Admiral Ins. Co. v. Niagara Transformer Corp. ( 2023 )


Menu:
  • 21-2733
    Admiral Ins. Co. v. Niagara Transformer Corp.
    United States Court of Appeals
    For the Second Circuit
    August Term 2021
    Argued: May 3, 2022
    Decided: January 6, 2023
    No. 21-2733
    ADMIRAL INSURANCE COMPANY,
    Plaintiff-Appellant,
    v.
    NIAGARA TRANSFORMER CORPORATION,
    Defendant-Appellee. *
    Appeal from the United States District Court
    for the Southern District of New York
    No. 20-cv-4041, Andrew L. Carter, Jr., Judge.
    Before:           CALABRESI, CABRANES, and SULLIVAN, Circuit Judges.
    In this declaratory-judgment action, Admiral Insurance Co. (“Admiral”)
    seeks a declaration that it need not defend or indemnify its historical insured,
    Niagara Transformer Corp. (“Niagara”), in potential litigation between Niagara
    and nonparties Monsanto Co., Pharmacia LLC, and Solutia Inc. (collectively,
    “Monsanto”) over harms caused by polychlorinated biphenyls that Monsanto had
    sold to Niagara in the 1960s and 1970s. Admiral now appeals from the order of
    the district court (Carter, J.) dismissing its action for lack of a justiciable “case of
    *   The Clerk of Court is respectfully directed to amend the official case caption as set forth above.
    actual controversy” within the meaning of the Declaratory Judgment Act
    (the “DJA”), 
    28 U.S.C. § 2201
    (a). In reaching this jurisdictional ruling, the district
    court principally relied on (1) the fact that Monsanto has not commenced or
    explicitly threatened formal litigation against Niagara, and (2) its assessment that
    Monsanto would not be likely to prevail in such litigation.
    While the district court properly concluded that it lacked jurisdiction to
    declare Admiral’s duty to indemnify Niagara, it did not adequately distinguish
    between that duty (which is triggered by a determination of the insured’s liability
    to the third party) and the insurer’s separate duty to defend its insured (which is
    triggered by the third party’s filing suit against the insured). Because a
    declaratory-judgment action concerning either duty becomes justiciable upon a
    “practical likelihood” that the duty will be triggered, see, e.g., Associated Indem.
    Corp. v. Fairchild Indus., Inc., 
    961 F.2d 32
    , 35 (2d Cir. 1992), the justiciability of
    Admiral’s duty-to-defend claim turns on the practical likelihood that Monsanto
    will file suit against Niagara – not on whether Monsanto has already in fact done
    so or explicitly threatened to do so. As a result, we AFFIRM the district court’s
    order dismissing Admiral’s action to the extent that it sought a declaration of
    Admiral’s duty to indemnify Niagara, and REMAND, pursuant to our practice
    under United States v. Jacobson, 
    15 F.3d 19
     (2d Cir. 1994), for the district court to
    determine – as relevant to its jurisdiction to declare Admiral’s duty to defend
    Niagara – whether there exists a practical likelihood that Monsanto will file suit
    against Niagara. Consistent with that practice, appellate jurisdiction will be
    restored to this panel after the district court has supplemented the record and
    reconsidered its prior decision on remand.
    Should the district court determine on remand that it has jurisdiction to
    declare Admiral’s duty to defend Niagara, it may nevertheless decline to exercise
    such jurisdiction. To that end, we clarify the standard governing a district court’s
    discretion to decline jurisdiction under the DJA. We previously held in Continental
    Casualty Co. v. Coastal Savings Bank, 
    977 F.2d 734
     (2d Cir. 1992), and Broadview
    Chemical Corp. v. Loctite Corp., 
    417 F.2d 998
     (2d Cir. 1969) – that a district court must
    exercise jurisdiction if the issuance of a declaratory judgment would serve a useful
    purpose in settling the legal relations in issue or afford relief from the uncertainty
    giving rise to the proceeding. But our caselaw following Wilton v. Seven Falls Co.,
    2
    
    515 U.S. 277
     (1995), has treated the factors established by Broadview as only two
    among other factors that district courts should balance in determining whether to
    exercise jurisdiction under the DJA. Our caselaw suggests, and we now clarify,
    that district courts have discretion to decline jurisdiction upon the application of
    an open-ended, multi-factor balancing test in which no one factor necessarily
    mandates the exercise of jurisdiction.
    AFFIRMED IN PART AND REMANDED IN PART.
    JUSTIN N. KINNEY (Michael S. Chuven, on the
    brief), Kinney Lisovicz Reilly & Wolff PC,
    New York, NY, for Plaintiff-Appellant Admiral
    Insurance Company.
    RODMAN E. HONECKER, Windels Marx Lane &
    Mittendorf, LLP, New York, NY, for
    Defendant-Appellee Niagara Transformer
    Corporation.
    RICHARD J. SULLIVAN, Circuit Judge:
    In this declaratory-judgment action, Admiral Insurance Co. (“Admiral”)
    sought a declaration that it need not defend or indemnify its historical insured,
    Niagara Transformer Corp. (“Niagara”), in potential litigation between Niagara
    and nonparties Monsanto Co., Pharmacia LLC, and Solutia Inc. (collectively,
    “Monsanto”) over harms caused by polychlorinated biphenyls (“PCBs”) that
    Monsanto had sold to Niagara in the 1960s and 1970s. Admiral now appeals from
    the order of the district court (Carter, J.) dismissing its action for lack of a
    justiciable “case of actual controversy” within the meaning of the Declaratory
    3
    Judgment Act (the “DJA”), 
    28 U.S.C. § 2201
    (a). In reaching this jurisdictional
    ruling, the district court relied principally on (1) the fact that Monsanto has not
    commenced or explicitly threatened formal litigation against Niagara, and (2) its
    assessment that Monsanto would not be likely to prevail in such litigation.
    While the district court properly concluded that it lacked jurisdiction to
    declare Admiral’s duty to indemnify Niagara, it did not adequately distinguish
    between that duty (which is triggered by a determination of the insured’s liability
    to the third party) and the insurer’s separate duty to defend its insured (which is
    triggered by the third party’s filing suit against the insured).          Because a
    declaratory-judgment action concerning either duty becomes justiciable upon a
    “practical likelihood” that the duty will be triggered, see, e.g., Associated Indem.
    Corp. v. Fairchild Indus., Inc., 
    961 F.2d 32
    , 35 (2d Cir. 1992), the justiciability of
    Admiral’s duty-to-defend claim turns on the practical likelihood that Monsanto
    will file suit against Niagara – not on whether Monsanto has already in fact done
    so or explicitly threatened to do so. As a result, we AFFIRM the district court’s
    order dismissing Admiral’s action to the extent that it sought a declaration of
    Admiral’s duty to indemnify Niagara, and REMAND, pursuant to our practice
    under United States v. Jacobson, 
    15 F.3d 19
     (2d Cir. 1994), for the district court to
    4
    determine – as relevant to its jurisdiction to declare Admiral’s duty to defend
    Niagara – whether there exists a practical likelihood that Monsanto will file suit
    against Niagara. Consistent with that practice, appellate jurisdiction will be
    restored to this panel after the district court has supplemented the record and
    reconsidered its prior decision on remand.
    Should the district court determine on remand that it has jurisdiction to
    declare Admiral’s duty to defend Niagara, it may nevertheless decline to exercise
    such jurisdiction. To that end, we clarify the standard governing a district court’s
    discretion to decline jurisdiction under the DJA. We previously held in Continental
    Casualty Co. v. Coastal Savings Bank, 
    977 F.2d 734
     (2d Cir. 1992), and Broadview
    Chemical Corp. v. Loctite Corp., 
    417 F.2d 998
     (2d Cir. 1969), that a district court must
    exercise jurisdiction if the issuance of a declaratory judgment would serve a useful
    purpose in settling the legal relations in issue or afford relief from the uncertainty
    giving rise to the proceeding. But our caselaw following Wilton v. Seven Falls Co.,
    
