MEMORANDUM OPINION
Lieutenant Milo Minderbender, a fictional war profiteer during World War II, expressed the following capitalist sentiment in Joseph Heller’s novel Catch-22: “Frankly, I’d like to see the government get out of war altogether and leave the whole field to private individuals.” Joseph Heller, Catch-22 259 (1961). While not to the extent advocated by Lieutenant Min *956 derbender, the role of government contractors in combat zones has grown to an unprecedented degree in recent years with the wars waged by the United States in Iraq and Afghanistan.
To support the logistics of its missions in these two war theaters, the U.S. military has relied on private civilian contractors awarded contracts under the auspices of a program known as the Logistics Civil Augmentation Program (“LOGCAP”). The Army awarded its third LOGCAP contract (“LOGCAP III”) to a division of Kellogg Brown & Root, Inc. (“KBR, Inc.”). 1 Under LOGCAP III, KBR, Inc. agreed to treat water and to manage and dispose of waste at military bases in Iraq and Afghanistan. One method of waste disposal used by KBR, Inc. involves burning items in open pits commonly referred to as “burn pits.”
American soldiers, veterans, and former contractor employees (collectively, “Plaintiffs”) allege that, while stationed on military bases in Iraq and Afghanistan, they suffered injuries resulting from exposure to contaminated water and to toxic emissions from burn pits. Seeking to recover for their injuries, Plaintiffs have filed forty-three complaints in forty-two states across the country, asserting a multitude of state tort law claims against KBR, Inc., Kellogg Brown & Root Services, Inc., Kellogg Brown & Root LLC, and Halliburton Company (collectively, “Defendants”). The Judicial Panel on Multi-District Litigation (“MDL”) transferred these cases to this Court for coordinated and consolidated pretrial proceedings.
Subjecting government contractors who provide services to the U.S. military in war zones to private civil suits under state tort law necessarily requires caution by the judiciary. Courts must be careful not to pass judgment on matters outside their realm of competence, and especially in national security matters entrusted to other branches of government. In time of war, courts are reluctant to burden the military and its personnel with onerous and intrusive discovery requests. Failure to exercise such caution may threaten the success of military missions abroad.
Out of these concerns emerge various defenses that may be asserted by contractors facing tort suits arising from their actions. Defendants assert three of those defenses in them motion to dismiss for lack of subject matter jurisdiction under Federal Rule of Civil Procedure 12(b)(1). 2 They *957 contend: first, that Plaintiffs’ claims are nonjusticiable under the political question doctrine; second, they are entitled to “derivative sovereign immunity” based on the “discretionary function” exception to the federal government’s waiver of immunity in the Federal Torts Claims Act (“FTCA”), 28 U.S.C. § 2680(a) (2006); and, third, Plaintiffs’ claims are preempted by the “combatant activities” exception in the FTCA, id. § 2680(j).
In tension with the exercise of caution supported by these legal defenses is the legitimate concern that the judiciary may prematurely close courtroom doors to soldiers and civilians injured from wartime logistical activities performed by hired hands allegedly acting contrary to military-defined strictures. Courts must be prepared to adjudicate cases that ultimately expose defense contractors to appropriate liability where it is demonstrated that they acted outside the parameters established by the military and, as a result, failed to exercise proper care in minimizing risk to service members and civilians.
These rival considerations drive Plaintiffs’ opposition to Defendants’ motion. Plaintiffs emphasize the preliminary nature of this lawsuit and the narrow tailoring of their tort claims to wartime logistical activities negligently performed by Defendants in breach of their duties under LOGCAP III. They argue that discovery relating to their claims is necessary and can be limited so as to avoid separation of powers and competency concerns and to minimize any potential interference with, and detraction from, the war efforts.
For the reasons provided below, the Court agrees with Plaintiffs that their claims, based on their as yet unproven factual allegations, may be justiciable at this time. An initial phase of carefully limited discovery is therefore appropriate in order to frame the issue with sufficient facts so that the Court may make an informed decision.
I. Defendants’ Motions To Dismiss for Lack of Subject Matter Jurisdiction
In multidistrict litigation, the law of the transferee circuit governs questions of federal law.
See In re Gen. Am. Life Ins. Co. Sales Practices Litig.,
A defendant may challenge subject matter jurisdiction under Federal Rule of Civil Procedure 12(b)(1) by contending “that a complaint simply fails to allege facts upon which subject matter jurisdiction can be based.”
Adams v. Bain,
A. The Political Question Doctrine
The political question doctrine recognizes both the constitutional separation of powers among the branches of the federal government, as well as the inherent limitations on the judiciary.
Baker v. Carr,
In Baker v. Carr, the Supreme Court set forth six independent guidelines to aid a court in identifying a political question:
1. A textually demonstrable constitutional commitment of the issue to a coordinate political department; or
2. A lack of judicially discoverable and manageable standards for resolving it; or
3. The impossibility of deciding without an initial policy determination of a kind clearly for nonjudicial discretion; or
4. The impossibility of a court’s undertaking independent resolution without expressing lack of the respect due coordinate branches of government; or
5. An unusual need for unquestioning adherence to a political decision already made; or
6.The potentiality of embarrassment from multifarious pronouncements by various departments on one question.
The body of case law applying the political question doctrine to cases brought against private contractors for their work in war zones is in its infancy. While numerous district courts have grappled with lawsuits where defense contractors raise the political question doctrine as a subject matter bar to tort claims arising out of support services provided in Iraq and Afghanistan, only three of those decisions have undergone appellate scrutiny.
