Court went astray, however, when it equated the theory advanced by the Government’s litigating counsel with the administrative interpretation of the Act. The defect notification directive which the Government is attempting to enforce in this action rests on the agency’s finding that a “significant number of wheel failures has occurred . . . under loads which are below the wheel strength level specified by the truck builder.”79 The agency’s Investigation Report never set forth the theory of Government counsel based on large number of failures, irrespective of cause. The NHTSA’s stated position is that “[w]hether a defect exists depends solely on the facts of each particular situation.” It has explicitly declined to adopt any rule defining “safety related defect.”80 That the cause of failure cannot be ignored completely is clear from the 1973 testimony of Administrator Toms before the Senate Commerce Committee, stating that § 113 does not extend to “safety problems such as worn brakes or tires that occur in any aging vehicle as a result in normal wear and tear.” 81
E. Establishing a Defect in Performance
The District Court settled on its definition of defect in part because it feared that an alternative interpretation *438would force the Government “to attempt to show at trial that every failure was not due to owner abuse,” thereby “neg-at[ing] any practical value of the notification scheme outlined in the Act.”82 Were this the case, we might well be more receptive to the District Court’s approach. As this court recently noted, it is “our duty to favor an interpretation which would render the statutory design effective in terms of the policies behind its enactment and to avoid an interpretation which would make such policies more difficult of fulfillment, particularly where, as here, that interpretation is consistent with the plain language of the statute.”83 However, we do not find the District Court’s approach necessary to the practical and efficient administration of the defect notification provision.
An enforcement proceeding under the Act is a trial de novo with the burden on the Government to prove a violation by a preponderance of the evidence. In discharging its burden in the present action, the Government need only establish a significant number84 of Wheel failures resulting from operation of Trucks, in fact.85 Where the Government introduces evidence of a significant number of failures as to which causes like age and expected wear and tear have been negated, it is entitled to rely on a presumption that such failures occurred under conditions of operation that were either within the parameters specified by the manufacturer or reflect reasonably-to-be-expected vehicle abuse (ordinary abuse) or failure to maintain. Where, as here, the relevant component is designed to function without replacement or repair for the life of the vehicle, a prima facie case of defect can be made simply by showing a significant number of failures.86 The underlying presumption comports with the realities of vehicle operation and promotes fair and efficient enforcement of the statute.87
The presumption arising from proof of a significant number of wheel failures is not irrebuttable. It is here that we depart from the District Court, which tolerated no defense other than proof that the failures did not occur. We hold that the Act permits the manufacturer to establish, as an affirmative defense, that the failures were attributable to gross and unforeseeable owner abuse or unforeseeable neglect of vehicle maintenance.88 This is in accord *439with the 1974 House Report and the aforementioned commonsense limitation on the safety requirements of the Act.89
We have pondered the possibility that our approach may enable a manufacturer to attempt to avoid notice and correction obligations by dragging out the enforcement proceedings. That danger would appear inherent in any scheme designed to afford the manufacturers a fair opportunity to establish that gross and unforeseeable owner abuse caused the component failures. The danger is mitigated somewhat by the 1974 amendment allowing the Secretary to order provisional notification pending the resolution of the enforcement action.90 And a trial on the issue of defect could be avoided whenever the Government introduced cognizable evidence establishing that a significant number of failures occurred on vehicles operated within the manufacturer’s specifications or departures therefrom that the manufacturer could not reasonably contend constituted gross abuse.91
III. PREVIOUS OWNER LETTERS
GM contends, as its second claim of error, that the letters sent to Truck owners in May, 1969, and October, 1969 comply with the notification requirements of § 113 of the Act and therefore constitute a defense to the present enforcement action.92 GM argues that, at the very least, the prior letters contain adequate warning of the dangers of overloading, thereby requiring the Government to show a defect in non-overload situations to compel the mailing of additional notifications.