    515 U.S. 277
     (1995), has treated the factors established by Broadview as only two
    among other factors that district courts should balance in determining whether to
    exercise jurisdiction under the DJA. Our caselaw suggests, and we now clarify,
    that district courts have discretion to decline jurisdiction upon the application of
    5
    an open-ended, multi-factor balancing test in which no one factor necessarily
    mandates the exercise of jurisdiction.
    I.   BACKGROUND
    Defendant-Appellee Niagara is a manufacturer of electrical transformers
    and the historical insured of Plaintiff-Appellant Admiral. Throughout the 1960s
    and 1970s, Niagara purchased PCBs from nonparty Monsanto for use in its
    transformers. PCBs are highly toxic and carcinogenic chemical compounds, the
    manufacture, processing, and distribution of which are now largely banned under
    federal statute. See 
    15 U.S.C. § 2605
    (e)(2)(A), (3)(A); see also 
    40 C.F.R. § 761.20
    (imposing strict regulations on the storage, handling, and disposal of PCBs and
    PCB waste materials). Monsanto’s sales of PCBs to Niagara were made pursuant
    to a “Special Undertaking” agreement, which provided that Niagara would
    “defend, indemnify, and hold harmless Monsanto . . . from and against any and
    all liabilities, claims, damages, [etc.] arising out of . . . the . . . use, sale[,] or
    disposition of such PCB[]s by, through[,] or under [Niagara].” J. App’x at 19.
    Monsanto also required Niagara to maintain “adequate insurance protection.” 
    Id. at 17
    . In keeping with this agreement, Niagara purchased a general liability policy
    from Admiral that ran from 1976 to 1977.
    6
    Beginning in 2009, various individuals, businesses, municipalities, and
    states commenced actions against Monsanto in state and federal courts across the
    country, asserting claims for personal injuries, environmental clean-up costs,
    property damage, and other harms allegedly caused by exposure to or
    contamination by PCBs originally manufactured by Monsanto. In August 2016,
    after losing an eight-figure judgment in one such case (and while countless other
    such cases were in active litigation or settlement negotiations, with still more being
    filed anew), Monsanto sent Niagara a letter, through counsel, “demand[ing]” that
    Niagara “defend, indemnify[,]and hold harmless” Monsanto “in connection with
    all current and future PCB-related litigation wherein . . . Monsanto is, or will be,
    named as a defendant, and for the amount of any resulting judgments (if any) and
    settlements, to the full extent required by the Special Undertaking.” 
    Id. at 22
    .
    Monsanto further stated that “Niagara . . . will be held liable for the amount of the
    resulting settlements or judgments (if any) [in the PCB-related actions against
    Monsanto,] as well as the incurred costs, expert witness fees, attorney’s fees, and
    all other reasonable expense incurred in defending [such] actions.” 
    Id.
     (emphasis
    added). Appended to this letter was a chart enumerating forty-six relevant cases
    pending against Monsanto. Niagara responded with a letter from its own counsel,
    7
    denying any and all liability to Monsanto. To date, Monsanto has not commenced
    formal legal action against Niagara.
    In early 2020, Niagara learned that Magnetek, Inc. – another industrial
    manufacturer that had sourced PCBs from Monsanto pursuant to a contract
    substantially identical to the Special Undertaking – had been sued by Monsanto
    but was able to obtain coverage from its historical insurance carrier.                   This
    prompted Niagara to further investigate and to ultimately identify Admiral as its
    own historical liability insurance carrier from the 1970s. Thus, in March 2020,
    Niagara gave Admiral notice of Monsanto’s underlying demands and tendered its
    own “demand[]” that Admiral “defend and indemnify Niagara . . . in connection
    with any and all claims made by Monsanto.” 
    Id. at 35
    . One month later, Admiral
    denied coverage for reasons including Niagara’s putative failure to timely notify
    Admiral of Monsanto’s underlying demands. 1
    Shortly thereafter, in May 2020, Admiral filed its complaint in district court,
    seeking a declaration that it has no obligation to defend or indemnify Niagara in
    connection with the claims asserted in or arising out of Monsanto’s 2016 demand
    1Additionally, in June 2020, Niagara discovered through media reports of Bayer AG settlements
    of certain PCB-related litigation that sought recovery from Monsanto. Niagara was not involved
    in the settlement discussions, and neither Bayer nor Monsanto sought indemnification from
    Niagara for the settlement.
    8
    letter. On September 1, 2020, Niagara moved to dismiss the complaint for lack of
    subject-matter jurisdiction, arguing principally that Admiral’s action did not
    present a justiciable “case of actual controversy” under the DJA.        
    28 U.S.C. § 2201
    (a). The same day, Admiral cross-moved for summary judgment. On
    September 29, 2021, the district court issued an opinion and order granting
    Niagara’s motion to dismiss and thus declining to reach the merits of Admiral’s
    cross-motion for summary judgment. The district court concluded that there was
    no “case or controversy” under the DJA because there was no “practical
    likelihood” that “Niagara will incur liability . . . to Monsanto in connection with
    the PCB-related litigation.” Sp. App’x at 9–10. For support, the district court
    noted, among other things, that (1) “to date, Monsanto ha[d] filed no lawsuit
    against Niagara” and “never explicitly threatened to sue Niagara,” and (2)
    “questions over the validity, scope, and enforceability of the Special Undertaking”
    remain. 
    Id. at 5, 10
    .
    Admiral timely appealed.
    II.   STANDARD OF REVIEW
    On appeal from a dismissal for lack of subject-matter jurisdiction, we review
    the district court’s legal conclusions de novo, Amidax Trading Grp. v. S.W.I.F.T.
    9
    SCRL, 
    671 F.3d 140
    , 145 (2d Cir. 2011), and its factual findings for clear error, Zappia
    Middle E. Constr. Co. v. Emirate of Abu Dhabi, 
    215 F.3d 247
    , 249 (2d Cir. 2000). In so
    doing, “we draw all facts – which we assume to be true unless contradicted by
    more specific allegations or documentary evidence – from the complaint and from
    the exhibits attached thereto,” and “we construe all reasonable inferences . . . in
    [the non-movant’s] favor.” Amidax Trading Grp., 671 F.3d at 145.
    III.   DISCUSSION
    A.    Justiciability
    1.     Applicable Law
    Article III of the Constitution limits the “judicial Power of the United States”
    to “Cases” and “Controversies.” U.S. Const. art. III, §§ 1–2; see Spokeo, Inc. v. Robins,
    
