Janya Sawyer v. Foster Wheeler LLC , 860 F.3d 249 ( 2017 )


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  •                                     PUBLISHED
    UNITED STATES COURT OF APPEALS
    FOR THE FOURTH CIRCUIT
    No. 16-1530
    JANYA SAWYER, Representative of the Estate of Joseph W. Morris;
    GARNETTE MORRIS, Individually and as Surviving Spouse of Joseph W.
    Morris; NANCY PIKE, Surviving Child of Joseph W. Morris; EDWARD
    MORRIS, Surviving Child of Joseph W. Morris; WAYNE MORRIS, Surviving
    Child of Joseph W. Morris; JOANNE TRAYNOR, Surviving Child of Joseph W.
    Morris,
    Plaintiffs - Appellees,
    v.
    FOSTER WHEELER LLC,
    Defendant - Appellant,
    and
    UNION CARBIDE CORPORATION; JOHN CRANE-HOUDAILLE, INC., f/k/a
    Crane Packing Company; OWENS-ILLINOIS GLASS CO., f/k/a Owens-Illinois,
    Inc.; FOSTER WHEELER CORPORATION; HOPEMAN BROTHERS, INC.;
    UNIVERSAL REFRACTORIES COMPANY; SELBY, BATTERSBY &
    COMPANY; CBS CORPORATION, a Delaware Corporation, f/k/a Viacom, Inc.,
    f/k/a CBS Corporation, a Pennsylvania Corp., f/k/a Westinghouse Electric Corp.;
    J.H. FRANCE REFRACTORIES CO.; THE GOODYEAR TIRE & RUBBER
    CO.; MCIC, INC., and its Remaining Director of Trustees, Robert I. McCormick,
    Elizabeth McCormick and Patricia Shunk; METROPOLITAN LIFE INSURANCE
    CO.; GENERAL ELECTRIC COMPANY; BAYER CROPSCIENCE, INC.,
    Individually and as Successor in Interest to Benjamin Foster Co., Amchem
    Products, Inc., H.B. Fuller Co., Aventis CropScience USA, Inc., Rhone-Poulenc
    AG Company, Inc., Rhone-Poulenc, Inc., Rhodia Inc.; INTERNATIONAL PAPER
    COMPANY, Individually and as Successor in Interest to Champion International
    Corporation, U.S. Plywood Corp.; COOPER INDUSTRIES, INC., Individually and
    as Successors in Interest to Crouse-Hinds Co.; FERRO ENGINEERING, Division
    of On Marine Services Company; FOSECO, INC.; WAYNE MANUFACTURING
    CORPORATION; LOFTON CORPORATION, as Successor-in-Interest to Wayne
    Manufacturing Corporation, Hopeman Manufacturing Corporation; SCHNEIDER
    ELECTRIC USA, INC., f/k/a Square D Company; GREENE, TWEED & CO.,
    Individually and as Successor in Interest to Palmetto, Inc.; WALLACE & GALE
    ASBESTOS SETTLEMENT TRUST, Successor to the Wallace & Gale Company;
    CROWN, CORK & SEAL CO., INC.; GEORGIA-PACIFIC, LLC, Ind/Successor
    to BestWall Gypsum Co.; KOPPERS COMPANY, INC.; PFIZER, INC.; PHELPS
    PACKING & RUBBER CO., Phelps Industrial; PARAMOUNT PACKING &
    RUBBER, INC.; LLOYD E. MITCHELL, INC.; PECORA CORPORATION,
    Individually and as Successor in Interest to Pecora, Inc., New Pecora Corp.,
    Defendants,
    v.
    GENERAL REFRACTORIES CO.; A.W. CHESTERTON COMPANY;
    MANVILLE TRUST PERSONAL INJURY SETTLEMENT TRUST; SB
    DECKING, INC., f/k/a Selby, Battersby & Co., Inc.; UNIROYAL, INC.,
    Third Party Defendants.
    Appeal from the United States District Court for the District of Maryland, at Baltimore.
    Catherine C. Blake, Chief District Judge. (1:16-cv-00118-CCB)
    Argued: May 10, 2017                                            Decided: June 22, 2017
    Before NIEMEYER, KING, and DUNCAN, Circuit Judges.
    Reversed and remanded by published opinion. Judge Niemeyer wrote the opinion, in
    which Judge King and Judge Duncan joined.