The Eleventh Circuit in
McMahon v. Presidential Airways, Inc.,
In contrast to
McMahon
and
Lane, the
Eleventh Circuit in
Carmichael v. Kellogg, Brown & Root Services, Inc.,
Bearing these decisions in mind, the Court will now apply the Baker factors to the precise facts of this case.
1. The First Baker Factor
The first
Baker
factor “excludes from judicial review those controversies which revolve around policy choices and value determinations constitutionally committed for resolution to the halls of Congress or the confines of the Executive Branch.”
Japan Whaling Ass’n v. Am. Cetacean Soc’y,
Defendants argue that this case implicates the first Baker factor because its adjudication will require reexamination of sensitive military policies or judgments. See Defs.’ Mem. Supp. Dismiss 30, ECF No. 21. Regarding Plaintiffs’ burn pit allegations, Defendants argue that this Court would need to pass judgment on the military’s decisions to use burn pits, where to locate them, where to locate living quarters for military and contractor personnel, and which wastes could or could not be placed in the burn pits. See id. Regarding Plaintiffs’ water allegations, Defendants argue that this Court would be required to second-guess fundamental aspects of the military’s water operations: the production, testing, and distribution of potable and nonpotable water; the proper uses of potable and nonpotable water; the thoroughness of the military’s training regarding the production, testing, and distribution of water; and the adequacy of the military’s oversight, inspections, and testing of water produced in the war theaters. See id. at 30 n. 9. Defendants also contend that any analysis of causation will necessarily implicate insulated policies and *960 judgments of the U.S. military. See Defs.’ Reply 9, ECF No. 82.
Plaintiffs contend that this case does not require the Court to evaluate any decisions by the military because their claims only challenge the Defendants’ performance of them duties to treat water and dispose of waste in an unauthorized manner. See Pis.’ Opp’n 21-22, ECF No. 64. According to Plaintiffs, Defendants must abide by the terms of LOGCAP III, and Defendants’ alleged failures to treat water and dispose of waste in the manner required by LOGCAP III may serve as the bases for their claims. See id. Regarding waste disposal, Plaintiffs allege that Defendants were prohibited from using burn pits, burning certain items, and locating burn pits in certain areas unless they obtained advance approval. See id. at 6-8, ¶¶ 13-16. Without the requisite authorization, Defendants allegedly used burn pits, burned items on the “do not burn” lists, and located burn pits in prohibited areas. See id. at 8, ¶ 16. Regarding water treatment, Plaintiffs allege that Defendants were required, but failed, to monitor and maintain the quality of water to meet established standards. See id. at 12, ¶ 25.
The Court agrees with Plaintiffs that, at this early stage of the litigation, the first Baker factor does not preclude state tort law claims challenging the water treatment and waste disposal services provided by Defendants in a manner not endorsed by the military. While the first Baker factor may preclude a plaintiff from suing for injuries in a war zone where the alleged wrongs stemmed from the military’s strategic and tactical decisions, it does not necessarily preclude a plaintiff from suing for injuries stemming from defense contractors’ decisions to the extent they conflict with military directives. Here, Plaintiffs only challenge Defendants’ unauthorized decisions to use burn pits and to treat water in the manners alleged. Limited discovery is therefore necessary to determine whether Defendants actually operated the burn pits and treated water in ways prohibited or unauthorized by the military. If and when Plaintiffs show that Defendants committed such unauthorized acts, the Court will then address the complex issue of causation, which will require knowledge, but not necessarily second-guessing, of military actions that also may have contributed to Plaintiffs’ injuries.
Plaintiffs incorrectly suggest, however, that any breach of LOGCAP III is justiciable. See, e.g., Pis.’ Opp’n 21. The political question doctrine, and not LOGCAP III, defines the boundaries of this Court’s jurisdiction. As a result, the Court is without jurisdiction to entertain a claim arising out of an alleged breach of LOGCAP III by Defendants if its review involves second-guessing a military decision, even if that decision is handed down by officials not contemplated by the contract. Plaintiffs imply that they can challenge actions performed in violation of LOGCAP III, but specifically condoned by military commanders, because military commanders do not have the authority to modify LOGCAP III or its task orders. See id. at 3-5, ¶¶ 5-9. They are mistaken. If, for instance, a military commander, rather than a contracting officer, authorized or directed Defendants to use burn pits because of wartime military exigencies, then any claim arising out of Defendants’ use of burn pits pursuant to the military commander’s authorization would be barred by the political question doctrine because the Court is without jurisdiction to evaluate such military decisions. For the claims to survive the first Baker factor, they must arise out of either breaches of LOGCAP III committed without the requisite military permission or other violations of military directives.
*961 Additionally, Defendants challenge the ability of Plaintiffs to demonstrate that Defendants made unauthorized decisions regarding the burn pits and water treatment. See Defs/ Reply 7-8. To demonstrate the pervasive “military footprint” over Defendants’ waste disposal and water treatment services, they have provided the Court with voluminous regulatory and doctrinal evidence by the U.S. military and seven sworn declarations provided by current high ranking officers and civilians in the Department of Defense (“DoD”) and the U.S. military who held critical leadership positions related to wartime health and safety. See Defs.’ Mem. Supp. Dismiss 8, Exs. 1-23; Defs.’ Reply Exs. 1-3; Defs.’ Supp. Auth. Ex. A, ECF No. 87. Whether Plaintiffs can meet their burden of proof, however, is not now the subject of Defendants’ motion. The key inquiry posed by the first Baker factor of the political question doctrine is whether the Court can adjudicate this case without second-guessing the reasonableness of the military’s operations and decisions. Based on Plaintiffs’ narrowly tailored claims, the Court believes it can, albeit with significant restrictions on the scope of the inquiry.