    578 U.S. 330
    , 337 (2016) (“[N]o principle is more fundamental to the judiciary’s
    proper role in our system of government than the constitutional limitation of
    federal-court jurisdiction to actual cases or controversies.” (emphasis added;
    citation omitted)).    As a corollary, federal courts may not “decide abstract
    questions,” Socialist Lab. Party v. Gilligan, 
    406 U.S. 583
    , 586 (1972), or “give opinions
    advising what the law would be upon a hypothetical state of facts,” Chafin v.
    Chafin, 
    568 U.S. 165
    , 172 (2013) (internal quotation marks and alteration omitted).
    10
    The DJA provides that “[i]n a case of actual controversy within its
    jurisdiction, . . . any court of the United States . . . may declare the rights and other
    legal relations of any interested party seeking such declaration, whether or not
    further relief is or could be sought.” 
    28 U.S.C. § 2201
    (a) (emphasis added). In other
    words, the DJA “creates a means by which rights and obligations may be
    adjudicated in cases involving an actual controversy that has not reached the stage
    at which either party may seek a coercive remedy.” United States v. Doherty, 
    786 F.2d 491
    , 498 (2d Cir. 1986) (citation omitted); see 
    id.
     at 498–99 (“[T]he
    declaratory[-]judgment procedure enables a party who is . . . threatened . . . in the
    enjoyment of what he claims to be his rights[] to initiate the proceedings against
    his tormentor and remove the cloud by an authoritative determination of the
    plaintiff’s legal right . . . and the defendant’s absence of right . . . .” (internal
    quotation marks and alteration omitted)). The Supreme Court has “explained that
    the phrase ‘case of actual controversy’ in the [DJA] refers to the [same] type of
    ‘Cases’ and ‘Controversies’ that are justiciable under Article III.” MedImmune, Inc.
    v. Genentech, Inc., 
    549 U.S. 118
    , 127 (2007) (citing Aetna Life Ins. Co. v. Haworth,
    
    300 U.S. 227
    , 240 (1937)). Thus, the DJA “does not expand the subject[-]matter
    jurisdiction of the federal courts,” Nike, Inc. v. Already, LLC, 
    663 F.3d 89
    , 95 (2d Cir.
    11
    2011) (emphasis added), aff’d, 
    568 U.S. 85
     (2013); rather, the “relevant inquiry for
    [the DJA’s case-of-actual-controversy] prerequisite is coextensive with the analysis
    applicable to the ‘case[-]or[-]controversy’ standard embodied in Article III,” Dow
    Jones & Co. v. Harrods, Ltd., 
    237 F. Supp. 2d 394
    , 406 (S.D.N.Y. 2002) (emphasis
    added), aff'd, 
    346 F.3d 357
     (2d Cir. 2003).
    “The difference between an abstract question and a ‘controversy’
    contemplated by the [DJA] is necessarily one of degree, and it would be difficult,
    if it would be possible, to fashion a precise test for determining in every case
    whether there is such a controversy.” Md. Cas. Co. v. Pac. Coal & Oil Co., 
    312 U.S. 270
    , 273 (1941); cf. Socialist Lab. Party, 
    406 U.S. at 586
     (“It is axiomatic that the
    federal courts do not decide abstract questions . . . .”). “Basically,” however, the
    critical “question . . . is whether . . . there is a substantial controversy, between
    parties having adverse legal interests, of sufficient immediacy and reality to warrant
    the issuance of a declaratory judgment.” MedImmune, 
    549 U.S. at 127
     (quoting Md.
    Cas. Co., 
    312 U.S. at 273
    ) (emphasis added); see also Aetna Life Ins., 
    300 U.S. at 239, 241
     (explaining that an “actual controversy” within the meaning of the DJA “must
    be a real and substantial controversy admitting of specific relief through a decree
    of a conclusive character”).     “That the liability may be contingent does not
    12
    necessarily defeat jurisdiction of a declaratory[-]judgment action. Rather, courts
    should focus on the practical likelihood that the [relevant] contingencies will occur.”
    Emps. Ins. of Wausau v. Fox Ent. Grp., Inc., 
    522 F.3d 271
    , 278 (2d Cir. 2008) (quoting
    E.R. Squibb & Sons, Inc. v. Lloyd’s & Cos., 
    241 F.3d 154
    , 177 (2d Cir. 2001)) (emphasis
    added; alteration omitted); see also Associated Indem. Corp. v. Fairchild Indus., Inc.,
    
    961 F.2d 32
    , 35 (2d Cir. 1992) (same).                “Indeed, litigation over insurance
    coverage” – like the dispute before us here – “has become the paradigm for
    asserting jurisdiction despite future contingencies that will determine whether a
    controversy ever actually becomes real.” E.R. Squibb & Sons, 241 F.3d at 177
    (citation omitted).
    When applying the practical-likelihood standard in insurance coverage
    disputes, we must account for the fact that “an insurer’s duty to defend is . . .
    distinct from [its] duty to indemnify,” Euchner-USA, Inc. v. Hartford Cas. Ins. Co.,
    
    754 F.3d 136
    , 140 (2d Cir. 2014), and that insurance law applies “very different
    presumptions to each,” CGS Indus., Inc. v. Charter Oak Fire Ins. Co., 
    720 F.3d 71
    , 77
    (2d Cir. 2013) (internal quotation marks omitted). 2 Thus, we agree with Judge Cote
    2To be clear, our decisions in Euchner-USA and CGS Industries drew this distinction in the context
    of applying New York insurance law in cases where its applicability was undisputed. See
    Euchner-USA, 
    754 F.3d at 140
     (“The parties agree that New York law controls whether [the
    13
    that district courts must “distinguish between the duty to defend and the duty to
    indemnify in determining whether each issue posed in a declaratory[-]judgment
    action is ripe for adjudication.” Atl. Cas. Ins. Co. v. Value Waterproofing, Inc., 
    918 F. Supp. 2d 243
    , 261 (S.D.N.Y.), aff’d sub nom. Atl. Cas. Ins. Co. v. Greenwich Ins. Co.,
    548 F. App’x 716 (2d Cir. 2013); accord Columbia Cas. Co. v. Ga. & Fla. RailNet, Inc.,
    
