The opinion in this case filed on March 23, 2010,
Martin v. Halliburton,
Defendants-appellants, affiliated governmental contractors providing logistical support to the United States Army in Iraq, appeal the denial of their Rule 12(b)(1) motion to dismiss for lack of subject matter jurisdiction. Plaintiffs-appellees move to dismiss the appeal for lack of subject matter jurisdiction. We lack subject matter jurisdiction and must dismiss the appeal.
I. BACKGROUND
A. Factual Background
This case reaches us still in its infancy, and the record is accordingly underdeveloped. The facts that follow are drawn primarily from the complaint below and from attachments tо motions filed in the district court.
Defendants 1 are affiliated governmental contractors providing logistical support to *479 the United States military in Iraq. Plaintiff-appellee Kristen Martin is the adult daughter of Donald Tolfree, a civilian employed by Defendants. Tolfree was recruited by Defendants in December 2006 to drive trucks in convoys in Iraq. Martin alleges that Tolfree relied on Defendants’ assurances that he would be 100% safe and protected by the United States military during his employment in Iraq. Tolfree arrived in Iraq in January 2007, where he was assigned to Logistics Support Area (LSA) Anaconda. In February 2007, he was asked if he would volunteer to drive a “chase truck” in an upcoming convoy. 2 Tolfree agreed to do so.
Martin’s complaint alleges that Defendants acted negligently in executing the convoy operation. According to Martin’s complaint, there was no written policy regarding the use of chase trucks, and Tolfree — who had been onsite for less than one month — was not told of any unwritten policies. Tolfree believed that his duty' was to follow the convoy from its departure point within LSA Anaconda to the base’s north gate, a distance of about ten miles. He believed that he would be contacted by radio and instructed to turn around at the appropriate time. Tolfree’s chase truck was equipped with a non-military radio, and a radio dead zone prevents non-military radio communications around the perimeter of LSA Anaconda. As a result, Tolfree followed the convoy past the north gate, at which point Defendants radioed for “the extras” to turn around. Tolfree did so, passing at least two vehicles at the rear of the convoy. The drivers of those vehicles confirmed with the convoy commander that the extra trucks were no longer to be part of the convoy. The convoy commander did not contact the sentry posted at the north gate about Tolfree’s return.
Military protocol requires trucks such as the one Tolfree was driving to be accompanied by gun trucks during a return to camp. The sentry posted at the north gate of LSA Anaconda saw Tolfree’s chase truck returning and, noting that none of Defendants’ trucks was scheduled to enter the camp, applied protocol for dealing with unscheduled and unescorted vehicles attempting to enter LSA Anaconda. Tolfree died instantly when a gunner fired one hundred .50-caliber rounds into the chase truck.
Martin alleges that a representative of Defendants falsely informed her that Tolfree had been killed by an insurgent’s roadside bomb rather than by friendly fire. Her complaint alleges that Defendants continued to misrepresent the circumstances of Tolfree’s death as late as a year after thе fact.
B. The Logistics Civil Augmentation Program
Defendants’ involvement in convoy operations in Iraq occurs under the auspices of the Logistics Civil Augmentation Program (LOGCAP). In 1985, the United States Army issued Army Regulation 700-137, which initiated LOGCAP. Army Reg. 700-137, at 1-1 (Dec. 16, 1985). The LOGCAP regulations describe LOGCAP’s purpose as “to preplan for the use of civilian contractors to perform selected services in wartime to augment Army forces. Utilization of civilian contractors in a theater of operation will release military units for other missions or fill shortfalls.” Id. *480 The LOGCAP regulations expressly state that “[cjontractors will not be used to perform inherently governmental functions.” Id. at 3 — 2(d)(8). The term “governmental function” is defined as “[a] function which is so intimately related to the public interest as to mandate performance by Government employees. These functions include those activities which require either the exercise of discretion in applying Government authority or the use of value judgments in making decisions for the Government.” Id. at Glossary § I.