2. The Second Baker Factor
The second
Baker
factor requires courts to refrain from adjudicating cases that cannot be resolved based on judicially discoverable and manageable standards.
Baker,
Defendants argue that this case asks the Court to pass judgments in the realm of military affairs without having knowledge or expertise. See Defs.’ Mem. Supp. Dismiss 33. According to Defendants, the Court lacks standards to review the military’s choices for water treatment and waste management and disposal in the war theater because they “involve military policies, strategies, and on-the-ground considerations as to security threats, the existing waste disposal infrastructure (if any) in theater, and resource limitations.” Id. at 32-33. Defendants also argue that Plaintiffs’ claims cannot be resolved by reference to traditional tort law standards. See id. at 33. In their view, the question of what a reasonable corporation in a war zone, subject to military regulations and control, would do “necessarily implicates the wisdom of the military’s strategic tactical decisions,” which the Court is without standards to evaluate. Id. at 33-34 (quotation marks omitted).
Plaintiffs contend that their lawsuit only asks the Court to adjudicate traditional tort and contract claims and not novel issues that lack discoverable and manageable standards. See Pis.’ Opp’n 26. They emphasize that unlike combat or training operations, waste disposal and water treatment are not peculiarly “military” in nature, and that the Court may apply traditional legal principles to resolve their claims. Id. at 27-28.
On this limited record, the Court is not prepared to say that it lacks discoverable and manageable standards necessary to adjudicate this case. At their most basic level, Plaintiffs’ claims ask the Court to determine whether the actions of the Defendants, and not of the military, were negligent or otherwise improper. Just because those actions concern war does not,
*962
in and of itself, necessarily mean the Court lacks standards to evaluate them.
See Gilligan,
3.The Third Baker Factor
The third
Baker
factor prevents a court from making a policy determination of a kind clearly for nonjudicial discretion.
Baker,
4.The Fourth and Sixth Baker Factors
The fourth and closely related sixth
Baker
factors ask whether a court can adjudicate the claims without disrespecting or embarrassing coordinate branches of government.
Baker,
In fact, subjecting defense contractors to potential tort liability for actions not approved by the military arguably expresses respect for the executive branch. In a rulemaking to implement policy regarding contractor personnel authorized to accompany U.S. Armed Forces deployed outside the United States, the Department of Defense (“DoD”) explicitly advised military contractors that they could be subjected “to prosecution or civil liability under the laws of the United States and the host nation” for the “inappropriate use of force.” Defense Federal Acquisition Regulation Supplement; Contractor Personnel Authorized to Accompany U.S. Armed Forces, 73 Fed. Reg. 16,764, 16,767 (Mar. 31, 2008). When contractors expressed concern about their defenses in tort litigation, DoD made clear that it thought the rule “adequately allocates risks, allows for equitable adjustments, and permits contractors to defend against potential third-party claims.” Id. at 16,768. The DoD explained:
[T]he clause retains the current rule of law, holding contractors accountable for the negligent or willful actions of their employees, officers, and subcontrac *963 tors.... Contractors will still be able to defend themselves when injuries to third parties are caused by the actions or decisions of the Government. However, to the extent contractors are currently seeking to avoid accountability to third parties for their own actions by raising defenses based on the sovereignty of the United States, this rule should not send a signal that would invite courts to shift the risk of loss to innocent third parties.
Id. Consistent with the DoD’s position, the Court will not, at this early stage, allow contractors “to avoid accountability to third parties for their own actions” based on the political question doctrine, or as discussed below, based on the sovereignty of the United States. Id. (emphasis added).
5. The Fifth Baker Factor
Defendants do not argue that the fifth
Baker
factor—“an unusual need for unquestioning adherence to a political decision already made,”
Baker,
B. Derivative Sovereign Immunity
As a general matter, the United States as a sovereign is immune from suit except under those limited circumstances in which it has waived that immunity.
See United States v. Mitchell,
The FTCA explicitly excludes independent contractors from its scope. The definitions of the terms “federal agency” and “employee of the Government,” both of which appear in the discretionary function exception, do not include government contractors. See id. § 2671 (“[T]he term ‘Federal agency’ includes the executive departments, the judicial and legislative branches, the military departments, independent establishments of the United States and corporations primarily acting as instrumentalities or agencies of the United States, but does not include any contractor with the United States.” (emphasis added)); id. (“ ‘Employee of the government’ includes (1) officers or employees of any federal agency, members of the military or naval forces of the United States, members of the National Guard ..., and persons acting on behalf of a federal agency in an official capacity ..., and (2) any officer or employee of the Federal public defender organization....”). In addition, the FTCA limits the court’s exclusive jurisdiction to “civil actions on claims against the United States, for money damages, ... for injury or loss of property, or personal injury or death caused by the negligent or wrongful act or omission of any employee of the Government while *964 acting within the scope of his office or employment.” Id. § 1346(b)(1) (emphases added).
