Opinion for the Court filed PER CURIAM.
This lawsuit challenges regulations issued by the Secretary of Labor pursuant to the Black Lung Benefits Act, as amended, 30 U.S.C. §§ 901-945 (1994) (“BLBA” or “Act”). The District Court upheld the ; regulations ■ against all challenges.' This appeal followed. For the reasons stated herein, we affirm in part and reverse in part. The case will be remanded to the District Court with instructions to remand the case to the Department of Labor for further proceedings consistent with this opinion.
*854 I. Background
The BLBA is a federally administered law providing benefits to coal miners who are totally disabled due to pneumoconiosis, also known as black lung disease, and to the surviving dependents of miners who died of the disease. Under the Act, coal mine operators are responsible for paying benefits to miners whose death or total disability due to black lung disease arose out of employment in the mines. 30 U.S.C. § 932. Black lung disease encompasses a cruel set of conditions that afflict a significant percentage of the nation’s coal miners with “severe, and frequently crippling, chronic respiratory impairment.”
Usery v. Turner Elkhorn Mining Co.,
A miner or his survivor may seek benefits under the Act by filing a claim with the District Director in the Department of Labor’s Office of Workers’ Compensation Programs (“OWCP”). After investigating the claim, the District Director determines whether the claimant is eligible for benefits and which employer will be held responsible. See 20 C.F.R. §§ 725.301-725.423 (2001) (all citations to the Code of Federal Regulations will be to the 2001 edition unless otherwise noted). If the employer cannot be identified, the claim is paid out of the Black Lung Disability Trust Fund (“the Fund”), which is financed by a tax on coal. See 30 U.S.C. §§ 932, 934; 26 U.S.C. §§ 4121,-9501(d)(1). Either party may appeal the District Director’s determination and request a hearing before an Administrative Law Judge (“ALJ”). 20 C.F.R. §§ 725.450-725.480. The ALJ’s decision may be appealed to the Department of Labor’s Benefits Review Board, id. § 725.481, and then to the Court of Appeals for the circuit in which the impairment occurred, 33 U.S.C. § 921(c); 20 C.F.R. § 725.482.
In 1997, the Secretary of Labor (“the Secretary,” “the Department,” or “the government”) issued a notice of proposed revisions to the rules governing the adjudication of miners’ claims under the BLBA. See Regulations Implementing the Federal Coal Mine Health and Safety Act of 1969, as Amended, 62 Fed. Reg. 3338-435 (proposed Jan. 22, 1997). The Secretary received approximately 200 comments and held two public hearings on the proposed rules. The Secretary also consulted the National Institute for Occupational Safety and Health (“NIOSH”), the federal agency charged with researching occupational health. See 29 U.S.C. § 671. Congress directed the Secretary to consult with NIOSH to establish criteria for medical tests to determine whether coal miners are totally disabled. 30 U.S.C. § 902(f).
In 1999, the Secretary issued another notice, announcing revisions to certain proposed regulations. See Regulations Implementing the Federal Coal Mine Health and Safety Act of 1969, as Amended, 64 Fed. Reg. 54,966-55,072 (proposed Oct. 8, 1999). After receiving more comments and testimony and consulting NIOSH and other experts, the Secretary promulgated the final rule, which would go into effect on January 19, 2001. See Regulations Implementing the Federal Coal Mine Health *855 and Safety Act of 1969, as Amended, 65 Fed. Reg. 79,920-80,107 (Dec. 20, 2000).
The appellants in this case include mine operators, insurance companies, and the National Mining Association (collectively “NMA”).. The BLBA requires coal mine operators to purchase insurance to cover their liabilities under the Act.
See
30 U.S.C. § 983 (governing employers’ insurance arrangements); 20 C.F.R. Part 726 (entitled “Black Lung Benefits; Requirements for Coal Mine Operator’s Insurance”). The Secretary of Labor anticipates that the new rules will impose costs on mine operators in the form of higher insurance premiums.