On December 14, 2001, under the authority of the LOGCAP Program, the Army awarded Contract No. DAAA09-02D-0007 (the “LOGCAP III Contract”) to Brown & Root Services, Inc., a division of Kellogg Brown & Root. 3 The LOGCAP III Contract was designated a “rated order” contract, making its performance mandatory under the Defense Production Act of 1950 (DPA), 50 U.S.C. app. §§ 2061-2171. The willful failure to perform a rated order contract carries a criminal penalty. See id. §§ 2071(a) & 2073. Defendants aver that the logistics and transportаtion services in which Tolfree was engaged were performed pursuant to Task Order 139, issued by the Army in August 2006. Only the first two pages of the LOGCAP III Contract are in the record, and Task Order 139 is completely absent. Martin alleges (and Defendants admit in their answer) that there was a novation of the LOGCAP III Contract in 2003 that transferred contractual duties from Kellogg Brown & Root to Kellogg Brown & Root Services. The two pages from the LOGCAP III Contract that are in the record bear a date stamp of December 14, 2001, which precedes the novation by a minimum of one year.
C. Procedural History
Martin filed a diversity suit in district court on February 5, 2009, asserting state law tort claims against Defendants for their actions in recruiting Tolfree, executing the convoy operation, and misrepresenting the cause of his death. 4 On April 3, 2009, Defendants moved to dismiss for lack of subject matter jurisdiction under Rule 12(b)(1) of the Federal Rules of Civil Procedure, urging several distinct theories: (1) official immunity; (2) derivative sovereign immunity; (3) immunity under the DPA; and (4) preemption of state law under the combatant activities exception to the Federal Tort Claims Act (FTCA). Several exhibits were attached to their motion, including two Army regulations, an Army field manual, and two pages of the LOGCAP III Contract. 5 The district *481 court denied the motion without opinion or explanation on June 8, 2009. 6 Defendants then filed an answer and appealed the district court’s order. The record does not reflect that Defendants requested that the district court either explain its decision or certify the decision for interlocutory appeal under 28 U.S.C. § 1292(b). 7 Before any briefs had been filed, Martin filed a motion before this court to dismiss the appeal as interlocutory; that motion was carried with the case. The district court ordered further proceedings stayed pending the outcome of this appeal.
II. DISCUSSION
Before we can proceed to the merits of this appeal, we must examine whether we have jurisdiction to do so. We have jurisdiction to determine our own jurisdiction.
Henry v. Lake Charles Am. Press, L.L.C.,
Our appellate jurisdiction is ordinarily limited to “final decisions of the district courts of the United States.” 28 U.S.C. § 1291. “For purposes of § 1291, a final judgment is normally deemed not to have occurred until there has been a decision by the District Court that ends the litigation on the merits and leaves nothing for the court to do but execute the judgment.”
Henry,
Defendants urge that the collateral order doctrine recognized in
Cohen v. Beneficial Industrial Loan Corp.,
The requirements for collateral order appeal have been distilled down to three conditions: that an order [1] conclusively determine the disputed question, [2] resolve an important issue completely separate from the merits of the action, and [3] be effectively unreviewable on appeal from a final judgment. The conditions are stringent, and unless they are kept so, the underlying doctrine will overpower the substantial finality interests § 1291 is meant to further: judicial efficiency, for example, and the sensible policy of avoiding] the obstruction to just claims that would come from permitting the harassment and cost of a succession of separate appeals from the various rulings to which a litigation may give rise.
Accordingly, we have not mentioned applying the collateral order doctrine recently without emphasizing its modest scope. And we have meant what we have said; although the Court has been asked many times to expand the small class of collaterally appealable orders, we have instead kept it narrow and selective in its membership.
Will,
The universe of orders from which collateral order review may be taken is relatively limited.
9
The Supreme Court has identified a handful of orders that are collaterally renewable,
10
and we have al
*483
lowed such review for others.
11
Defendants have seized upon the fact that such orders typically involve “denials of various forms of immunity.”
Henry,
We must therefore examine each of the rights Defendants asserted before the district court and now seek to appeal to determine whether the district court’s denial of that claimed right is a collateral order that Defendants may immediately appeal. In undertaking this jurisdictional analysis, we do not explore the underlying merits of any of the claims Defendants press on appeal.