Notwithstanding the exclusion of independent contractors from the FTCA’s scope, Defendants argue that they are entitled to “derivative sovereign immunity” preserved by the sovereign in the discretionary function exception and retained by federal officials acting within the scope of their employment while exercising their discretion. Defs.’ Mem. Supp. Dismiss 36-46. To support their entitlement to “derivative sovereign immunity” preserved by the sovereign in the discretionary function exception, they rely primarily on
Yearsley v. W.A. Ross Constr. Co.,
Plaintiffs contend that a third Supreme Court case,
Boyle v. United Techs. Corp.,
The Court concludes that Boyle does not control, but nevertheless is instructive as to, Defendants’ theories of derivative sovereign immunity and that Defendants are not entitled to derivative sovereign immunity under Yearsley, West-fall, Mangold, and their progeny, at least at this early stage of the proceedings.
1. Boyle v. United Technologies Corp.
The Plaintiff in
Boyle
was the father of a U.S. Marine helicopter copilot who was killed when his helicopter crashed during a training exercise.
In deciding “when a contractor providing military equipment to the Federal Government can be held liable under state tort law for injury caused by a design defect,”
*965
Applying this two-step process to determine whether the plaintiffs state law claims were preempted, the Supreme Court identified the area of uniquely federal interest as “the civil liabilities arising out of the performance of federal procurement contract” and cited approvingly to
Yearsley. Id.
at 506,
Next, the Court had to determine whether conflict between the state tort law and the area of uniquely federal interests was “significant.”
Id.
at 508,
To determine whether the preemption defense for government contractors set forth in
Boyle
controls Defendants’ theory of derivative sovereign immunity, the Court need only examine the first footnote of
Boyle.
In it, the Supreme Court specifically noted that the government contractor defense recognized in that case results in the
preemption
of certain state law causes of action,
not a grant of immunity to contractors. See Boyle,
Even so, Boyle provides additional guidance on how to evaluate Defendants’ defense of derivative sovereign immunity. First, because the Supreme Court relied, at least in part, on Yearsley in crafting the preemption-based government contractor defense, this Court, as does the Fourth Circuit, see infra Part I.B.2, views Yearsley as a potential foundation for a separate defense of derivative sovereign immunity. *966 Second, since the Supreme Court looked to the principles behind the FTCA’s discretionary function exception to justify excluding a government contractor from liability, id. at 51, this Court also thinks it appropriate to use those same principles as a potential basis for derivative sovereign immunity, even though the FTCA excludes independent contractors from its scope. 4 However, because Defendants have not yet asserted the government contractor defense based on the FTCA’s discretionary function exception as recognized in Boyle, see, e.g., Defs.’ Reply 21, the Court will refrain from any further analysis of Boyle in relation to their claim of possible entitlement to derivative sovereign immunity.
2. Yearsley v. W.A. Ross Construction Co.
In
Yearsley,
the Supreme Court considered whether a contractor that built dikes in the Missouri River pursuant to a contract with the federal government could be held liable for damages caused by the construction of the dikes.
The Supreme Court’s decision in
Yearsley
is somewhat enigmatic in that it does not mention sovereign immunity or otherwise address a court’s power to hear the case. Instead, the Supreme Court emphasized the “complete remedy” provided by the Government,
id.
at 21-22,
Nevertheless, the Fourth Circuit and several other courts of appeals have viewed
Yearsley
as “immunizing” government contractors from suit when their acts amount to acts of the government.
5
In
*967
Butters v. Vance International, Inc.,
A key premise of the Supreme Court’s decision in
Yearsley
was the finding that the contractor was
following the sovereign’s directives. See
Yearsley does not insulate Defendants from liability in this case because this essential condition—acting within the confines of the authority bestowed by the sovereign—has not yet been established. Plaintiffs ground their claims on actions allegedly taken in violation of the terms of LOGCAP III without the requisite permission of the military or otherwise unauthorized by the Government. See Defs.’ Reply 19. To the extent that Defendants executed their own will in contravention of the will of the military, Yearsley instructs the Court not to insulate them from liability. Thus, Yearsley does not entitle Defendants to “derivative sovereign immunity” at this point in time.
Of course, Defendants sharply dispute that they treated water or disposed of waste in breach of LOGCAP III or without authorization. The Court cannot resolve this fundamental factual dispute because the record does not contain the entire contract, evidence establishing performance in compliance with its terms, or evidence that the military, when necessary, permitted or directed Defendants to deviate from the contract’s terms. Consequently, carefully limited discovery will be geared towards identifying any unauthorized actions performed by Defendants.
Even if Defendants could satisfy the conditions of
Yearsley
at this juncture, however, their derivative claim of entitlement to the sovereign’s immunity preserved in the discretionary function exception fails for a separate reason: Plaintiffs are not challenging
discretionary
functions. In order to determine whether conduct falls within the discretionary function exception, a court applies a two-part test established in
Berkovitz v. United States,
The challenged conduct alleged in this case is not discretionary in nature because it does not involve “an element of judgment or choice.” Plaintiffs have alleged that LOGCAP III incorporates mandatory laws and regulations that specify the manner in which Defendants are to dispose of waste and treat water and that Defendants failed, when applicable, to obtain permission to deviate from those requirements. Pis.’ Opp’n 42. If the laws and regulations incorporated by LOGCAP III are indeed mandatory and not otherwise superseded by military directive, then actions taken by Defendants in violation of those laws and regulations hardly can be said to be discretionary. In other words, the conduct at issue here involves Defendants’ alleged *969 failure to abide by a military-prescribed course of action, not judgment or choice.