    542 F.3d 106
    , 110–11 (5th Cir. 2008); Lear Corp. v. Johnson Elec. Holdings Ltd., 
    353 F.3d 580
    , 583 (7th Cir. 2003); Nationwide Ins. v. Zavalis, 
    52 F.3d 689
    , 693–94 (7th Cir.
    1995). Because “the duty to defend is triggered by the filing of a lawsuit while the
    duty to indemnify is triggered by a determination of liability,” a district court’s
    jurisdiction to declare an insurer’s duty to defend and its duty to indemnify turn
    on different inquiries – each involving the practical likelihood that the triggering
    insurer] had a duty to defend [a third party’s] action [against the insured]. In New York, an
    insurer’s duty to defend is ‘exceedingly broad’ and distinct from the duty to indemnify.” (quoting
    Auto. Ins. Co. of Hartford v. Cook, 
    7 N.Y.3d 131
    , 137 (2006))); CGS Indus., 720 F.3d at 76–77 (“The
    parties agree that New York law governs this action. . . . New York law distinguishes between
    the duty to indemnify and the duty to defend . . . .”). Here, by contrast, choice of law is a disputed
    issue: while Admiral contends that New York law governs its dispute with Niagara, Niagara
    contends that either New Jersey or Missouri law “may apply.” Niagara Br. at 22. But for purposes
    of our analysis on this point, the parties’ choice-of-law dispute is of no moment, as both New
    Jersey and Missouri courts recognize the same distinction between the duty to defend and the
    duty to indemnify as do New York courts. See, e.g., Mem'l Props., LLC v. Zurich Am. Ins. Co., 
    210 N.J. 512
    , 529 (2012) (“The duty to defend and the duty to indemnify are distinct; an insurance
    company’s duty to defend is neither identical [to] nor coextensive with its duty to indemnify.”
    (internal quotation marks omitted)); Piatt v. Ind. Lumbermen’s Mut. Ins. Co., 
    461 S.W.3d 788
    , 792
    (Mo. 2015) (en banc) (“A liability insurer’s duties to defend and indemnify are distinct. . . . The
    duty to defend is broader than the duty to indemnify.”).
    14
    event will occur. Atl. Cas. Ins. Co., 918 F. Supp. 2d at 261 (citing Columbia Cas.
    Co., 
    542 F.3d at
    110–11). With respect to the duty to defend, the district court must
    find a practical likelihood that a third party will commence litigation against the
    insured. With respect to the duty to indemnify, the court must find a practical
    likelihood that the third party will prevail in such litigation. Accordingly, a district
    court “may” well have jurisdiction to “issue a declaratory judgment on [an
    insurer’s] duty to defend,” even “while holding that the duty to indemnify is not
    ripe for adjudication.” Id.
    2.     Application
    Applying these principles here, we find that the district court correctly
    determined that it lacked jurisdiction to issue a declaratory judgment on Admiral’s
    duty to indemnify Niagara, but did not adequately perform the necessary and
    separate analysis for determining its jurisdiction to declare Admiral’s duty to
    defend Niagara.
    In the decision below, the district court properly focused its analysis on the
    “practical likelihood” of Monsanto’s taking actions that would resolve
    “contingencies” embedded in the coverage dispute between Admiral and Niagara.
    Sp. App’x at 9 (explaining that the justiciability of Admiral’s declaratory-judgment
    action “turns on whether there exists a practical likelihood that [certain]
    15
    contingencies will occur”). However, the district court’s framing of the relevant
    “contingencies” – and its assessment of what it would take for Admiral to establish
    the requisite “likelihood that th[ose] contingencies will occur,” id. at 10 – failed to
    sufficiently account for the “distinct[ion]” between “an insurer’s duty to defend”
    and its “duty to indemnify,” Euchner-USA, 
    754 F.3d at 140
    .
    Despite repeated references to multiple “contingencies,” the district court
    only articulated one: “[t]he contingency here is whether Niagara will incur liability
    for defense and indemnity to Monsanto in connection with the PCB-related
    litigation.” Sp. App’x at 9 (emphasis added). The district court “conclude[d]” that,
    “[b]ecause it is unknown whether Monsanto will ever pursue future litigation
    against Niagara and the validity and scope of the Special Undertaking is also
    undetermined, future litigation that may require Admiral to indemnify Niagara is
    unlikely.” Id. at 14 (emphasis added; internal quotation marks and alterations
    omitted). Accordingly, the district court found that Admiral “has failed to show
    that there is a practical likelihood that” the relevant “contingencies will occur.” Id.
    at 10. 3 Meanwhile, the district court appears not to have assessed the practical
    likelihood of whether Monsanto will sue Niagara – and instead, simply relied on
    3   It bears emphasizing that the district court did not state what the other “contingencies” were.
    16
    the fact that “[t]o date, Monsanto has not [already] filed suit against Niagara” or
    “explicitly threatened” to do so. Id. at 5 (emphasis added).
    On the one hand, because “the duty to indemnify is triggered by a
    determination of liability,” Atl. Cas. Ins, 918 F. Supp. 2d at 261, the district court’s
    finding that it is practically “unlikely” that “Niagara will incur liability . . . to
    Monsanto,” Sp. App’x at 9, 14, was sufficient to justify its conclusion that it lacked
    jurisdiction to declare Admiral’s duty to indemnify. And we find no clear error in
    that underlying finding, see Zappia Middle E. Constr., 
    215 F.3d at 249
    , given the
    district court’s careful analysis of the “undetermined” status of the “validity and
    scope of the Special Undertaking” upon which Monsanto’s theory of Niagara’s
    liability was premised, Sp. App’x at 14. We therefore affirm the district court’s
    jurisdictional ruling on the duty-to-indemnify component of Admiral’s
    declaratory-judgment action.
    On the other hand, because “the duty to defend is triggered by the filing of
    a lawsuit,” Atl. Cas. Ins., 918 F. Supp. 2d at 261, the district court’s jurisdiction to
    declare Admiral’s duty to defend Niagara properly turns on the question of
    whether there exists a “practical likelihood” that Monsanto will file suit against
    Niagara, Associated Indem., 
    961 F.2d at 35
     (citation omitted). That question is
    17
    distinct, of course, from the questions of whether Monsanto has already filed suit or
    explicitly threatened to file suit against Niagara. Thus, the mere fact that “[t]o date,
    Monsanto has n[either] filed suit against Niagara” nor “explicitly threatened” to
    do so, Sp. App’x at 5, is insufficient to justify concluding that there is no justiciable
    “case of actual controversy,” 
    28 U.S.C. § 2201
    (a), over Admiral’s duty to defend
    Niagara. Rather, the relevant question is whether “the facts alleged, under all the
    circumstances,” evince a practical likelihood that Monsanto will sue Niagara.
    MedImmune, 
    549 U.S. at 127
     (quoting Md. Cas. Co., 
    312 U.S. at 273
    ).
    Although it may be true that “[d]istrict courts in this Circuit generally” do
    “find [that] a practical likelihood exists in insurance declaratory[-]judgment
    actions where there is a separate, underlying third-party action against the
    insured” already pending, Sp. App’x at 11, that is a sufficient – rather than
    necessary – condition for finding jurisdiction to declare an insurer’s duty to defend
    an insured. Indeed, we have explicitly clarified that, in this context, the mere
    “threat of future litigation remains relevant in determining whether an actual
    controversy exists.” Nike, 
    663 F.3d at 96
    . And applying that principle, we have
    routinely exercised subject-matter jurisdiction over insurers’ declaratory-
    judgment actions that were filed – and decided by district courts – before the
    18
    relevant third party had filed suit against the insured. See, e.g., Am. Ins. Co. v.
    Fairchild Indus., Inc., 
    56 F.3d 435
    , 438–39 (2d Cir. 1995). 4
    We therefore remand, pursuant to our practice under United States v.
    Jacobson, 
    15 F.3d 19
     (2d Cir. 1994), for the district court to “reconsider its prior
    conclusion” regarding the justiciability of the duty-to-defend component of
    Admiral’s declaratory-judgment action, Florez v. CIA, 
    829 F.3d 178
    , 189 (2d Cir.
    2016).    In particular, we instruct the district court on remand to assess the
    “practical likelihood,” Emps. Ins. of Wausau, 
    522 F.3d at 278
     (citation omitted), that
    Monsanto will commence formal litigation against Niagara to vindicate the
    positions staked out in the 2016 Demand Letter.
    4 The district court considered American Insurance Co. “inapposite” because “[a]side from the fact
    that justiciability was not the issue before the court in that case, . . . it was evident that a practical
    likelihood of liability existed” there. Sp. App’x at 13. With regard to the district court’s passing
    comment that “justiciability was not the issue before the court in that case,” we emphasize that
    because “[a]n appellate federal court” always “must satisfy itself not only of its own
    [subject-matter] jurisdiction, but also of that of the lower courts in a cause under review,” Mitchell
    v. Maurer, 
    293 U.S. 237
    , 244 (1934), justiciability is always implicitly at issue – even where “neither
    party has questioned [it],” Liberty Mut. Ins. Co. v. Wetzel, 
    424 U.S. 737
    , 740 (1976). See also Mt.
    Healthy City Sch. Dist. Bd. of Educ. v. Doyle, 
    429 U.S. 274
    , 278 (1977) (“[W]e are obliged to inquire
    [nostra] sponte whenever a doubt arises as to the existence of federal jurisdiction.” (emphasis
    added)). Thus, the very fact that we decided American Insurance Co. on the merits, without
    “inquir[ing] [nostra] sponte” into a potential defect in justiciability, suggests that we found that
    case to be a justiciable controversy. Mt. Healthy, 
    429 U.S. at 278
    . And “[w]hile such . . . sub silentio
    jurisdictional ruling[s]” are not strictly “binding precedent in this [C]ourt,” we have recognized
    their significant instructive value. Brooks v. Flagg Bros., Inc., 
    553 F.2d 764
    , 774 (2d Cir. 1977), rev’d
    on other grounds, 
    436 U.S. 149
     (1978).
    19
    “In the interests of judicial economy and orderly resolution of this matter,
    we find prudent a limited remand” under Jacobson to allow the district court to
    conduct this inquiry “in the first instance, and to conduct any further fact-finding
    that may be required” to that end. Florez, 829 F.3d at 189 (citation omitted). Once
    it has done so, the district court may “then return its determination to [this panel]
    for consideration without the need for a new notice of appeal, briefing schedule,
    and reassignment to a new panel unfamiliar with the case.” Id. 5
    B.      Discretion to Decline Jurisdiction Under the DJA
    Of course, should the district court determine on remand that it has
    jurisdiction to declare Admiral’s duty to defend Niagara, it may nevertheless
    decline to exercise such jurisdiction. That is because the DJA provides only that
    federal courts “may declare the rights and other legal relations of an[] interested
    party seeking such declaration” in “a case of actual controversy” – not that they
    must so declare. 
    28 U.S.C. § 2201
    (a) (emphasis added). We “have consistently
    5 Once the district court has issued its decision on remand, “either party may restore jurisdiction
    to this panel by filing a letter with the Clerk of this Court” within thirty days after the district
    court’s entry of such order, “set[ting] forth the grounds for claiming error in the [d]istrict [c]ourt’s
    decision and attach[ing] a copy of [its] order.” Florez, 829 F.3d at 190. “Upon the filing of such a
    letter, the opposing party may file a response . . . within fourteen days.” Id. But “[i]f neither party
    files an initial letter within thirty days of the [district-court] order’s entry, appellate jurisdiction
    will be restored automatically, and an order affirming the [d]istrict [c]ourt will issue
    immediately.” Id.
    20
    interpreted this permissive language as a broad grant of discretion to district
    courts to refuse to exercise jurisdiction over a declaratory action that they would
    otherwise be empowered to hear.” Dow Jones & Co. v. Harrods Ltd., 
    346 F.3d 357
    ,
    359 (2d Cir. 2003).     Nevertheless, because there appears to be considerable
    confusion among the district courts of this Circuit regarding just how broad that
    discretion really is, we write to clarify the legal standard that governs district
    courts’ discretion to decline to issue declaratory judgments in “case[s] of actual
    controversy” that are otherwise “within [their] jurisdiction.” 
    28 U.S.C. § 2201
    (a).
    In Broadview Chemical Corp. v. Loctite Corp., we held that “[t]he two principal
    criteria guiding the policy in favor of rendering declaratory judgments are
    (1) when the judgment will serve a useful purpose in clarifying and settling the
    legal relations in issue, and (2) when it will terminate and afford relief from the
    uncertainty, insecurity, and controversy giving rise to the proceeding.” 
    417 F.2d 998
    , 1001 (2d Cir. 1969) (quoting Edwin Borchard, Declaratory Judgments 299 (2d
    ed. 1941)). We further held that “[i]t follows as a general corollary to this rule that
    if either of these objectives can be achieved[,] the action should be entertained and
    21
    the failure to do is error.” 
    Id.
     6 We reaffirmed that holding in 1992, when we held
    that “a [district] court must entertain a declaratory[-]judgment action: (1) when
    the judgment will serve a useful purpose in clarifying and settling the legal
    relations in issue, or (2) when it will terminate and afford relief from the
    uncertainty, insecurity, and controversy giving rise to the proceeding. . . . If either
    prong is met, the action must be entertained.” Cont’l Cas. Co. v. Coastal Sav. Bank,
    