A. Official Immunity
Defendants first claim that we have jurisdiction to review the denial of their official immunity defense under
Westfall v. Erwin,
*484
As originally articulated, the
Westfall
defense provided that “absolute immunity from state-law tort actions should be available only when the conduct of federal officials is within the scope of them official duties
and
the conduct is discretionary in nature.”
Westfall,
We cannot conclude, based on the limited record before us, that Defendants have made a substantial showing of entitlement to official immunity under
West-fall.
As discussed above, the LOGCAP regulations expressly provide that “[contractors will not be used to perform inherently governmental functions.” Army Reg. 700-137, at 3-2(d)(8). The term “governmental function” is defined as “[a] function which is so intimately related to the public interest as to mandate performance by Government employees. These functions include those activities which require
either the exercise of discretion
in applying Government authority or
the use of value judgments
in making decisions for the Government.”
Id.
at Glossary § I (emphases added). This language expressly precludes Defendants from engaging in discretionary conduct, a prerequisite for entitlement to the
Westfall
defense.
12
Defendants cite several actions that they performed — allowing Tolfree’s truck to return to LSA Anaconda without coordinating its return and training and supervising employees — but these do not rise to the level of being “activities that involve ‘poliсy-making work for the United States Government.’ ”
NF Indus.,
B. Derivative Sovereign Immunity
Defendants also claim that the denial of their claim of derivative sovereign
*485
immunity “under theories of agency and state action” is an immediately appealable collateral order.
14
In
Houston Community Hospital,
a private insurance carrier under contract with the Government to provide health benefit plans to federal employees sought to appeal the denial of its claim of derivative sovereign immunity.
C. Defense Production Act
The district court’s order also denied Defendants’ claim of immunity under § 707 of the DPA, 50 U.S.C. app. § 2157. The DPA authorizes the executive to require the acceptance and priority performance of designated contracts, id. § 2071(a), under threat of criminal penalties, id. § 2073. Section 707 provides:
No person shall be held liable for damages or penalties for any act or failure to act resulting directly or indirectly from compliance with a rule, regulation, or order issued pursuant to [the DPA], notwithstanding that any such rule, regulation, or order shall thereafter be declared by judicial or other competent authority to be invalid....
Id.
§ 2157. The Supreme Court has noted that § 707 “plainly provides immunity ... [b]y expressly providing a defense to liability.... ”
Hercules, Inc. v. United States,
D. Combatant Activities Exception
Finally, Defendants argue that we have jurisdiction to review the denial of their claim that Martin’s causes of action are preempted by the combatant activities exception to the Federal Tort Claims Act (FTCA), 28 U.S.C. § 2680(j). The FTCA abrogates the Government’s sоvereign immunity for torts committed by its employees in circumstances where, if the Government were a private person, the Government would be liable under state law. 28 U.S.C. §§ 1346(b)(1)
&
2674;
Villafranca v. United States,
Defendants argue that the combatant activities exception, which they acknowledge “does not apply directly to government contractors,” should be read as preempting Martin’s state law claims. They cite the decisions in
Saleh v. Titan Corp.,
While the denial of a claim of preemption by the combatant activities exception may be reviewed on appeal from a final judgment under § 1291 or, in an appropriate case, on interlocutory appeal under § 1292(b), it may not be immediately appealed under the collateral order doctrine. We have previously determined that the denial of a claim that state law is preempted by federal law is not an order that may be immediately appealed under the collateral order doctrine.
See Houston Cmty. Hosp.,
We conclude, like the Eleventh Circuit in
McMahon,
that the combatant activities exception is not subject to a
sui generis
exemption from the ordinary jurisdictional requirements for denials of preemption claims. This conclusion follows from
Saleh,
on which Defendants rely heavily in pressing their preemption argument. In
Saleh,
Iraqi nationals who had beеn imprisoned at the Abu Ghraib military prison during the war in Iraq brought claims against two private military contractors providing interrogation and translation services, respectively, asserting that they had been abused by employees of the contractors.