The District Court concluded that the prior settlement letters did not preclude the Government from relying on all available evidence to prove a safety-related defect. Under its large number of failures theory, the District Court found, on the basis of owner affidavits revealing numerous wheel failures, that all of the three-piece Kelsey-Hayes wheels were defective and ordered enforcement of the Administrator’s notification directive.93
*440Although we depart from the District Court’s defect definition, we believe its general approach to appellant’s defense is basically sound. The October 8, 1969, settlement agreement explicitly reserved the agency’s right to continue the investigation and take such further action in the interest of safety as the available information warranted. Nothing in the settlement agreement or the prior letters precluded the Government from using evidence of failures on overloaded Trucks or Trucks with campers to establish that notice of a safety-related defect involving all Wheels should be sent to purchasers. Were the Government to establish on remand that a significant number of wheels failed under conditions of normal use (including reasonably foreseeable abuse or failure to maintain), it would be entitled to summary judgment ordering GM to send defect notifications to purchasers warning that the Wheels lacked an adequate margin of safety and describing the resulting safety risks. The 1969 letters would pose no defense for they neither contained “a clear description” of this defect nor warned that it pertained to all of the three-piece Kelsey-Hayes wheels.94
Beyond this basic problem with appellant’s proffered defense, there are deficiencies in the 1969 bulletins which undermine their adequacy. The purpose of the defect notification provision is “to notify the owner in clear and unmistakable terms” of the specific safety-related defect so that “corrective steps” could be taken.95 The 1969 letters, however, do not acknowledge any defect in the three-piece Kelsey-Hayes wheels. Rather, they merely warn of safety risks posed by certain conditions of use. The May letter recommends corrective action when the Truck has been used to carry excessive loads “for any substantial period of time,” implying that brief episodes of overloading pose no risk. The October letter’s replacement offer, limited to Trucks with campers and other special bodies, may well have created the impression that Wheels on plain trucks presented no safety risk. NHTSA regulations, adopted in 1973, require an explicit statement that a defect relating to traffic safety exists and “prohibit the notification from stating or implying that the problem is not a defect.” 96 These requirements, based on NHTSA’s experience with owner reactions are designed to produce notifications that will induce consumers to have defective components repaired or replaced.97 We cannot say that the 1969 letters which (1) were not viewed by the Agency as adequate when written,98 (2) do not “clearly and unambiguously describe” the relevant defect, and (3) imply that “the problem is not a defect” meet the Act’s notification requirement.
IV. SUMMARY JUDGMENT
A. General Principles
Our refinement and modification of the legal standard used by the Dis*441trict Court does not necessarily require reversal of its grant of summary judgment to the Government. An appellate court has discretion to uphold a summary judgment under a legal theory different from that applied by the trial court, and rest the affirmance “on any ground that finds support in the record,”99 provided it proceeds cautiously so as to avoid denying the opposing party a fair “opportunity to dispute the facts material” to the new theory.100
Summary judgment under Fed.R.Civ.P 56 eliminates useless trials by permitting a party “to pierce the pleadings and to assess the proof to see whether there is a genuine need for trial.101 This court has recognized the “important functions” served by summary judgment in avoiding “long and expensive litigation” and “curbing the danger that the threat of such litigation will be used to harass or to coerce a settlement.”102 The vital role played by the summary judgment procedure is heightened in cases where the prospect of a lengthy trial itself endangers the effective vindication of the fundamental interests at issue.103 In defect notification enforcement actions, such delay may lead to needless deaths and injuries.104 However, litigants may not be cut off from their right to trial “if they really have issues to try”.105
The party seeking summary judgment has the burden of showing there is no genuine issue of material fact,106 even on issues where the other party would have the burden of proof at trial,107 and even if the opponent presents no conflicting evidentiary matter.108 “[T]he inferences to be drawn from the underlying facts must be viewed in the light most favorable to the party opposing the motion.”109 However, the moving party is entitled to the benefit of any relevant presumptions, and if the established facts and relevant presumptions would *442have entitled him to a directed verdict at trial, he is entitled to a summary judg.ment under Rule 56.110 In terms of procedure, plaintiff establishes a prima facie case on motion for summary judgment if he has made out a case on affidavits and presumptions, that would entitle him to a directed verdict if uncontroverted at trial; summary judgment will generally be granted unless the opposing party offers evidence demonstrating “a ground of defense fairly arguable and of a substantial character,” or unless he presents good reasons, in accordance with Rule 56(f), for the failure to offer “facts essential to justify his opposition” to the motion.111
B. Application to Defect Notification Actions
We come now to the application of these well-established principles to the showing required for summary judgment in a defect notification action. We are speaking of a context where, as here, it is undisputed that the failures pose an unreasonable risk of accidents, death, or injury.112 In such a context, the Government makes out a prima facie case by offering competent evidence showing a significant number of failures in performance not attributable to age or wear — a showing which suffices to generate a presumption that the failures have occurred under conditions of specified use or ordinary (i. e. reasonably anticipated) abuse. At trial, such evidence, if uncontroverted, would entitle the Government to a directed verdict. It likewise suffices to entitle the Government to the grant of its motion for summary judgment, unless the manufacturer comes forward with evidence which creates a material issue of fact concerning the number of failures shown or the cause of the failures.113 Where the Government makes the additional showing of a significant number of failures under conditions of operation that are within the manufacturer’s specifications or departures therefrom that could not reasonably be deemed gross abuse, the manufacturer cannot avoid summary judgment unless he contradicts or negatives this showing. Evidence offered by the manufacturer indicating that a number of these or other failures of the relevant component occurred under conditions that could reasonably be deemed gross abuse is not sufficient if it still leaves the plaintiff with an uncontested showing that a significant number of failures occurred under conditions of specified use or ordinary abuse.