    977 F.2d 734
    , 737 (2d Cir. 1992) (citing Broadview, 
    417 F.2d at 1001
    ) (emphasis
    added). Under that rigid, mandatory standard, district courts’ “discretion” to
    decline jurisdiction under the DJA was – for all intents and purposes – discretion
    in name only. It is difficult, after all, to imagine a scenario in which the issuance
    of a declaratory judgment would not “serve a useful purpose in clarifying . . . the
    6 We note that Broadview’s holding is actually not a “general corollary” to the “rule” enunciated
    by Professor Borchard in Declaratory Judgments, the source from which Broadview derived its
    factors. 
    417 F.2d at 1001
    . Borchard identified the “useful[-]purpose” factor and the “termination”
    factor and then stated that “when neither of the[] results [contemplated by those factors] can be
    accomplished, the court should decline to render the declaration prayed.” Borchard, supra, at 299
    (emphasis added). It does not follow from that statement that if either the “useful purpose” or
    “termination” factor is satisfied, then the court must render the declaration sought. To conclude
    as much – as Broadview did – is to succumb to the “fallacy of denying the antecedent.” Crouse-
    Hinds Co. v. InterNorth, Inc., 
    634 F.2d 690
    , 702 n.20 (2d Cir. 1980) (“The proposition that ‘A
    implies B’ is not the equivalent of ‘non-A implies non-B,’ and neither proposition follows logically
    from the other. The process of inferring one from the other is known as the ‘fallacy of denying
    the antecedent.’” (citing John Cooley, A Primer of Formal Logic 7 (1942))). Thus, according to
    Borchard, it is entirely possible that either factor could be satisfied, and a district court could still
    permissibly decline to entertain the action.
    22
    legal relations in issue” or “afford relief from the uncertainty . . . giving rise to the
    proceeding.” Cont’l Cas., 
    977 F.2d at 737
    .
    Shortly after we decided Continental Casualty, the Supreme Court handed
    down a decision casting significant doubt on our cribbed view of the discretion
    afforded to district courts under the DJA. In Wilton v. Seven Falls Co., the Court
    repeatedly emphasized “the unique breadth of [district courts’] discretion to
    decline to enter a declaratory judgment.” 
    515 U.S. 277
    , 287 (1995); see also 
    id. at 279
    ,
    282–83, 286–88 (using similar language). Along the way, the Court also rejected
    arguments that closely mirrored the holdings of Broadview and Continental
    Casualty, namely, that “[d]istrict courts must hear declaratory judgment cases
    absent exceptional circumstances,” and that “district courts may decline [to do so
    only] if no beneficial purpose is thereby served or if equity otherwise counsels.”
    