See
Almost immediately after the final regulations were announced, appellants sought declaratory and injunctive relief in the United States District Court for the District of Columbia. See Am. Compl. ¶ 1, reprinted in Joint Appendix (“J.A.”) 1. They challenged many of the rules as im-permissibly retroactive. See id. ¶ ¶ 19-23. They alleged that many of the rules violated the BLBA or applicable provisions of the Longshore and Harbor Workers Compensation Act (“LHWCA” or “Longshore Act”), 33 U.S.C. §§ 901-950, many provisions of which are incorporated by reference into the BLBA by 30 U.S.C. § 932(a). See Am. Compl. ¶ ¶ 24-26. They alleged that some of the rules impermissibly shifted the burden of proof. See id. ¶ ¶ 27-32. They alleged that certain rules ran afoul of the right to a full and fair hearing, treated parties unequally, or were arbitrary, capricious, and an abuse of discretion in contravention of the Administrative Procedure Act (“APA”). See id. ¶ ¶ 33-43. Finally, they alleged that the rulemaking procedure was inadequate and that the rules violated the due process guarantee of the Constitution. Id. ¶ ¶ 44-52. The United Mine Workers of America and other black lung advocates, including miners, intervened on behalf of the Secretary.
The District Court granted the NMA limited injunctive relief, but ultimately granted the Secretary’s motion for summary judgment, upholding the regulations in every respect.
Nat’l Mining Ass’n v. Chao,
The District Court next addressed NMA’s claim that many of the rules were impermissibly retroactive, in part because they applied to pending claims as well as claims filed after.the effective date of the regulations.
See NMA,
II. Discussion
A. Jurisdiction
The government challenged the District Court’s jurisdiction to hear appellants’ broad-scale attack on the Department’s regulations and reiterates that argument before us. It is the government’s contention that the mining companies may only challenge the regulations piecemeal, insofar as particular provisions are brought into question, by an appeal directly to the Court of Appeals from a compensation order of the Benefits Review Board. That is so, according to the government, because the BLBA provides that a person “adversely affected or aggrieved by a final order of the Board may obtain review of that order in the United States court of appeals for the circuit in which the injury occurred ...” 33 U.S.C. § 921(c) (emphasis added).
The obvious difficulty with the government’s position is that this provision putting exclusive review jurisdiction in the Court of Appeals speaks of orders, but Congress in passing the APA drew a distinction between orders, which typically follow adjudications, and regulations.
See National Treasury Employees Union v. Weise,
In that regard, the Supreme Court’s decision in
McNary v. Haitian Refugee Center, Inc.,
The Court read the phrase “determination respecting an application for adjustment of status” to refer only to an individual adjudication - not a determination made in a regulation. In our case, the word order is more obviously confined to
*857
an adjudication than the word determination, so therefore this case, linguistically, appears
a fortiori
to
McNary.
1
To be sure, the Court also observed that plaintiffs’ challenge to the procedures would not easily be remedied by individual appeals to the Court of Appeals, a notion we return to below.
Id.
at 496,
The government points to ■ another Supreme Court case,
Thunder Basin Coal Company v. Reich,
The government also relies on two circuit court cases,
Compensation Dep't of Dist. Five v. Marshall,
The Third Circuit held that the District Court lacked jurisdiction because the “scheme of review” established by Congress “for determination of black lung benefits” was exclusive; it provided administrative review and then review in the Court of Appeals. There was no reason why the United Mine Workers could not challenge the Secretary’s enforcement policy in an individual adjudication before the Benefits Review Board and, if necessary, in the Court of Appeals. The case therefore bears a strong resemblance to
Thunder
Basin; a plaintiff sought to short-circuit the administrative process by challenging a Department enforcement position in a district court.