Id.
at 1-2. The district court in that case initially denied the contractors’ Rule 12 motion to dismiss based on combatant activities preemption because the contractors “ha[d] not produced sufficient factual support to justify [the doctrine’s] application.”
Ibrahim v. Titan Corp.,
Other than Titan’s Statement of Work, defendants[ ] have produced nothing beyond limited assertiоns to meet their factual burden of showing that they are entitled to [preemption]. More information is needed on what exactly defendants’ employees were doing in Iraq. What were their contractual responsibilities? To whom did they report? How were they supervised? What were the structures of command and control?
Id.
at 19. Following a year of discovery, the contractors moved for summary judgment, again asserting preemption.
Ibrahim v. Titan Corp.,
Here, by contrast, we are confronted with circumstances comparable to those
*488
present in
Ibrahim
I — a record too scant to permit an informed decision about the applicability of preemption under the combatant activities exception — that prompted the district court in that case to order limited discovery and development of the factual record. Instructively, the two appeals in
Saleh
reached the D.C. Circuit using the normal machinery of §§ 1291 and 1292(b) — the plaintiffs whose claims were dismissed on summary judgment against one defendant appealed from a final judgment under § 1291, while the contractor whose summary judgment motion was denied obtained certifiсation for interlocutory appeal under § 1292(b).
Id.
We agree that an appeal from an appropriately developed and supported interlocutory order denying a claim of preemption under the combatant activities exception may be handled using the certification procedure available under § 1292(b).
See id.
at 4 (accepting jurisdiction of certified § 1292(b) appeal of order denying claim of combatant activities preemption);
see also McMahon,
E. Further Development and Certification
We recognize that many of the immunity and preemption defenses asserted by the Defendants facially satisfy the terms for certification under § 1292(b) in that they “involve[ ] a controlling question of law as to which there is substantial ground for difference of opinion and ... an immediate appeal ... may materially advance the ultimate termination of the litigation.” 28 U.S.C. § 1292(b). Because the basis for many of these defenses is a respect for the interests of the Government in military matters, district courts should take care to develop and resolve such defenses at an early stage while avoiding, to the extent possible, any interference with military prerogatives. Thorough consideration should be given to limiting discovery initially to such defenses.
See Saleh,
F. Pendent Appellate Jurisdiction
Defendants claim that because they have “established that the District Court’s denial of at least one of its asserted defenses is a collateral order, [we] ha[ve] jurisdiction to review all of [Defendant’s] asserted defenses” under the pendent appellate juris *489 diction doctrine. We disagree that Defendants have established jurisdiction over at least one asserted defense, and we consequently do not assess the propriety of exercising pendent appellate jurisdiction here.
In a similar vein, Martin asserts that only Kellogg Brown & Root is a signatory to the LOGCAP III Contract and that the remaining Defendants are not entitled to immunity or collateral order review of the denial of that immunity. In light of our determination that we lack jurisdiction over any of the claims, we need not address this contention further.
III. CONCLUSION
Defendants have failed to carry their burden of establishing our jurisdiction over any aspect of this interlocutory appeal. Accordingly, we GRANT Martin’s motion to dismiss and DISMISS the appeal for lack of subject matter jurisdiction. In doing so, we express no opinion on the merits of Defendants’ claims.
The motion to dismiss is GRANTED; the appeal is DISMISSED. Costs shall be borne by Defendants.
Notes
. Spеcifically, they are Halliburton; KBR, Inc.; Kellogg Brown & Root, Inc.; Kellogg Brown & Root Services, Inc.; and Service Employees International, Inc. The complaint filed also listed ten individual defendants as “John Doe.” John Doe 1 is alleged to have been the "convoy commánder,” "an employee of Defendants acting in a supervisory/command capacity” over the decedent during the convoy operation at issue in this case. John *479 Doe 1 is not a party to this appeal. For simplicity, we refer to appellants collectively as “Defendants.”