    ARGUED: Erik David Nadolink, WHEELER TRIGG O’DONNELL, LLP, Denver,
    Colorado, for Appellant. Jeffrey John Utermohle, LAW OFFICES OF PETER G.
    ANGELOS, P.C., Baltimore, Maryland, for Appellees. ON BRIEF: Patrick C. Smith,
    John C. Ruff, DEHAY & ELLISTON, LLP, Baltimore, Maryland, for Appellant.
    2
    William G. Minkin, Demetrios A. Karas, LAW OFFICES OF PETER G. ANGELOS,
    P.C., Baltimore, Maryland, for Appellees.
    3
    NIEMEYER, Circuit Judge:
    In this appeal, we are presented with the single issue of whether a government
    contractor was entitled to remove a state tort action to federal court under 
    28 U.S.C. § 1442
    (a)(1) based on the contractor’s assertion that it had a colorable federal defense of
    government-contractor immunity.
    Joseph Morris worked as shipbuilder at the Bethlehem Steel Sparrows Point
    Shipyard, beginning in 1948 and continuing into the 1970s. He died of mesothelioma in
    2015. Morris’ family and the personal representative of his estate commenced this action
    against Foster Wheeler LLC and other defendants in a Maryland state court, alleging that
    Morris’ death was caused by exposure to asbestos while assembling boilers at the
    Shipyard and that the defendants failed to warn him of the dangers of asbestos, which
    was a component of the boilers.
    Foster Wheeler, a manufacturer of the boilers that Morris and other Shipyard
    employees assembled for use aboard U.S. Navy vessels, removed this action to federal
    court pursuant to 
    28 U.S.C. § 1442
    (a)(1), claiming that it manufactured the boilers under
    a contract with the Navy and therefore possessed a colorable federal defense of
    government-contractor immunity. The district court, however, granted the plaintiffs’
    motion to remand the case to state court, concluding that Foster Wheeler did not make a
    sufficient showing that it had a colorable federal defense and that, in any event, the
    conduct for which it was sued was not causally connected to official authority.
    On appeal, we conclude that the district court applied the wrong standard for
    determining removability under § 1442(a)(1), and, because we conclude that Foster
    4
    Wheeler met the statute’s requirements, we reverse. But because the court left open the
    question of whether Foster Wheeler’s removal was timely noticed, we remand the case to
    the district court to make that determination in the first instance.
    I
    In June 2015, Morris’ surviving spouse, his children, and the representative of his
    estate commenced this action against Foster Wheeler and other defendants in the Circuit
    Court for Baltimore City, Maryland, alleging — in claims for strict liability, breach of
    warranty, and negligence, among others — that the defendants had failed to warn Morris
    of the dangers of asbestos. They asserted that Morris was exposed to asbestos while
    working in the boiler shop at the Sparrows Point Shipyard from 1948 through the 1970s
    and that his exposure caused the mesothelioma that killed him in 2015. In response to
    interrogatories, the plaintiffs explained in more detail that Morris and other Shipyard
    employees assembled boilers containing asbestos at the Shipyard that had been
    manufactured offsite, including ones manufactured by Foster Wheeler.
    Foster Wheeler filed a notice of removal pursuant to 
    28 U.S.C. § 1446
    , claiming
    authority for removal under § 1442(a)(1), which provides for removal by federal officials
    and their agents in specified circumstances. In its notice, Foster Wheeler stated that,
    during the relevant time period, it manufactured boilers for the U.S. Navy under the
    Navy’s strict specifications; that its boilers were sent in pieces to the Sparrows Point
    Shipyard for assembly; that Morris and his fellow employees assembled the boilers at the
    Shipyard; and that the boilers contained asbestos. It asserted, moreover, that “in the
    5
    manufacture and sale of boilers and auxiliary equipment for the Navy, including all
    aspects of warnings associated with that equipment, [it] was acting under an officer or
    agency of the United States” and therefore had a colorable defense of government-
    contractor immunity, entitling it to remove the case to federal court to have that defense
    heard there.