In the case at hand, a careful review of the record leads us to the following conclusions: The Government, through 160 owner affidavits reporting 436 Wheel failures and the affidavit of a statistical expert projecting that the Government could have obtained 707 owner affidavits showing 1503 Wheel failures, clearly proffered evidence showing a significant number of failures in performance.114 It is undisputed in this case that the Government’s showing also negatives age and wear as a cause of failures: the item is one that is designed for the life of the vehicle115 and the *443affidavits reveal a number of failures at relatively low mileages.116 Such a coupling of a significant number of failures and absence of age and wear as a cause is ordinarily sufficient to establish a prima facie case for the Government on its motion for summary judgment and to place on the manufacturer the burden to come forward not only with papers in opposition but with a proffer of evidence of gross abuse.117 In this case, however, the Government’s affidavits on their face supply facts on which GM could predicate a genuine affirmative defense. That comes about even though the Government’s showing of a substantial number of failures was not generally accompanied by a showing of conditions of use. While the bulk of the 160 affidavits contain little if any data on the loading history of the Trucks,118 some do reveal failures on Trucks that were plainly loaded substantially in excess of their gross vehicle weights,119 thus raising an issue of gross abuse. In this composite, the Government’s own papers suffice to show disputed issues of material fact.120
We interject that at trial the Government may well prevail on the ground e. g. that even substantial overloading in excess of gross vehicle weights (of 5500-6700 lbs.) is not outside the zone of ordinary abuse, in view of the 7500 lb. maximum shown on the GVW plate. See part C, below. But this depends on an issue of fact, and must be determined by the fact tribunal, and not by an appel*444late court decision that there is a rule of law that requires affirmance even though the rule of law relied on by the trial court for summary judgment, was in part unsound.
The Government’s supplemental memorandum, filed after argument on appeal, indicates a misunderstanding of the burden placed on a party seeking summary judgment. Appellee argues that the “record demonstrates that General Motors has not discharged the burden of proving owner abuse.”121 But, although GM would bear that burden at trial, in view of the Government’s prima facie showing of a significant number of performance failures, GM is entitled to that trial. The present state of the record at least does not leave us with the conviction that there are no material factual issues to try.
Finally, our view that GM has a case for trial does not import any view on how the case would come out if the record, as it now stands, were all that was put before the trial court. The aforementioned presumption that failures occurred under specified use or ordinary abuse serves to shift both the burden of producing evidence and the burden of persuasion to the manufacturer who must prove that the significant number of failures resulted from gross abuse. Consequently, even if GM were to present evidence setting forth instances of load levels substantially in excess of gross vehicle weights and testimony of manufacturing officials, like that in its affidavits, as to their inability to foresee such loading levels at the time the Wheels were offered as options on the Trucks, the trier of fact could conclude that GM failed to prove the overloading constituted gross abuse or find that the instances of gross abuse shown were not sufficient to overcome the presumption that the significant number of failures occurred under conditions of specified or ordinary abuse.