    Id. at 287
     (emphasis in original; citation omitted).
    Candidly, our post-Wilton caselaw has been less than a model of clarity in
    its treatment of the Broadview/Continental Casualty factors. In Dow Jones (decided
    six years after Wilton), we did not expressly address the mandatory character of
    the Broadview prongs. We did, however, cite Wilton for the general proposition
    that “district courts” have “broad . . . discretion” under the DJA “to refuse to
    23
    exercise jurisdiction over a declaratory action that they would otherwise be
    empowered to hear.” 
    Id.
     (citing Wilton, 
    515 U.S. at
    282–83). And we characterized
    the Broadview factors merely as “factors that this . . . [C]ircuit[] ha[s] developed to
    guide the exercise of discretion in [DJA] cases.” Dow Jones, 
    346 F.3d at 359
     (emphasis
    added). Without much analysis, we also noted that the district court in Dow Jones
    had “balanced” the two Broadview factors alongside three additional “factors
    that . . . other circuits have developed to guide the exercise of discretion in [DJA]
    cases,” including:      “whether the proposed remedy is being used merely for
    ‘procedural fencing’ or a ‘race to res judicata’”; “whether the use of a declaratory
    judgment would increase friction between sovereign legal systems or improperly
    encroach on the domain of a state or foreign court”; and “whether there is a better
    or more effective remedy.” 
    Id.
     at 359–60 (citing NUCOR Corp. v. Aceros Y Maquilas
    de Occidente, S.A. de C.V., 
    28 F.3d 572
    , 577 (7th Cir. 1994); Grand Trunk R.R. Co. v.
    Consol. Rail Corp., 
    746 F.2d 323
    , 326 (6th Cir. 1984)) (emphasis added). We did not
    specify, however, whether we were adopting the “other circuits[’]” factors. In the
    end, we ultimately affirmed the district court’s decision to “decline to exercise
    discretionary jurisdiction over the action,” based on its “detailed analysis” of “all”
    “five . . . factors.” 
    Id. at 360
    .
    24
    In New York v. Solvent Chemical Co., 
    664 F.3d 22
     (2d Cir. 2011), we added to
    the confusion. There, we stated that “a district court must inquire” into all five
    factors laid out in Dow Jones. 
    Id. at 26
     (emphasis added). But this consolidation of
    factors collapsed Dow Jones’s distinction between the Broadview factors, comprising
    “this Court[’s] . . . test,” and those factors that were components of “[o]ther
    circuits[’] . . . test[s].” Dow Jones, 
    346 F.3d at 359
     (emphasis added). 7
    And then, just a year later, we muddied the waters even further by reverting
    to Dow Jones’s categorization of the five factors – stating that the first two factors
    (again, the Broadview factors) constitute “our test” while the next three are merely
    “additional factors” that “[o]ther circuits have added” into their tests. Niagara
    Mohawk Power Corp. v. Hudson River-Black River Regul. Dist., 
    673 F.3d 84
    , 105 (2d
    Cir. 2012) (emphasis added). Thus, for all our tinkering, we have still not clearly
    stated whether the Broadview/Continental Casualty factors remain mandatory after
    Wilton.
    7Although we stated in Solvent Chemical that “a district court must inquire” into all five factors,
    we did not say that a district court must entertain a declaratory-judgment action if any one of
    those factors was satisfied. 
    664 F.3d at 26
     (emphasis added). Rather, we simply concluded that
    “in th[at particular] case,” the combined effect of all “[t]he[] factors” was to “require [the] district
    court to issue a declaratory judgment.” 
    Id.
     (emphasis added).
    25
    Not surprisingly, this lack of clear guidance has resulted in a significant split
    of authority among the district courts of our Circuit. While most have continued
    to apply the Broadview/Continental Casualty mandatory standard in strict fashion, 8
    many others have treated our post-Wilton decisions as abandoning that standard
    and replacing it with an open-ended, multi-factor balancing test. 9                       See ICBC
    8  See, e.g., Paul Rudolph Found. v. Paul Rudolph Heritage Found., No. 20-cv-8180 (CM),
    
    2021 WL 4482608
    , at *9 (S.D.N.Y. Sept. 30, 2021); Am. Empire Surplus Lines Ins. Co. v. Uplift Elevator
    of NY Inc., No. 20-cv-3246 (PGG), 
    2021 WL 7709971
    , at *8 (S.D.N.Y. May 26, 2021); Roller v. Red
    Payments L.L.C., No. 19-cv-5285 (GRB), 
    2021 WL 505558
    , at *5 (E.D.N.Y. Feb. 11, 2021); Disability
    Rts. N.Y. v. N.Y. State Dep’t of Corr. & Cmty. Supervision, No. 18-cv-980 (GTS), 
    2019 WL 4643814
    ,
    at *23 (N.D.N.Y. Sept. 24, 2019), partial reconsideration granted on other grounds, 
    2020 WL 6484049
    (N.D.N.Y. Nov. 4, 2020); H&H Env’t Sys., Inc. v. Evanston Ins. Co., No. 18-cv-06315 (EAW),
    
    2019 WL 1129434
    , at *5 (W.D.N.Y. Mar. 12, 2019); Dubov v. Lewis, No. 18-cv-3854 (PAE),
    
    2019 WL 1060652
    , at *2 (S.D.N.Y. Mar. 6, 2019); Trs. of N.Y.C. Dist. Council of Carpenters Pension
    Fund v. Champion Int’l Constr. Corp., No. 18-cv-5881 (JGK), 
    2018 WL 5635218
    , at *2 (S.D.N.Y.
    Oct. 30, 2018); Am. Time Exch., LLC v. Tissot SA, No. 17-cv-4737 (VM), 
    2017 WL 4712634
    , at *3
    (S.D.N.Y. Sept. 27, 2017); Armstrong Pump, Inc. v. Hartman, No. 10-cv-446S (HBS),
    