    In support of its notice, Foster Wheeler submitted an affidavit from J. Thomas
    Schroppe, a former Foster Wheeler employee who, from 1962 to 1999, rose through the
    ranks of Foster Wheeler as an engineer and eventually became president of its subsidiary
    Boiler Corporation. Schroppe, who stated that he was “personally involved” in the
    Navy’s procurement contracts for boilers “at all the various stages of development,”
    described “the contract process from the perspective of Foster Wheeler as the vendor, as
    well as the levels of interaction between Foster Wheeler and the Navy.” He stated that
    Foster Wheeler designed boilers to match highly detailed ship specifications and military
    specifications provided by the Navy, and that “deviations from these specs were not
    acceptable.” He also spoke to the “intense direction and control” that the Navy exercised
    “over all written documentation to be delivered with its naval boilers,” explaining:
    The Navy required that every piece of equipment be supplied with a
    defined number of copies of one or more technical manuals. Navy
    personnel participated intimately in the preparation of this kind of
    information and exercised specific direction and control over its contents.
    These manuals included safety information related to the operation of naval
    boilers and economizers only to the extent directed by the Navy.
    Furthermore, the Navy had precise specifications, practices and procedures
    that governed the content of any communication affixed to machinery
    supplied by Foster Wheeler to the Navy. Foster Wheeler would not be
    permitted, under the specifications, associated regulations and procedures,
    6
    and especially under actual practice as it evolved in the field, to affix any
    type of warning or caution statement to a piece of equipment intended for
    installation onto a Navy vessel, beyond those required by the Navy.
    The plaintiffs filed a motion to remand the case to state court, arguing that Foster
    Wheeler’s notice of removal was untimely because it was filed more than 30 days after
    Foster Wheeler learned that it had a possible federal defense and that, in any event, it
    failed to meet the substantive requirements of § 1442(a)(1).          With respect to those
    requirements, the plaintiffs argued that Foster Wheeler’s evidence of the Navy’s control
    over the design of its boilers and warning labels did not establish a federal defense to
    their particular theory of liability. As the plaintiffs summarized:
    The liability asserted by Plaintiffs against Foster Wheeler is based on a
    failure to warn . . . relating to the erection of boilers. The boilers were not
    constructed upon U.S. Naval Ships, but at an off-ship boiler shop, under the
    direction of Foster Wheeler personnel, and only later transported and
    installed upon U.S. Naval ships. Navy specifications in no way restricted
    Foster Wheeler’s ability to warn individuals constructing the boilers of the
    presence of asbestos and their need to take proper precautions.
    They therefore claimed that Foster Wheeler failed to meet any of the three requirements
    for removal under § 1442(a)(1) — it did not act under the direction of a federal officer; it
    did not possess a colorable federal defense; and it did not engage in government-directed
    conduct causally related to the plaintiffs’ claims.
    In response to the plaintiffs’ motion to remand, Foster Wheeler submitted a 2006
    affidavit from Lawrence Stilwell Betts, a retired Navy Captain and medical consultant,
    which had been given in connection with a different action. Based on contemporary
    medical literature, Betts stated that “the Navy was well aware of the health hazards
    associated with the use of asbestos from the early 1920s” and that the Navy’s information
    7
    “with respect to the specification and use of asbestos, and the health hazards associated
    with its use aboard Navy vessels, far exceeded any information that possibly could have
    been provided by a boiler manufacturer.”
    The district court granted the plaintiffs’ motion to remand. First, it acknowledged
    that the timeliness of Foster Wheeler’s notice of removal was “a close question,” but it
    assumed the removal’s timeliness because of its conclusion that Foster Wheeler failed to
    meet the substantive requirements of § 1442(a)(1). As to those requirements, the court
    stated that, while Foster Wheeler had shown through affidavits “that the Navy provided
    Foster Wheeler with detailed specifications governing warnings and written information
    that accompanied Foster Wheeler boilers,” there was no “evidence to show that the Navy
    exercised any discretion over Foster Wheeler’s ability to warn its workers in the
    Shipyard’s boiler shop.” Furthermore, the court explained, “Foster Wheeler [did] not
    claim that it proposed any type of warning to the Navy concerning asbestos exposure in
    the Shipyard’s boiler shop, much less that the Navy considered and rejected such a
    warning.” Reasoning from those observations, the court concluded that Foster Wheeler
    lacked a colorable federal defense of government-contractor immunity with respect to the
    plaintiffs’ theory of liability and that, “[f]or similar reasons,” there was “no causal
    connection between the plaintiffs’ claims” and the aspects of Foster Wheeler’s conduct
    that conformed to government direction.