Compare Compensation Department,
The Sixth Circuit’s
Louisville Nashville R.R
case is somewhat more problematic. There, fifteen railroads sought and gained an injunction in district court preventing the Secretary from extending coverage of the BLBA to railroad employees. The Department of Labor had issued guidelines defining the statutory term “transportation of coal” to include railroad employees if they were transporting coal between the extraction site and the tipple and if their work was necessary to the extraction process. The Sixth Circuit reversed, following the Third Circuit’s analysis in
Compensation Department,
pointing out that any railroad could contest the Secretary’s position before the Benefits Review Board, and if necessary challenge an
order
awarding benefits in the Court of Appeals. Although the guidelines involved seem a bit more generic than the enforcement policies implicated in either
Thunder Basin
or
Compensation Department,
the Secretary had not issued a formal regulation, as is true in our case, and again as in
Compensation Department,
In the case at bar the Secretary of Labor has chosen, as was not true in any of the cases upon which the government relies, to gain all of the law-declaring attributes of an APA notice-and-comment rulemaking.
Trans-Pacific Freight Conference of Japan/Korea v. Federal Maritime Comm’n,
B. Retroactivity
Appellants argue that some of the provisions in the new regulations are impermis-sibly retroactive. In particular, appellants cite the following rules: §§ 718.104(d), 718.201(a)(2), 718.201(c), 718.204(a), 725.101(a)(6), 725.101(a)(31), 725.204, 725.212(b), 725.213(c), 725.214(d), 725.219(c), 725.219(d), 725.309(d), and 725.701. We will address each rule in turn.
1. Legal Principles Governing Retroac-tivity
The general legal principles governing retroactivity are relatively easy to state, although not as easy to apply. An agency may not promulgate retroactive rules absent express congressional authority.
Bowen v. Georgetown Univ. Hosp.,
The Secretary argues that none of the rules is retroactive, even as applied to pending claims, because all are merely procedural and do not confer new substantive rights or liabilities.
See Landgraf,
Rather than rely on “procedural” and “substantive” labels, a court must “ask whether the [regulation] operates retroactively.”
Id.
This inquiry involves a “com
*860
monsense, functional judgment , about ‘whether the new provision attaches new legal consequences to events completed before its enactment.’ ”,
Id.
at 357-58,
The Secretary argues, and the District Court agreed, that none of the challenged rules changes the landscape, because the rules merely clarify the Secretary’s position or conform to cases decided by the Courts of Appeals. In analyzing each new regulation, we first look to see whether it effects a substantive change from the agency’s prior regulation or practice. If a new regulation is substantively consistent with prior regulations or prior agency practices, and has been accepted by all Courts of Appeals to consider the issue, then its application to pending cases has no retroactive effect. If a new regulation is substantively inconsistent with a prior regulation, prior agency practice, or any Court of Appeals decision rejecting a prior regulation or agency practice, it is retroactive as applied to pending claims.
Some of the challenged rules here codify the results of a case in one circuit while effectively reversing a case in another circuit in which the court rejected the Secretary’s practice or policy. Such rules change the legal landscape as applied to cases that were pending when the regulations were promulgated.
See National Mining,
2. Application of Legal Principles to Challenged Rules
We find some of the challenged rules to be impermissibly retroactive as applied to claims that were pending on the regulations’ effective date. None of the new regulations is retroactive as to claims filed on or after the effective date. The distinction between pending and newly filed claims is one on which appellants rely in their briefs. See Br. for Appellants at 15 n.6 (stating that the relevant date for purposes of retroactivity is the date the claim is filed, as that is the last date on which the operators’ and insurers’ transactions are closed and expectations are settled); Reply Br. for Appellants at 4 (arguing that the Secretary “fails to explain why key provisions are expressly made retroactively applicable to pending and previously filed claims,” while saying nothing about claims filed after the effective date). Moreover, NMA never affirmatively argues that the rules should be considered retroactive as applied to claims first filed after the effective date. Nor would the record support such an argument.
*861 Appellants do argue that the regulations are retroactive as applied to newly filed claims when those claims are “subsequent claims.” We reject this argument. Under both the new and old regulations, a miner whose claim is initially denied may later file a new claim if he subsequently develops black lung disease or can show that another condition of entitlement has changed. See 20 C.F.R. § 725.309(d). As we explain in more detail below, a claimant bringing such a claim still bears the burden of demonstrating that he meets all of the relevant conditions. For this reason, we agree with the Secretary that such claims are new claims to which the application of the new regulations is permissible.