For clarity’s sake, however, the Court notes Plaintiffs’ apparent misconceptions about what constitutes a discretionary function. Plaintiffs point to Task Order 139 and Standard Operation Procedures presumably as bases for arguing that Defendants failed to comply with mandatory contractual conditions on burning. See Pis.’ Opp’n 7-8, ¶ 15. Task Order 139 requires Defendants to “minimize any type of smoke exposures to the camp population,” see id. Ex. 12, and Standard Operation Procedure (“SOP”) 5(c) requires Defendants to “take all possible and reasonable actions to protect human health and preserve the environment,” see id. Ex. 17. Unless Plaintiffs can point to mandatory procedures set forth by the military on how to “minimize any type of smoke exposures to the camp population” or to “take all possible and reasonable actions to protect human health and preserve the environment,” the standards set forth in Task Order 139 and SOP 5(c) appear to involve judgment and choice and therefore may pertain to discretionary functions. Claims arising out of the authorized performance of discretionary functions delegated to the Defendants by the military likely would be barred by derivative sovereign immunity (or perhaps more appropriately by federal preemption) based on the discretionary function exception. The claims that survive the derivative sovereign immunity doctrine based on the discretionary function exception must arise out of violations of military directives, not the Defendants’ exercise of their discretion validly conferred by LOGCAP III or otherwise by the military.
3. Westfall v. Erwin
In
Westfall,
a civilian warehouse employee of the Federal Government stationed in an army depot in Alabama suffered chemical burns to his eyes and throat when he inhaled soda ash dust that had spilled from its bag.
Affirming the Eleventh Circuit’s decision, the Supreme Court in
Westfall
recognized an absolute immunity from state-law tort liability for federal officials exercising discretion while acting within the scope of their employment.
Id.
Relying on
Barr v. Matteo,
At the end of the
Westfall
decision, the Supreme Court specifically invited Congress to establish “[legislative standards governing the immunity of federal employees involved in state-law tort actions.”
See
On its face,
Westfall
applies only to federal officials, and the Supreme Court has never extended federal official immunity to nongovernment employees, such as government contractors.
See Boyle,
Assuming, however, that a government contractor may claim entitlement to federal official immunity without looking through the lens of
Yearsley,
Defendants’ defense still fails. If government contractors are going to qualify for federal official immunity, they must, at the very least, satisfy the conditions that federal officials would have to satisfy under
Westfall.
Those conditions include (1) the conduct in question being within the scope of the official’s duties and (2) the official having discretion to engage in the conduct.
Westfall,
Furthermore, the Court is not prepared to say at this stage in the litigation that the “contributions of immunity to effective government ... outweigh the perhaps recurring harm to individual citizens.”
Westfall,
The contributions of immunity to effective government are not trivial. Permitting the Plaintiffs’ lawsuit to proceed could subject military personnel and contractors to lengthy and distracting court or deposition proceedings and cause government contractors to refuse to bid on government contracts or raise the amount of their bids.
See
Defs.’ Reply 19. Yet, the benefits of conferring immunity on Defendants are tempered by Plaintiffs’ narrowly tailored claims that Defendants decided to treat water and dispose of waste in a manner unauthorized by the military. Holding a government contractor accountable for injuries resulting from its defiance of military orders would seem to contribute to, rather than detract from, effective government, although the U.S. government is arguably “in the best position to monitor wrongful activity by contractors, either by terminating their contracts or through criminal prosecution.”
Bentzlin v. Hughes Aircraft Co.,
The costs, however, of blanketing government contractors with the sovereign’s cloak of immunity at this early stage of the litigation are significant. In this case, Plaintiffs seek compensation for injuries resulting from exposure to burn pit emissions and contaminated water, which they allegedly would not have suffered absent what they claim were the Defendants’ decisions to breach LOGCAP III without the necessary military permission and to otherwise disobey military directives. Assuming the truth of these allegations, refusing such victims compensation and allowing Defendants’ allegedly unauthorized conduct to go unredressed would be contrary to the most fundamental tenets of our legal system.
See Westfall,
Based on this preliminary balancing of interests, it cannot be said at this juncture that the public interest demands that the
Westfall
absolute immunity protect Defendants to the same extent it protects federal officials. Plaintiffs contend, and the Court agrees, that this case can proceed while “insulating] the decisionmaking process from the harassment of prospective litigation.”
See Westfall,
4. Mangold v. Analytic Services, Inc.
The Fourth Circuit in
Mangold
extended the absolute immunity for federal officials recognized in
Westfall
and
Barr,
in conjunction with a common law immunity protecting witnesses in an official investigation, to a government contractor and its employees.
The Fourth Circuit first identified the government’s decision to investigate suspected fraud, waste, and mismanagement in the administration of government contracts as a discretionary function protected under Westfall and Barr. Id. at 1447. Because such investigations would be effective only if investigators were able to obtain the cooperation of witnesses, the Fourth Circuit reasoned that cooperating government employees should also be protected. Id. The Fourth Circuit continued: “Extending such immunity to the private sector, in the narrow circumstances where the public interest in efficient government outweighs the costs of granting such immunity, comports with the principles underlying the immunity recognized in Barr and Westfall, since the scope of that immunity is defined by the nature of the junction being performed and not by the office or the position of the particular employee involved.” Id. The Fourth Circuit opinion also stated that “the reasoning in Westfall provides only a partial foundation for protecting witnesses cooperating in an official investigation,” id. at 1448, and, to provide the remaining foundation for immunity, it relied on the “common law privilege to testify with absolute immunity in courts of law, before grand juries, and before government investigators,” id. at 1449.