    8
    Foster Wheeler filed this appeal from the district court’s remand order dated April
    20, 2016, as authorized by 
    28 U.S.C. § 1447
    (d). *
    II
    Section 1442, commonly referred to as the “federal officer removal statute,”
    authorizes the removal to federal court of any “civil action or criminal prosecution”
    commenced in a state court against
    any officer (or any person acting under that officer) of the United States or
    of any agency thereof, in an official or individual capacity, for or relating to
    any act under color of such office.
    
    28 U.S.C. § 1442
    (a)(1). Thus, a private defendant, such as a government contractor, who
    seeks to remove a case under § 1442(a)(1), must show: (1) that it “act[ed] under” a
    federal officer, see, e.g., Watson v. Philip Morris Cos., 
    551 U.S. 142
    , 147 (2007); Ripley
    v. Foster Wheeler LLC, 
    841 F.3d 207
    , 209 (4th Cir. 2016); (2) that it has “a colorable
    federal defense,” Jefferson County v. Acker, 
    527 U.S. 423
    , 431 (1999); and (3) that the
    charged conduct was carried out for on in relation to the asserted official authority, 
    28 U.S.C. § 1442
    (a)(1). In imposing these requirements, the statute aims “to protect the
    *
    The parties subsequently filed a series of motions related to the record on appeal.
    The plaintiffs moved to strike the affidavit of retired Navy Rear Admiral Benjamin
    Lehman, who apparently died in April 2013, and moved to supplement the record with
    his obituary. Lehman’s affidavit contained information about the Navy’s control over
    Foster Wheeler’s design and labeling of its boilers. Foster Wheeler contested the
    plaintiffs’ motions, and additionally sought to supplement the record with Navy “Mil
    Specs” that covered warnings affixed to ship boilers. Because we think that this case can
    readily be decided without use of the affidavit that the plaintiffs seek to strike and
    without any of the material that either party wishes to add to the record, we find it
    unnecessary to expand the record at this stage of the proceedings.
    9
    Federal Government from . . . interference with its ‘operations,’” Watson, 
    551 U.S. at 150
    (quoting Willingham v. Morgan, 
    395 U.S. 402
    , 406 (1969)), primarily by providing “a
    federal forum for a federal defense,” Ripley, 841 F.3d at 210.
    With the statute’s requirements in hand, we address whether Foster Wheeler
    satisfied each of them.
    A
    First, there can be no question that Foster Wheeler was a “person acting under” the
    Navy when it constructed the boilers with asbestos that allegedly harmed Morris. When
    a private entity is involved, the Supreme Court has interpreted the phrase “acting under”
    to contemplate a relationship where the government exerts some “subjection, guidance,
    or control,” Watson, 
    551 U.S. at 151
     (quoting Webster’s New International Dictionary
    2765 (2d ed. 1953)), and where the private entity engages in an effort “to assist, or to help
    carry out, the duties or tasks of the federal superior,” 
    id. at 152
     (emphasis omitted). In
    Watson, the Court distinguished relationships where private entities are merely subject to
    federal regulation — holding that mere regulation of private entities cannot justify
    removal under the statute — from the relationships where the private entity contracts
    with the government to fulfill a government need. As the Court explained:
    The assistance that private contractors provide federal officers goes beyond
    simple compliance with the law and helps officers fulfill other basic
    governmental tasks. . . . Moreover, at least arguably, [a contractor]
    perform[s] a job that, in the absence of a contract with a private firm, the
    Government itself would have had to perform.
    10
    
    Id.
     at 153–54. In addition, the Court stated that the phrase “acting under” is “broad” and
    is to be “liberally construed” in favor of the entity seeking removal. 
    Id. at 147
    .
    Accordingly, courts have unhesitatingly treated the “acting under” requirement as
    satisfied where a contractor seeks to remove a case involving injuries arising from
    equipment that it manufactured for the government. See Hurley v. CBS Corp., 
    648 Fed. Appx. 299
    , 303 (4th Cir. 2016) (per curiam) (“GE is a ‘person acting under’ a federal
    officer because it was acting under a valid government contract at all times relevant to the
    litigation”); Papp v. Fore-Kast Sales Co., 
    842 F.3d 805
    , 813 (3d Cir. 2016) (“Papp’s
    allegations are directed at actions Boeing took while working under a federal contract to
    produce an item the government needed, to wit, a military aircraft, and that the
    government otherwise would have been forced to produce on its own”).