20 C.F.R. § 718.101(d): The “treating physician rule” instructs the officer adjudicating a miner’s claim to consider the relationship between the miner and any treating physician whose report is submitted when determining whether the min-, er suffers from black lung disease and whether he was totally disabled or died because of the disease. The disputed rule instructs the officer to consider the nature of the relationship (a doctor’s opinion is entitled to more weight if he has treated the miner for pulmonary, as opposed to non-pulmonary, conditions), its duration, the frequency of treatment, and the extent of treatment in weighing the doctor’s opinion along with the other evidence. 20 C.F.R. § 718.104(d)(l)-(4). The regulation provides that in “appropriate cases,” the doctor-patient relationship “may constitute substantial evidence in support of the adjudication officer’s decision to give that physician’s opinion controlling weight,” but only when the weight given is based'on the credibility of that physician’s opinion “in light of its reasoning and documentation, other relevant evidence and the record as a whole.” Id. § 718.104(d)(5) (emphasis added). It applies both to pending claims and claims filed after the regulations’ effective date. See id. §§ 718.2, 725.4(a) (setting forth the applicability of the regulations in Part 718). The old- rule said nothing about the relationship between the miner -and the evaluating doctor. See 20 C.F.R. § 718.104 (2000).
We hold that treating physician rule is not retroactive, because it codifies judicial precedent and does not work a substantive change in the law. NMA argues that the rule contravenes a number of court decisions. This argument is unfounded. The consensus among courts has been that an agency adjudicator " may give weight to the treating physician’s opinion when doing so makes sense in light of the evidence and the record, but may not mechanistically credit the treating physician solely because of his relationship with the claimant. For example, in
Peabody Coal Co. v. McCandless,
The other cases cited by appellants similarly express the principles embodied in the new rule. In
Sterling Smokeless Coal Co. v. Akers,
Likewise, the Sixth Circuit recently summarized its law in
Peabody Coal Co. v. Groves,
In short, appellants do not cite a single case from any circuit in which a Court of Appeals espoused principles at odds with the new rule embodied in § 718.104(d). As the cases demonstrate, the courts to consider the issue have adopted the balanced policy reflected in the new rule. Thus, the rule does not upset settled expectations, and it is not retroactive as applied to pending claims for benefits.
20 C.F.R. § 718.201(a)(2): NMA argues that the new rule in § 718.201(a), which defines pneumoconiosis, is imper-missibly retroactive. Section 718.201(a) parrots the statutory definition of pneumo-coniosis, i.e., “a chronic dust disease of the lung and its sequelae, including respiratory and pulmonary impairments, arising out of coal mine employment.” See 30 U.S.C. § 902(b). The regulation goes on to define pneumoconiosis as including both medical or “clinical” pneumoconiosis and statutory or “legal” pneumoconiosis. 20 C.F.R. § 718.201(a). Legal pneumoconiosis is defined to include “any chronic lung disease or impairment ... arising out of coal mine employment,” including “any chronic restrictive or obstructive pulmonary disease arising out of coal mine employment.” Id. § 718.201(a)(2).
NMA challenges as retroactive the inclusion of restrictive or obstructive pulmonary disease in the definition of pneumoco-niosis. ' It argues that most courts require individual miners to prove the causal relationship between mining and their obstructive lung disease, and that the new rule will change this. This argument is misplaced. NMA concedes that the record supports the premise that obstructive lung disease
may
be caused by mining exposure and can contribute to a miner’s disability. Br. for Appellants at 17 n.8. The new rule does no more than reflect this reality. It does not, as appellants suggest, create a presumption that all or even most obstructive disease is caused by exposure to coal dust. The District Court correctly found that, under both the old and new regula
*863
tions, “each miner bear[s] the burden of proving that Ms .obstructive lung disease did in fact arise out of his coal mine employment.”
NMA,
NMA also alleges that the preamble to the regulations impermissibly suggests that an adjudicator may ignore a medical report if the reporting doctor concludes that a miner’s obstructive lung disease was caused by smoking, rather than mining. This objection is entirely meritless. The regulation’s plain text in no way indicates that medical reports will be excluded if they conclude that a particular miner’s obstructive disease was caused by smoking, rather than mining. Indeed, the preamble itself states that the revised definition does not alter the requirement that individual miners must demonstrate that their obstructive lung disease arose out of their work in the mines.