Defendants urge the Court to follow what they perceive to be the analytical framework outlined by the Fourth Circuit in
Mangold. See
Defs.’ Reply 15. They contend that
Mangold
applied a two-part test to determine whether a government contractor could benefit from federal official immunity.
See id.
According to Defendants, the Fourth Circuit determined, first, that government employees would be immune from suit for engaging in the same conduct as the contractor, and, sec
*973
ond, that extending that same immunity to the private contractor defendant was in the public interest because “to allow such tort liability, whether against government employees or private contractors, would tend to make government less efficient.”
Id.
(quoting
Mangold,
Plaintiffs contend that the test Defendants have formulated based on Mangold overreaches. See Pls.’ Opp’n 41. Such a test, in Plaintiffs’ view, would confer automatic immunity on contractors merely by entering into service contracts under which corporate employees perform functions otherwise handled by government employees. See id. Instead, they propose that the Court follow Westfall and view Mangold as being primarily applicable to contractors facilitating government investigations. See id.
While
Mangold
purports to extend the federal official immunity recognized in
Westfall
and
Barr
to government contractors, the record in the case does not show that the contractor and its employees deserved the federal official immunity recognized in
Westfall.
Instead, the opinion emphasizes the immunity which protects witnesses in government-sponsored investigations and adjudications. In order for the government contractor and its employees to have qualified for federal official immunity under
Westfall,
the Fourth Circuit would have had to have found, at the very least, that the contractors were acting within the scope of their contract and performing a discretionary function.
9
The Fourth Circuit made no such finding, and it is doubtful that merely answering questions and providing information in response to Air Force queries would constitute discretionary acts within the scope of their employment.
See Berkovitz,
Because the Fourth Circuit relied on a combination of two immunities, one of which is inapplicable to this case, the Court declines to parse
Mangold
into two distinct holdings in order to create a theory of immunity deriving from federal official immunity that requires less of government contractors than
Westfall
would require of federal officials.
Mangold
is a unique case best limited to its facts.
See
Andrew Finkelman,
Suing the Hired Guns: An Analysis of Two Federal Defenses To Tort Lawsuits Against Military Contractors,
34 Brook. J. Int’l L. 395, 419
*974
n. 148 (“Research discloses no case that has so extended the principle announced in
Mangold
outside of the government investigation or financial intermediary context.”).
But see Servco Solutions v. CACI Int’l, Inc.,
No. 1:07cv908 (JCC),
In the alternative, even if Mangold had created the Defendants’ proposed two-pronged test, the second prong relating to the public interest is not satisfied. As discussed above, see supra Part II.B.3, the Court is not ready to hold, without the benefit of any discovery, that the public interest in efficient government outweighs the costs of granting Defendants’ absolute immunity.
C. Combatant Activities Exception
Finally, Defendants seek dismissal under the FTCA’s combatant activities exception, which preserves the sovereign’s immunity against “[a]ny claim arising out of the combatant activities of the military or naval forces, or the Coast Guard, during time of war.” 28 U.S.C. § 2680(j). The statute leaves the terms “arising out of’ and “combatant activities” undefined, so courts have been left to clarify their meanings. Only a handful of courts have done so, and they seemingly disagree about the necessity of physical force.
Compare Johnson v. United States,
Two courts of appeals, relying on
Boyle,
have held that the federal interests embodied in the combatant activities exceptions conflict with and therefore preempt tort suits against government contractors arising out of combatant activities. The first was
Koohi v. United States,
The second case was
Saleh v. Titan Corp.,
The D.C. Circuit decided that the district court judge “properly focused on the chain of command and the degree of integration that, in fact, existed between the military and both contractors’ employees rather than the contract terms,” but eliminated the exclusive control component of the district court’s legal test. Id. at 6. The D.C. Circuit’s test provides: “During wartime, where a private service contractor is integrated into combatant activities over which the military retains command authority, a tort claim arising out of the contractor’s engagement in such activities shall be preempted.” Id. at 9. This “battle-field preemption” test is appropriate in the D.C. Circuit’s view because the “imposition per se ” of the state tort law conflicts with the policy behind the combatant activities exception of “eliminating tort concepts from the battlefield.” Id. at 7. At the same time, the D.C. Circuit “recognize[d] that a service contractor might be supplying services in such a discrete manner—perhaps even in a battlefield context—that those services could be judged separate and apart from combat activities of the U.S. military.” Id. at 9.
Despite being presented with facts very similar to those in
Saleh,
Judge Peter J. Messitte of this Court recently declined to use the combatant activities exception as a basis for the government contractor defense in
Al-Quraishi v. Nakhla,
No. PJM 08-1696,
*976 Relying primarily on Saleh, Defendants argue that Plaintiffs’ claims are preempted by the federal interests embodied in the combatant activities exception. See Defs.’ Mem. Supp. Dismiss 42-46. They contend that they were “integrated and performing a common mission with the military under military command,” id. at 45 (quotation marks omitted), and that “imposition of state tort law duties from 42 different states would necessarily conflict with the FTCA’s policy of eliminating tort concepts from the battlefield,” id.
Emphasizing the absence of facts in the record demonstrating direct command control of the military, Plaintiffs distinguish Saleh based on the procedural posture of that case. See Pis.’ Opp’n at 48-49. Putting Saleh aside, Plaintiffs primarily argue that Defendants do not qualify for the combatant activities exception because their conduct does not fit within its scope. See id. at 45. In Plaintiffs’ view, their claims arise from Defendants’ provision of waste disposal and water treatment services, not from military conduct during combat. See id.