    In this case, the record shows that during Morris’ tenure as an employee at the
    Sparrows Point Shipyard, Foster Wheeler manufactured boilers under contracts with the
    U.S. Navy for use on its vessels. Given the Supreme Court’s direction that we construe
    the statute liberally and the holdings of courts that have followed that direction, Foster
    Wheeler’s status as a Navy contractor readily satisfies the requirement that it have acted
    under the Navy, as used in § 1442(a)(1).
    B
    Second, we conclude that Foster Wheeler has asserted a colorable federal defense
    — the defense of government-contractor immunity — to the plaintiffs’ claims.
    11
    The Supreme Court first articulated the government-contractor immunity defense
    in Boyle v. United Technologies Corp., 
    487 U.S. 500
     (1988), to prevent the imposition of
    state tort liability “for design defects in military equipment” when three requirements are
    met:
    (1) the United States approved reasonably precise specifications; (2) the
    equipment conformed to those specifications; and (3) the supplier warned
    the United States about the dangers in the use of the equipment that were
    known to the supplier but not to the United States.
    
    Id. at 512
    .
    As the district court recognized, the defense in Boyle can apply not only to a
    “design defect” claim, but also to a claim like that asserted here — one based on Foster
    Wheeler’s alleged failure to warn Morris about the dangers of asbestos. As we explained
    in Ripley, imposing failure-to-warn liability on a contractor could produce the same
    conflict with federal policy that the Supreme Court sought to prevent in Boyle. See 841
    F.3d at 211; see also In re Joint E. & S. Dist. N.Y. Asbestos Litig., 
    897 F.2d 626
    , 629 (2d
    Cir. 1990) (“When a federal contract and state tort law give contrary messages as to the
    nature and content of required product warnings, they cause the sort of conflict Boyle
    found so detrimental to the federal interest in regulating the liabilities of military
    contractors”).
    The courts applying Boyle to failure-to-warn cases have articulated three criteria
    necessary to establish the immunity defense, holding that it is established when “(1) the
    government exercised its discretion and approved certain warnings; (2) the contractor
    provided the warnings required by the government; [and] (3) the contractor warned the
    12
    government about dangers in the equipment’s use that were known to the contractor but
    not to the government.” Oliver v. Oshkosh Truck Corp., 
    96 F.3d 992
    , 1003–04 (7th Cir.
    1996); see also, e.g., Jowers v. Lincoln Electric Co., 
    617 F.3d 346
    , 352 (5th Cir. 2010);
    Tate v. Boeing Helicopters, 
    55 F.3d 1150
    , 1157 (6th Cir. 1995). Under this formulation,
    which we also now adopt, the government need not prohibit the contractor from
    providing additional warnings; the defense applies so long as the government dictated or
    approved the warnings that the contractor actually provided. See, e.g., Tate, 555 F.3d at
    1157 (“Government discretion is required, not dictation or prohibition of warnings”).
    Where “the government chooses its own warnings,” rather than merely approves of a
    contractor’s, it has “certainly” exercised the requisite discretion to support a colorable
    defense for the contractor. Oliver, 
    96 F.3d at 1004
    ; see also Tate, 
    55 F.3d at 1157
    .
    In this case, Foster Wheeler satisfied all three of the criteria for showing a
    colorable government-contractor defense in failure-to-warn cases. First, Foster Wheeler
    showed that the Navy “exercised intense direction and control over all written
    documentation to be delivered with its naval boilers,” including those manufactured by
    Foster Wheeler. Thomas Schroppe’s affidavit states that “Foster Wheeler would not be
    permitted, under the specifications, associated regulations and procedures, and especially
    under actual practice as it evolved in the field, to affix any type of warning or caution
    statement to a piece of equipment intended for installation onto a Navy vessel beyond
    those required by the Navy.” Second, Foster Wheeler actually gave the warnings that
    were required by the Navy. Schroppe’s affidavit describes a rigorous inspection process
    and indicates that the Navy would notice and penalize any deviation. And third, Foster
    13
    Wheeler credibly demonstrated, with Lawrence Betts’ affidavit, that the Navy’s
    knowledge of asbestos-related hazards exceeded Foster Wheeler’s during the relevant
    time period. Indeed, several other courts have cited the same affidavit as supporting a
    finding that the government contractor did not withhold risk-related information of which
    the military was unaware. See, e.g., Hagen v. Benjamin Foster Co., 
    739 F. Supp. 2d 770
    ,
    784 (E.D. Pa. 2010) (asbestos MDL action). Thus, Foster Wheeler has made at least a
    colorable showing that the government exercised discretion in requiring Foster Wheeler
    to provide certain notices and warnings, having full knowledge of the dangers involved.