. A "chase truck” is a semi-truck without an attached trailer that acts as a backup in the event that a truck with an attached trailer becomes disabled during the convoy.
. Some of Martin's allegations and the parties' arguments rely on the relationship of Defendants to each other and to the Government. Our resolution here does not require us to unravel those relationships, a task that would be challenging given the state of the record before us.
. The claims are for negligence, wrongful death, fraud and fraud in the inducement, intentional infliction of emotional distress, survivorship, and civil conspiracy to commit fraud. Martin also seeks punitive damages for fraud, malice, and gross negligence.
. We confess to being somewhat perplexed by Defendants' decision to move for dismissal under Rule 12(b)(1) without at least alternatively arguing that the case should be dismissed on the same grounds under Rule 12(b)(6) for failure to state a claim on which relief can be granted. The proper characterization of a motion to dismiss is not without legal consequences. "[T]he standard of Rule 12(b)(1) ... while similar to the standard of Rule 12(b)(6), permits the court to consider a broader range of materials in resolving the motion.”
Williams v. Wynne,
. As a rule, "[d]istrict courts should state for the record the reasons for denying immunity.” Morin v. Caire, 11 F.3d 116, 119 n. 3 (5th Cir.1996).
. Section 1292(b) provides:
When a district judge, in making in a civil action an order not otherwise appealable under this section, shall be of the opinion that such order involves a controlling question of law as to which there is substantial ground for difference of opinion and that an immediate appeal from the order may materially advance the ultimate terminаtion of the litigation, he shall so state in writing in such order. The Court of Appeals which would have jurisdiction of an appeal of such action may thereupon, in its discretion, permit an appeal to be taken from such order, if application is made to it within ten days after the entry of the order. ...
28 U.S.C. § 1292(b).
. Indeed, Defendants’ notice of appeal states that it "is based upon the collateral order doctrine” and does not refer to any other basis for appellate jurisdiction.
. We note that the denial of a motion to dismiss under Rule 12 may be immediately appealable under the collateral order doctrine in appropriate cases.
See Behrens,
. These are orders denying: absolute immunity,
Nixon v. Fitzgerald,
. Our cases have extended collateral order review to denials of: a defamation defendant’s invocation of an anti-SLAPP statute,
Henry,
. In light of our conclusion that, for determining our appellate jurisdiction, Defendants have failed to set forth а substantial claim of official immunity under the discretion prong of Westfall, we do not address the other prong — whether Defendants were acting within the scope of their official duties.
. Our analysis is necessarily hampered by the absence from the record of the substantive portions of the LOGCAP III Contract and Task Order 139, as well as any other documents that might prove relevant. Accordingly, we limit our holding on this aspect of the appeal to a determination that Defendants have failed to make the requisite showing on the record before us, and we do not foreclose the possibility that Defendants may ultimately demonstrate that they acted with the requisite discretion to wаrrant application of the West-fall defense.
. Defendants’ agency theory is based primarily on
Yearsley v. W.A. Ross Construction Co.,
Defendants’ state action theory seeks to combine
Dobyns v. E-Systems, Inc.,
. As we stated in Henry.
The Supreme Court has warned, however, that one must be careful not to play word games with the concept of a right not to be tried, for virtually every right that could be enforced appropriately by pretrial dismissal might loosely be described as conferring a right not to stand trial. There is a crucial distinction between a right not to be tried and a right whose remedy requires the dismissal of charges. A right not to be tried in the sense relevant to the Cohen exception rests upon an explicit statutory or constitutional guarantee that trial will not occur.
. We аre not alone in treating denials of claims of preemption as not subject to immediate review under the collateral order doctrine.
See, e.g., Joy Global, Inc. v. Wis. Dep’t of Workforce Dev. (In re Joy Global, Inc.),
. In discussing Koohi, Bentzlin, Ibrahim I, Ibrahim II, and Saleh, we express neither agreement nor disagreement with the tests or facts found significant by the respective courts that decided those cases, as our hold *488 ing renders it unnecessaiy for us to decide what must be shown to support preemption under the combatant activities exception.