Notwithstanding their disavowal of the government contractor defense and Boyle at this stage of the litigation, Defendants nevertheless rely on cases involving application of the Boyle-styled preemption defense to support their argument that Plaintiffs’ claims are preempted based on the principles embodied in the combatant activities exception. See Defs.’ Mem. Supp. Dismiss 43-45 (relying on Saleh and Koohi to demonstrate that Plaintiffs’ claims are preempted). Apparently puzzled by Defendants’ position, Plaintiffs interpret their combatant activities argument as a derivative sovereign immunity argument, not a preemption defense. See Pis.’ Opp’n 44-45. The Court will assume for purposes of this motion that Defendants are raising a Boyle-styled, conflict preemption defense based on the combatant activities exception as opposed to a separate basis for the assertion of derivative sovereign immunity. 10
Defendants’ preemption defense is premature. Although raised as a challenge to this Court’s subject matter jurisdiction under Rule 12(b)(1), preemption does not normally concern the subject-matter jurisdiction of a court to hear a claim. “Rather, the doctrine generally concerns the merits of the claim itself, namely, whether it is viable and which sovereign’s law will govern its resolution.”
Trollinger v. Tyson Foods, Inc.,
First, whether Plaintiffs’ claims “aris[e] out of the combatant activities” in Iraq and Afghanistan within the meaning of the combatant activities exception is not clear at this stage. 28 U.S.C. § 2680(j). Just because Plaintiffs’ claims arise out of services provided in support of a war effort does not mean that they necessarily arise out of “combatant activities.” Determin
*977
ing whether waste disposal and water treatment are sufficiently related to the “exercise of physical force,”
Al Shimari
Second, the Court questions whether a “significant conflict” exists between the federal interest embodied in the combatant activities exception and the operation of state law in this case.
See Boyle,
Lastly, assuming without deciding that the
Saleh
degree of integration test appropriately defines the scope of displacement necessary to secure the federal interests concerned,
12
the Court cannot assess on this minimal record the extent to which the government contractors were integrated
*978
into the military chain of command. In
Saleh,
the D.C. Circuit approved of the district judge’s focus “on the chain of command and the degree of integration that, in fact, existed between the military and both contractors’ employees rather than the contract terms.”
II. The First Consolidated MDL Complaint
Lastly, the Court must address Plaintiffs’ consolidated MDL complaint. At the February 23, 2010 initial case management conference in this action, the Court ordered Plaintiffs to file a consolidated complaint in this action that would consolidate all of the allegations made in their forty-three individual complaints into one document so that the Court would not need to refer to forty-three separate complaints. See Hr’g Tr. 22:3-11, Feb. 23, 2010. The Court made clear that the consolidated complaint should not “deviate in any significant degree from the existing complaints that are the subject of [Defendants’] Motion To Dismiss.” Hr’g Tr. 22:5-7. Contrary to these clear instructions, Plaintiffs filed a consolidated complaint on March 9, 2010 that contained new allegations and new plaintiffs nowhere to be found in the original forty-three original complaints Plaintiffs filed in this action. Compare, e.g., Compl., ECF No. 1 in Civil Action No. RWT-09-2748, with Pis.’ First Consol. MDL Compl., ECF No. 49. Accordingly, the Court will grant Defendants’ Motion To Strike Plaintiffs’ First Consolidated MDL Complaint. See Defs.’ Mot. To Strike, ECF No. 52. Striking the Plaintiffs’ First Consolidated MDL Complaint is of little consequence, however, because the Court has consolidated into this multidistrict litigation the complaint in Jobes v. KBR, Inc., et al., which is nearly *979 identical to Plaintiffs’ First Consolidated MDL Complaint. See Compl., ECF No. 1 in Civil Action No. RWT-10-00836.
III. Conclusion
At the outset of this Opinion, the Court noted that subjecting government contractors operating in war zones to private civil suits under state tort law requires the exercise of caution by the judiciary. While the Court will deny the motions of the Defendants to dismiss for lack of subject matter jurisdiction, 14 the full fury of unlimited discovery will not be unleashed at this time. Rather, the Court will require that the parties to the litigation meet and confer and develop, hopefully jointly, a proposed plan for carefully limited discovery consistent with the views expressed in this Opinion. Recognizing the importance of not overly burdening the military and its personnel with onerous and intrusive discovery requests, the Court will also invite the participation of the United States, as amicus curiae, in formulating the discovery plan. The Court will direct the submission of a joint discovery plan, noting any portions to which objection is made, on or before October 29, 2010. 15 The Court will then review that proposal and enter a further order authorizing specific discovery.