    And the fact that the government did not prohibit Foster Wheeler from giving additional
    warnings — and may not even have considered requiring additional warnings — does not
    undermine the colorability of the immunity defense. See Oliver, 
    96 F.3d at
    1004 n.8;
    Tate, 
    55 F.3d at 1157
    .
    The district court, in concluding that Foster Wheeler did not demonstrate a
    colorable federal defense as to the plaintiffs’ negligence claim, applied a different
    standard that does not follow the established criteria. It found that, even though the Navy
    “provided Foster Wheeler with detailed specifications governing warnings and written
    information that accompanied Foster Wheeler boilers,” the fact that the Navy did not
    consider additional warnings to employees was fatal to Foster Wheeler’s defense.
    Specifically, the court explained that, because the warnings that Foster Wheeler could
    have given employees in the workplace were not prohibited by the Navy, and because
    Foster Wheeler did not propose and the Navy did not reject the giving of such warning,
    the defense does not apply, as it “does not shield defendants where the government might
    14
    have exercised its discretion and final authority but did not.” (Internal quotation marks
    and citation omitted). The district court’s clear implication is that, unless the government
    explicitly regulated all possible warnings, Foster Wheeler could not have a colorable
    federal defense of immunity. But this reasoning overlooks the fact that, in specifying
    some warnings in response to the known dangers of asbestos, the government necessarily
    exercised discretion in not requiring additional warnings. See Oliver, 
    96 F.3d at 1004
    ;
    Tate, 
    55 F.3d at 1157
    . It is this exercise of governmental discretion that, under the
    reasoning of Boyle, supports a defense for federal contractors who execute it.
    Moreover, the district court failed to recognize, even on the terms of its own
    analysis, that removal need not be justified as to all claims asserted in the plaintiffs’
    complaint; rather, the defense need only apply to one claim to remove the case. See 
    28 U.S.C. § 1442
    (a) (allowing removal of “[a] civil action . . . commenced in a State court
    . . . for or relating to any act under color of [federal] office” (emphasis added)); Bennett
    v. MIS Corp., 
    607 F.3d 1076
    , 1084 n.7 (6th Cir. 2010) (affirming denial of remand and
    noting that Ҥ 1442 authorizes removal of the entire case even if only one of the
    controversies it raises involves a federal officer or agency” (quoting Charles Alan Wright
    et al., Federal Practice and Procedure § 3726, at 275 (4th ed. 2009))). In this case, the
    plaintiffs included, among others, a products-liability claim based on faulty warning with
    respect to the boilers themselves, which the district court treated as distinct from other
    warnings (or the lack thereof) given to employees. See, e.g., May v. Air & Liquid Sys.
    Corp., 
    139 A.3d 984
    , 988 (Md. 2015) (noting that under Maryland law a failure-to-warn
    claim may be brought under either a negligence or strict liability theory); Phipps v.
    15
    General Motors Corp., 
    363 A.2d 955
    , 958 (Md. 1976) (noting that a strict liability claim
    focuses “not on the conduct of the manufacturer but rather on the product itself”). As the
    district court conceded, the warnings with respect to the boilers themselves were
    comprehensively mandated by the Navy, and it therefore follows that the plaintiffs’
    products-liability claim, even under the district court’s analysis, is subject to a colorable
    government-contractor defense, thereby supporting removal.
    C
    Addressing the third requirement, we conclude that Foster Wheeler has established
    a sufficient connection between the charged conduct and asserted official authority.
    While the statute requires that the act in question be “for or relating to” the federal office,
    
    28 U.S.C. § 1442
    (a)(1), the district court applied a requirement for a strict causal
    connection between the two.