C. Factors Pertinent to GM’s Gross Abuse Defense
The Government’s motion and appeal papers attack GM’s gross abuse defense as unsubstantial but, while its points may well have considerable force at trial, they do not conclusively show that there is no need for a trial. The Government’s points relate to a cluster of factual issues bearing on what constitutes gross abuse under the facts of this case. 1. The first issue is what the Truck owners reasonably understood to constitute the specified loading limitation. GM contends that the “owner’s manuals which accompanied these vehicles in 1960-65 adequately informed the owners of the load limits of the Kelsey-Hayes wheel.”122 Charts in the manual setting forth the tire capacity at various inflation pressures indicated a maximum load of 1520 lbs. for the 7.00 x 15 6-ply tire, 1800 lbs. for the 7.00 x 15 8-ply tire, and 2060 lbs. for the 7.50 x 15 8-ply tire. GM’s position seems to be that it is these specifications of permitted use (in a range of 1520-2060 lbs. per tire) that identify the starting point for measuring abuse that could reasonably be anticipated.123 And GM further asserts that it could not reasonably have anticipated that the Trucks equipped with Wheels would be used to carry large cab-over campers. It submits an affidavit stating that both the number and the size of campers purchased grew dramatically in the mid-1960’s and suggesting that it was this unexpected development that resulted in the overloading of Trucks and consequent Wheel failures.124
*445The Government vigorously disputes the adequacy of the load warnings, contending that the information supplied by GM to truck owners led many of them reasonably to conclude that their trucks were suitable for loads of 7500 lbs. and were designed to carry large cab-over campers. First, the Government notes that the GVW plate permanently affixed to each Truck read “Maximum GVW Rating 7500 lbs.”125 Although the plate also stated that “Equipment and Tires for Gross Vehicle Weight Ratings are Listed in Load Capacity Chart in Owner’s and Driver’s Manual,” the Government argued that this did not alleviate the misunderstanding because the GVW charts in the manuals contained entries for a number of wheel-tire combinations but did not contain any entries for the 15" Kelsey-Hayes wheels, and therefore would not have specified to an owner reading the manual that those wheels produced a GVW less than the 7500 lbs. shown on the plate.
The only charts in the manual containing data for 15" Wheels were tables headed “Tire Inflation Tables for Highway Service.”126 The Government points out that an owner would not be alerted that there was vehicle loading information in these crucial tables either by the tables’ caption or by a pertinent index entry.127 Finally, an owner was not informed how to translate the maximum tire capacity shown by the table into gross vehicle weight. Thus, an owner might simply and naturally make the computation revealed in an affidavit of record, that is multiply the tire capacity by four.128 If we use the 1800 lbs. figure for a 7.00 x 15 8-ply tire, the multiplication yields a figure of 7200 lbs. — 20% above the 6000 lbs. figure that is produced by correct engineering calculations not set forth in the manual.
Reports contained in Part III of the Investigation Report and the affidavits submitted in support of the summary judgment motion reveal that a substantial portion of owners experiencing Wheel failures understood from the GVW plate that their Truck’s GVW was 7500 lbs.129 Indeed, many owners reported that appellant’s dealers informed them that the GVW was 7500 lbs.130
As to the use of Trucks with large cab-over campers, the Government points to information supplied to purchasers as indicating that such use was foreseeable. The Chevrolet brochure for the 1965 model year131 shows á Series 20 pickup truck equipped with a cab-over camper and towing a sizable motorboat.132 Furthermore, owner reports and affidavits *446relate that some dealers sold Trucks with campers already installed and many dealers assured purchasers that the Trucks equipped with Wheels were suitable for the purchasers’ large cab-over campers.133
2. Related to the dispute over the maximum load limits that owners should reasonably have understood as specified for their Trucks is the question of the amount of deviation from this figure which GM should have anticipated in designing the Wheel. During the administrative proceedings, a GM vice-president stated that the Wheel was designed to accommodate “a reasonable overload of 15 percent” and “a reasonable extra tire pressure” of about 15 lbs.134 However, experts presented by consumer interests (as amicus curiae) at the September 30, 1970, meeting indicated that in their opinion the 15 percent margin did not include a safety factor adequate for reasonably-to-be-expected factors — expected moderate overloading and overinflation of tires, and variations in manufacturing and fabrication.135
3. Another set of unresolved issues concerns the length and extent of “overloading” required to cause cracks in the Wheel capable of producing a failure at a later point under even subnormal loads. Both the Government and the District Court placed great emphasis on a GM statement that “a brief period of excess loading can cause a crack to occur in a wheel [which] . . . may develop to the point of wheel failure with further use of the truck.” 136 This broad statement about wheels in general was later modified by GM in a letter to the Government agency, using language to the effect that “short-term abnormally high loadings” or “a brief period of substantial excess loading” could cause “a crack to occur in a wheel.” 137
The GM statements raise the issue whether there are separate problems of short-term peak overloading and sustained ordinary overloading. A higher, short-term margin of safety might be required of the manufacturer in view of the foreseeability of one or more brief periods of peak excessive loading during the lifetime of many of the Wheels.