    2017 WL 3971296
    , at *23 (W.D.N.Y. Sept. 8, 2017); Intrepidus, LLC v. Bivins, No. 15-cv-7721 (LTS),
    
    2017 WL 1608896
    , at *6 (S.D.N.Y. Apr. 28, 2017); Simoniz USA, Inc. v. Dollar Shave Club, Inc.,
    No. 16-cv-688 (VAB), 
    2016 WL 7197361
    , at *6 (D. Conn. Dec. 9, 2016); Ace Arts, LLC v. Sony/ATV
    Music Pub., LLC, 
    56 F. Supp. 3d 436
    , 446 (S.D.N.Y. 2014); Precimed Inc. v. ECA Med. Instruments,
    No. 13-cv-761 (HBS), 
    2014 WL 317086
    , at *8 (W.D.N.Y. Jan. 28, 2014), adopted in relevant part,
    No. 13-cv-761 (RJA), 
    2014 WL 1883584
     (W.D.N.Y. May 12, 2014); Daebo Int’l Shipping Co. v. Ams.
    Bulk Transp. Ltd., No. 12-cv-7960 (PAE), 
    2013 WL 2149595
    , at *3 (S.D.N.Y. May 17, 2013); Chevron
    Corp. v. Salazar, No. 11-cv-691 (LAK), 
    2011 WL 3628843
    , at *5 n.35 (S.D.N.Y. Aug. 17, 2011).
    9 See, e.g., Rapillo v. CitiMortgage, Inc., No. 15-cv-5976 (KAM), 
    2018 WL 1175127
    , at *6 n.8 (E.D.N.Y.
    Mar. 5, 2018) (“Subsequent decisions from the Supreme Court and the Second Circuit indicate
    that the[] two [Broadview/Continental Casualty] factors are not mandatory.”); McCullough v. World
    Wrestling Ent., Inc., No. 15-cv-1074 (VLB), 
    2016 WL 3962779
    , at *16 (D. Conn. July 21, 2016)
    (“disagree[ing] with” litigant’s “argu[ment] that the Second Circuit has never explicitly abrogated
    its [mandatory] language in Broadview Chem[ical] Corp that if either of the first two factors [is]
    met[,] a district court must not decline to exercise jurisdiction”); Lafarge Can. Inc. v. Am. Home
    Assurance Co., No. 15-cv-8957 (RA), 
    2018 WL 1634135
    , at *9 (S.D.N.Y. Mar. 31, 2018) (“Continental
    Casualty Co. . . . was decided before the Supreme Court gave the district courts ‘unique and
    26
    Standard Sec., Inc. v. Luzuriaga, 
    217 F. Supp. 3d 733
    , 738 n.1 (S.D.N.Y. 2016)
    (discussing other district courts’ confusion over whether “Continental Casualty’s
    mandatory standard” – that is, its “test mandating [the exercise of] jurisdiction
    when either of the two [Broadview] factors is met” – remains viable).
    Despite their lack of clarity, our post-Wilton decisions are best read as
    having abandoned the mandatory standard we had previously announced in
    Broadview and Continental Casualty. None of those decisions has referred to, let
    alone endorsed, Broadview’s or Continental Casualty’s language mandating that a
    district court must entertain a declaratory-judgment action if either Broadview
    factor is satisfied.      Indeed, while we have occasionally cited Broadview and
    Continental Casualty following Wilton for the two “factors” or “prongs” that they
    enumerated, it has been more than thirty years since any of our cases has invoked
    Continental Casualty’s “must be entertained” language, 
    977 F.2d at 737
    , or even
    Broadview’s “should be entertained” language, 
    417 F.2d at 1001
    . See Albradco, Inc.
    v. Bevona, 
    982 F.2d 82
    , 87 (2d Cir. 1992). Meanwhile, all have identified other
    factors that district courts either may, see Dow Jones, 
    346 F.3d at
    359–60; Niagara
    substantial’ DJA discretion in Wilton . . . , and the Second Circuit thus applied a standard more
    stringent [in Continental Casualty Co.] than courts do today.” (quoting Wilton, 
    515 U.S. at
    289–90));
    Ray Legal Consulting Grp. v. Gray, 
    37 F. Supp. 3d 689
    , 700 (S.D.N.Y. 2014) (characterizing the two
    Broadview/Continental Casualty factors merely as ones that “courts should consider”).
    27
    Mohawk Power, 
    673 F.3d at 105
    , or must, see Solvent Chem., 
    664 F.3d at 26
    , consider
    alongside the two Broadview factors – which would hardly make sense unless they
    were implicitly holding that the Broadview factors are no longer dispositive in their
    own right. Through it all, our post-Wilton cases have consistently emphasized that
    district courts have “broad . . . discretion . . . to refuse to exercise jurisdiction over
    a declaratory action that they would otherwise be empowered to hear.” Dow Jones,
    
    346 F.3d at 359
    ; see also Niagara Mohawk Power, 
    673 F.3d at 105
    , 106 n.7 (similarly
    referring to district courts’ “broad discretion”). And it would hardly constitute
    meaningful discretion – much less broad discretion – to insist that district courts
    “must” exercise their jurisdiction to issue a declaratory judgment whenever one
    would “serve a useful purpose in clarifying . . . the legal relations in issue” or
    “afford relief from the uncertainty . . . giving rise to the proceeding.” Cont’l Cas.,
    
    977 F.2d at 737
    .
    Thus, consistent with our post-Wilton decisions, we now clarify that even in
    circumstances “when [a declaratory] judgment [would] serve a useful purpose in
    clarifying and settling the legal relations in issue” or “terminate and afford relief
    from the uncertainty, insecurity, and controversy giving rise to the proceeding,”
    Cont’l Cas., 
    977 F.2d at
    737 (citing Broadview, 
    417 F.2d at 1001
    ), district courts retain
    28
    “broad discretion” to decline jurisdiction under the DJA, Niagara Mohawk Power,
    
    673 F.3d at
    106 n.7. We further clarify that the following considerations, “to the
    extent they are relevant” in a particular case, Reifer v. Westport Ins. Corp., 
    751 F.3d 129
    , 146 (3d Cir. 2014), should inform a district court’s exercise of such discretion:
    (1) “whether the [declaratory] judgment [sought] will serve a useful purpose in
    clarifying or settling the legal issues involved”; (2) “whether [such] a judgment
    would finalize the controversy and offer relief from uncertainty”; (3) “whether the
    proposed remedy is being used merely for procedural fencing or a race to res
    judicata”; (4) “whether the use of a declaratory judgment would increase friction
    between sovereign legal systems or improperly encroach on the domain of a state
    or foreign court”; (5) “whether there is a better or more effective remedy,” Niagara
    Mohawk Power, 
    673 F.3d at 105
     (citations omitted); and (6) whether concerns for
    “judicial efficiency” and “judicial economy” favor declining to exercise
    jurisdiction, Reifer, 751 F.3d at 141, 149 (citation omitted); see infra note 10
    (collecting additional cases applying this factor).
    Inherent in district courts’ “broad . . . discretion” to decline jurisdiction
    under the DJA, Dow Jones, 
    346 F.3d at 359
    , is a similarly broad discretion to weigh
    the factors we have enumerated here. Thus, no one factor is sufficient, by itself, to
    29
    mandate that a district court exercise – or decline to exercise – its jurisdiction to
    issue a declaratory judgment. Likewise, “[t]hese factors are non-exhaustive,”
    Reifer, 751 F.3d at 146, with district courts retaining wide latitude to address other
    factors as relevant to the ultimate question of whether “the normal principle that
    federal courts should adjudicate claims [over which they have] jurisdiction”
    should “yield[] to considerations of practicality and wise judicial administration”
    in a particular case, Wilton, 
    515 U.S. at 288
    .
    Nevertheless, district courts’ “broad discretion” to weigh these and other
    relevant factors is not altogether “unfettered.” Niagara Mohawk Power, 
    673 F.3d at 105
    . To the contrary, there are “three principal ways” in which “an abuse of
    discretion can occur” in this context: (1) “when a relevant factor that should have
    been given significant weight is not considered”; (2) “when an irrelevant or
    improper factor is considered and given significant weight”; and (3) “when all
    proper factors, and no improper ones, are considered, but the court, in weighing
    those factors, commits a clear error of judgment.” Ameritas Variable Life Ins. Co. v.
    Roach, 
    411 F.3d 1328
    , 1330 (11th Cir. 2005) (internal quotation marks omitted); see
    also Dow Jones, 
    346 F.3d at 359
     (“The Supreme Court has . . . made it clear that this
    30
    broad discretion is reviewed deferentially, for abuse of discretion.” (citing Wilton,
    