    Before 2011, the contractor had to establish that the suit against it was “for a[n] act
    under color of office,” Acker, 
    527 U.S. at 431
     (alterations in original) (quoting 
    28 U.S.C. § 1442
    (a)(3) (1994)), which the Supreme Court then characterized as a “causal
    connection between the charged conduct and the asserted official authority,” 
    id.
     (internal
    quotation marks omitted).       But even then, the Court rejected “narrow, grudging
    interpretation[s] of the statute, recognizing that one of the most important reasons for
    removal is to have the validity of the defense of official immunity tried in a federal
    court.” 
    Id.
     (internal quotation marks omitted). The Court explained, “Just as requiring a
    clearly sustainable defense rather than a colorable defense would defeat the purpose of
    16
    the removal statute, so would demanding an airtight case on the merits in order to show
    the required causal connection.”      
    Id. at 432
     (internal quotation marks and citation
    omitted).
    But in 2011, Congress amended § 1442(a)(1) to cover actions “for or relating to
    any act under color of [federal] office,” adding the words “or relating to.” Removal
    Clarification Act of 2011, Pub. L. No. 112-51, 
    125 Stat. 545
    .        This new language
    “broaden[ed] the universe of acts” that enable federal removal, H.R. Rep. 112-17, 6, 2011
    U.S.C.C.A.N. 420, 425, such that there need be only “‘a connection or association
    between the act in question and the federal office.’” Papp, 842 F.3d at 813 (emphasis
    added) (quoting In re Commonwealth’s Motion to Appoint Counsel Against or Directed
    to Defender Assoc., 
    790 F.3d 457
    , 471 (3d Cir. 2015)).
    Foster Wheeler has amply shown a sufficient “connection or association” in this
    case. As Foster Wheeler explains, the Navy dictated the content of warnings on Foster
    Wheeler’s boilers, and Foster Wheeler complied with the Navy’s requirements. That
    relationship was sufficient to connect the plaintiffs’ claims, which fault warnings that
    were not specified by the Navy, to the warnings that the Navy specified and with which
    Foster Wheeler complied. These claims undoubtedly “relat[e] to” all warnings, given or
    not, that the Navy determined in its discretion.
    The district court imposed a stricter standard of causation than that recognized by
    the statute.   It concluded that “[b]ecause no federal officer provided any direction
    regarding whether to warn Foster Wheeler’s workers in the shipyard’s boiler shop about
    asbestos, Foster Wheeler has not established the necessary causal nexus between their
    17
    actions and the plaintiffs’ claims.” In demanding a showing of a specific government
    direction, however, the district court went beyond what § 1442(a)(1) requires, which is
    only that the charged conduct relate to an act under color of federal office.
    The record in this case shows that the Navy was aware of the dangers of asbestos;
    that it required the use of asbestos in boilers for which it contracted with Foster Wheeler
    to manufacture; that it provided for a comprehensive set of warnings, but not all possible
    warnings; and that Foster Wheeler complied with the Navy’s requirements.            Foster
    Wheeler’s alleged failure to give warnings to Shipyard employees is therefore clearly
    related to Foster Wheeler’s performance of its contract with the Navy.
    * * *
    In sum, Foster Wheeler in this case satisfied all three of § 1442(a)(1)’s
    requirements.    It plausibly asserted that it was acting under the Navy when it
    manufactured boilers; that it possessed a colorable government-contractor defense to the
    plaintiffs’ claims that it allegedly failed to give some warnings in connection with its
    manufacture of those boilers; and that the plaintiffs’ claims are related to Foster
    Wheeler’s government-directed conduct. Accordingly, we reverse the district court’s
    conclusion that Foster Wheeler did not meet the substantive requirements of
    § 1442(a)(1). Permitting Foster Wheeler to remove this case serves the overarching
    policy of giving government contractors a federal forum in which to present their federal
    immunity defense and thereby avoiding possible state court hostility to the defense that
    could undermine federal interests.
    18
    Because the district court addressed only the substantive requirements of
    § 1442(a)(1) before remanding the case to state court, it never addressed the question of
    whether Foster Wheeler’s notice of removal was timely. Accordingly, in view of our
    conclusions, we remand this case to the district court to allow it, in the first instance, to
    determine the timeliness of Foster Wheeler’s removal.
    REVERSED AND REMANDED
    19