ORDER
Upon consideration of the Defendants’ Motion To Dismiss for Lack of Subject Matter Jurisdiction [ECF No. 21], Defendants’ Motion To Strike Plaintiffs’ First Consolidated MDL Complaint [ECF No. 52], Defendants Motion To Dismiss for Lack of Subject Matter Jurisdiction relating to Bishop v. Kellogg, Brown & Root, LLC, et al., Civil Case No. RWT-10-814 [ECF No. 60], Defendants’ Motion To Dismiss Johnson (Texas) for Lack of Subject Matter Jurisdiction [ECF No. 62], the opposition, replies, and supplemental memoranda thereto, and the argument of counsel at the hearing held on June 4, 2010, it is, for the reasons stated in the accompanying Memorandum Opinion, on this 8th day of September, 2010, by the United States District Court for the District of Maryland, hereby
ORDERED, that Defendants’ Motion To Dismiss for Lack of Subject Matter Jurisdiction [ECF No. 21] is DENIED WITHOUT PREJUDICE, and it is further
ORDERED, that Defendants’ Motion To Strike Plaintiffs’ First Consolidated MDL Complaint [ECF No. 52] is GRANTED, and it is further
ORDERED, that Defendants Motion To Dismiss for Lack of Subject Matter Jurisdiction relating to Bishop v. Kellogg, Brown & Root, LLC, et al., Civil Case No. RWT-10-814 [ECF No. 60] is DENIED WITHOUT PREJUDICE, and it is further
*980 ORDERED, that Defendants’ Motion To Dismiss Johnson (Texas) for Lack of Subject Matter Jurisdiction [ECF No. 62] is DENIED WITHOUT PREJUDICE, and it is further
ORDERED, that the United States of America is REQUESTED to participate in this case as amicus curiae for the purposes set forth in the accompanying Memorandum Opinion, and it is further
ORDERED, that the Clerk of the Court PROVIDE a copy of the Memorandum Opinion and this Order to the United States Attorney for the District of Maryland, and it is further
ORDERED, that counsel for the Plaintiffs, Defendants, and the United States of America SHALL FILE a joint proposed discovery plan consistent with the views of the accompanying Memorandum Opinion on or before October 29, 2010.
Notes
. The LOGCAP III contract was modified effective December 14, 2003 to substitute Defendant Kellogg Brown & Root Services, Inc. as the contracting party.
See
Joint Position Paper ¶ 6 n. 3;
see also Martin v. Halliburton,
. Another defense potentially available to contractors is the Defense Base Act, 42 U.S.C. §§ 1651-54 (2006), which precludes contractor employees from pursuing a negligence claim against their employer for injuries incurred while performing a government contract outside the United States.
See
42 U.S.C. § 1651(c). In addition, defense contractors may draw on legal protections traditionally afforded to the Government and its employees by asserting a defense based on the Federal Employees Liability Reform and Tort Compensation (Westfall) Act of 1988, Pub.L. No. 100-694, 102 Stat. 4563 (codified in scattered sections of 28 U.S.C.), or the
Feres
doctrine,
see Feres v. United States,
. Article I, Section 8 of the U.S. Constitution grants to Congress authority to raise and support Armies, to provide and maintain a Navy, and to make rules for the government and regulation of the land and Naval forces. See U.S. Const, art. I, § 8, cl. 12-14.
. By the same token, the Court thinks it appropriate to use the principles embodied in the combatant activities exception as a potential basis for preemption, notwithstanding the FTCA’s exclusion of government contractors from its scope. See infra Part II.C.
.
See Ackerson v. Bean Dredging LLC,
. Unlike the Fourth Circuit, the Eleventh Circuit requires a contractor to prove that it was a "common law agent of the government at the time of the conduct underlying the lawsuit” in order to qualify for derivative sovereign immunity.
McMahon,
. While the Fourth Circuit in
Butters
clearly embraced use of the phrase "derivative sovereign immunity,” this Court views "derivative sovereign immunity” as the practical result of preempting claims that are inconsistent with an important governmental interest rather than as a true immunity, in law, belonging to government contractors. From this Court's perspective, the rationale of the Fourth Circuit’s decision in
Butters
is virtually indistinguishable from the logic underpinning the preemption-based government contractor defense embraced in
Boyle.
For example, the Fourth Circuit in
Butters
noted that "[i]mposing liability on private agents of the government would directly impede the significant governmental interest in the completion of its work,”
.See also Shaw
v.
Grumman Aerospace Corp.,
.
See Murray v. Northrop Grumman Info. Tech., Inc.,
. Even if Defendants were arguing entitlement to derivative sovereign immunity based on the combatant activities exception, this Court would still require that Defendants meet the conditions set forth in Yearsley, which Defendants have not done. See supra Part I.B.2.
. District courts have disagreed about whether maintaining electrical systems is within the scope of the combatant activities exception.
Compare Taylor,
Civil No. 2:09cv341,
. This Court has concerns similar to those described by Judge Messitte in
Al-Quraishi
about allowing the combatant activities exception to serve as a basis for the government contractor defense set forth in
Boyle. See Al-Quraishi,
No. PJM 08-1696, 728
*978
F.Supp.2d at -,
. The excerpts of LOGCAP III in the record do not support a finding of integration. See Pis.’ Opp’n Ex. 2 at 3-2(d)(8) (“Contractors will not be used to perform inherently governmental functions.”); id. at (d)(5) ("Contractors can be used only in selected combat support and combat service support activities. They may not be used in any role that would jeopardize their role as noncombatants.”); id. at (d)(2) ("Contract employees will not be under the direct supervision or evaluation of military or the Department of the Army civilians except as provided [in regulations]. The contractor will provide the supervisory and management personnel for each contract as well as on-site liaison with functional U.S. organizations. ’').
. The denial of the motions will be without prejudice to the filing of new motions once the limited discovery is concluded.
. The Court also notes that the United States Court of Appeals for the Fourth Circuit has scheduled oral argument on October 26, 2010 before a single panel in three cases that address many of the arguments that have been presented by the parties in this case.
See Al Shimari v. CACI Premier Tech., Inc.,