    515 U.S. at 289
    ; Brillhart v. Excess Ins. Co., 
    316 U.S. 491
    , 494–95 (1942))).
    This framework is faithful to the permissive language of the DJA, see 
    28 U.S.C. § 2201
    (a), and is consistent with Wilton’s command to afford district courts
    broad deference in declaratory-judgment actions. It is also in step with the law of
    each of our sister circuits. 10
    IV.     CONCLUSION
    For the foregoing reasons, we AFFIRM the district court’s ruling that it
    lacked jurisdiction to declare Admiral’s duty to indemnify Niagara; and
    10 The Third, Fourth, Fifth, Sixth, Seventh, Eighth, Tenth, Eleventh, Federal, and D.C. Circuits
    have all held that district courts’ discretion to decline jurisdiction under the DJA is “guide[d]” by
    an open-ended, multi-factor balancing test in which district courts “should meaningfully
    consider” a variety of factors – no one of which mandates the exercise of jurisdiction. Reifer, 751
    F.3d at 141 & n.13, 146 & n.22 (emphasis added; citation omitted); accord Centennial Life Ins. Co. v.
    Poston, 
    88 F.3d 255
    , 256–58 (4th Cir. 1996); Sherwin-Williams Co. v. Holmes County, 
    343 F.3d 383
    ,
    389–91 (5th Cir. 2003); W. World Ins. Co. v. Hoey, 
    773 F.3d 755
    , 758–61 (6th Cir. 2014); Amling v.
    Harrow Indus. LLC, 
    943 F.3d 373
    , 379–80 (7th Cir. 2019); Scottsdale Ins. Co. v. Detco Indus., Inc., 
    426 F.3d 994
    , 996–99 (8th Cir. 2005); United States v. City of Las Cruces, 
    289 F.3d 1170
    , 1180, 1186–92
    (10th Cir. 2002); Ameritas Variable Life Ins., 
    411 F.3d at
    1330–32; Warsaw Orthopedic, Inc. v. Sasso,
    
    977 F.3d 1224
    , 1229–32 (Fed. Cir. 2020); Morgan Drexen, Inc. v. CFPB, 
    785 F.3d 684
    , 695–98 (D.C.
    Cir. 2015). The Ninth Circuit has adopted a substantively similar test, see Huth v. Hartford Ins. Co.
    of the Midwest, 
    298 F.3d 800
    , 802–04 (9th Cir. 2002), albeit with the modest qualification that a
    “[d]istrict [c]ourt cannot decline to entertain [a declaratory-judgment] action as a matter of whim
    or personal disinclination,” 
    id. at 803
     (citation omitted). The First Circuit has taken an even more
    broadly permissive view of district courts’ discretion under the DJA. See DeNovellis v. Shalala, 
    124 F.3d 298
    , 313 (1st Cir. 1997) (holding simply that “[district] courts have broad discretion to decline
    to enter a declaratory judgment,” without enumerating specific factors that district courts must
    consider in exercising such discretion).
    31
    REMAND, pursuant to our practice under Jacobson, see 
    15 F.3d at 22
    , for the district
    court to determine (1) whether there is a justiciable “case of actual controversy,”
    
    28 U.S.C. § 2201
    (a), over Admiral’s duty to defend Niagara, and (2) if so, whether
    to exercise its discretion – as guided by the framework clarified above – to decline
    jurisdiction. Consistent with Jacobson, appellate jurisdiction will be restored to this
    panel after the district court has supplemented the record and reconsidered its
    prior decision on remand.
    32
    

Document Info

Docket Number: 21-2733

Filed Date: 1/6/2023

Precedential Status: Precedential

Modified Date: 1/6/2023

Authorities (44)

Vincent DeNOVELLIS, Plaintiff, Appellant, v. Donna E. ... , 124 F.3d 298 ( 1997 )

United States v. City of Las Cruces , 289 F.3d 1170 ( 2002 )

Euchner-USA, Inc. v. Hartford Casualty Insurance , 754 F.3d 136 ( 2014 )

United States v. Jacobson , 15 F.3d 19 ( 1994 )

Associated Indemnity Corp. v. Fairchild Industries, Inc. , 961 F.2d 32 ( 1992 )

Ameritas Variable Life Insurance v. Roach , 411 F.3d 1328 ( 2005 )

Continental Casualty Co. v. Coastal Savings Bank , 977 F.2d 734 ( 1992 )

Albradco, Inc. v. Bevona , 982 F.2d 82 ( 1992 )

New York v. Solvent Chemical Co., Inc. , 664 F.3d 22 ( 2011 )

Zappia Middle East Construction Company Limited v. The ... , 215 F.3d 247 ( 2000 )

Crouse-Hinds Company, Plaintiff-Counterclaim-Defendant-... , 634 F.2d 690 ( 1980 )

Employers Insurance v. Fox Entertainment Group, Inc. , 522 F.3d 271 ( 2008 )

United States v. Joseph Patrick Thomas Doherty , 786 F.2d 491 ( 1986 )

Niagara Mohawk Power Corp. v. Hudson River-Black River ... , 673 F.3d 84 ( 2012 )

Sherwin-Williams Co. v. Holmes County , 343 F.3d 383 ( 2003 )

Columbia Casualty Co. v. Georgia & Florida Railnet, Inc. , 542 F.3d 106 ( 2008 )

Nike, Inc. v. ALREADY, LLC , 663 F.3d 89 ( 2011 )

Broadview Chemical Corporation v. Loctite Corporation , 417 F.2d 998 ( 1969 )

Dow Jones & Company, Inc. v. Harrods Limited, and Mohamed ... , 346 F.3d 357 ( 2003 )

The Centennial Life Insurance Company v. Barbara Poston ... , 88 F.3d 255 ( 1996 )

View All Authorities »