V. CONCLUSION
The Government’s motion for summary judgment was premised on the theory that a defect co.uld be established by showing a large number of performance failures regardless of cause. Affidavits submitted by the Government supplied the large number of failures required to obtain judgment under its definition of defect. After carefully considering the language, purpose, history, and administrative interpretation of the Act, we have concluded that the District Court erred in accepting the Government’s theory and foreclosing the possibility of an affirmative defense of gross abuse.
Our heft of the record leaves us with an understanding of the forces pressing the District Court to adopt the Government’s interpretation of the statute. Here the Government had shown a large number of sudden and potentially catastrophic failures of a critical vehicle component. In addition, it put forth evidence suggesting that under the particular circumstances of this case there was a very wide range of reasonably foreseeable deviation from the manufacturer’s calculations of gross vehicle weight, producing a high threshold to be hurdled by a manufacturer relying on an affirmative defense of gross abuse. And the manufacturer, after extensive and prolonged discovery, introduced no evidence of its own documenting vehicle overloading of a magnitude sufficient to raise a *447substantial question of gross abuse as the cause of performance failures.
Despite these emanations from the record, we cannot uphold the reasoning that the cause of performance failures is irrelevant to the determination of a defect. We find that a component is defective if it is subject to a significant number of failures in performance occurring on vehicles operated under conditions of specified use or reasonably foreseeable abuse or failure to maintain (ordinary abuse). As we noted in Parts II E and IV B of this opinion, the Government can make a prima facie showing by presenting evidence of a significant number of failures in performance unrelated to age or wear of the component. Such a showing places a burden on the manufacturer to prove that the failure resulted from gross owner abuse. Under this formulation of defect, we find that there are presently genuine issues of material fact concerning the manufacturer’s affirmative defense based on gross and unforeseeable owner abuse.
That the current record is largely devoid of data on the loading histories of Trucks experiencing Wheel failures is regrettable, but understandable in view of the positions of the parties on the motion for summary judgment. The Government contended that the cause of failures was irrelevant and did not request owners submitting affidavits to include loading information. As we have noted, some of the owner affidavits reported loads which substantially exceeded the Truck’s gross vehicle weight and are not palpably within the zone of ordinary abuse. At the same time, the affidavits suggest that many if not most owners experiencing failures and some dealers understood the specified load limitation to be 7500 lbs., the figure on the GVW plate affixed to the Trucks. Moreover, the affidavits reveal that many dealers assured purchasers that the Trucks equipped with the Wheels were adequate for large cab-over campers. GM made no attempt to document the extent of overloading vel non on Trucks experiencing failures, since it was preoccupied with defending against the Government’s contention that the cause of failures was irrelevant, and with advancing its own theory that the Government was required to prove a large number of failures on plain trucks operated within specified conditions of use. The Government’s own proof generated an issue through the not insignificant number of Government affidavits that showed overloading substantially in excess of gross vehicle weights.
We have concluded that summary judgment cannot be granted on the present state of the record. On remand the Government, if it be so advised, is free to amend its motion and offer additional evidence in an attempt to demonstrate that it is entitled to summary judgment.138 Otherwise, unless the case is settled, the controversy must proceed to trial. In view of the summary judgment motion’s focusing of the material issues remaining in dispute, the trial judge should be able to narrow the scope of questions for trial. This may be accomplished for instance through stipulations of the parties or the use of the court’s Rule 56(d) powers to specify “the facts that appear without substantial controversy” as a result of the motion for summary judgment. By taking an active role in distilling the issues for trial and structuring the order in which the issues are tried, the District Court may well be able to avoid adding a lengthy trial to this already protracted litigation.
The judgment is reversed and the case remanded for further proceedings not inconsistent with this opinion.
So ordered.