See
20 C.F.R. § 718.201(c), 725.309(d): Section 718.201(c) states that pneumoconi-osis is “recognized as a latent and progressive disease which may first become detectable only after the cessation of coal mine dust exposure.” Appellants argue that this regulatory statement is impermis-sibly retroactive, because the question whether pneumoconiosis is latent and progressive is unsettled. This contention is based on a false reading of the rule.
Appellants acknowledge that at least one rare type of pneumoconiosis is both latent and progressive, but argue that the more common “simple pneumoconiosis” is not. Br. for Appellants at 17. During oral argument, the Secretary conceded that the most common forms of pneumoconiosis are not latent. Moreover, the Secretary acknowledged that latent and progressive pneumoconiosis is rare, occurring in a small percentage of cases by all accounts. Tr. of Oral Arg. at 52-55. Nothing in the disputed rule says otherwise. The rule simply prevents operators from claiming that pneumoconiosis is never latent and progressive. The medical literature makes it clear that pneumoconiosis may be latent and progressive, and appellants do not dispute this point.
NMA’s concern about the definition of pneumoconiosis as latent and progressive is tied to the fact that, under 20 C.F.R. § 725.309(d), a claimant whose claim was previously denied may file a subsequent claim. The subsequent claim will be denied unless the claimant demonstrates that one of the applicable conditions of entitlement has changed since the claim was denied. Id. The “applicable condition” must be one of the conditions on which the claim was denied in the first place. Id. § 725.309(d)(2). Thus, a miner who was originally found not to suffer from black lung disease may file again if he develops the disease subsequently. Any such claimant, however, must still prove that he now has pneumoconiosis and that his disease arose out of employment in coal mines.
On its own, § 725.309(d) is not retroactive. First, it applies only to claims filed after the regulations’ effective date and has no application to pending subsequent claims. See id. § 725.2(c). In any event, the new regulation, in relevant part,- mirrors the prior § 725.309(d), which provided that a subsequent claim will be denied unless the deputy commissioner determines that “there has been a material change in conditions.” 20 C.F.R. § 725.309(d) (2000). Counsel aeknowl- *864 edged at oral argument that, under the old regulatory regime, a claimant who had been denied benefits could reapply when relevant conditions changed. Tr. of Oral Arg. at 39. The new rule does not allow anything more. Because it is not substantively new, it does not change the legal landscape.
Nor is § 725.309(d) retroactive in combination with the rule recognizing that pneu-moconiosis can be latent and progressive. While appellants express concern that the regulations allow claimants to relitigate old claims under an irrebuttable presumption that the miners’ pneumoconiosis is progressive, the rules afford no such presumption. The fundamental requirement that the claimant must prove a change in a relevant condition (such as whether he developed pneumoconiosis after his claim was denied) has not changed. A miner will only be successful in his subsequent claim if he has actually developed pneumoconio-sis or another relevant condition of entitlement in the interim.
20 C.F.R. § 718.20k(a)\ The “total disability rule” provides that nonpulmo-nary diseases that “cause[] an independent disability unrelated to the miner’s pulmonary or respiratory disability, shall not be considered in determining whether a miner is totally disabled due to pneumo-coniosis.” The contested language does not appear in the prior version of the regulation. We find that the rule is retroactive as applied to pending cases, because it changes the legal landscape in a way that is likely to affect liability determinations.
NMA contends that the rule’s purpose and effect is to overrule a Seventh Circuit decision in
Peabody Coal Co. v. Vigna,
In'
Vigna,
a miner who had mined for forty years suffered a stroke and became totally disabled.
Under the new rule, the adjudicator would not be able to consider a nonpulmo-nary condition (such as a stroke) at all in determining whether the miner was totally disabled due to pneumoconiosis. Instead, the adjudicator would have to determine whether the miner was totally disabled due to pneumoconiosis without considering his unrelated, nonpulmonary disability. The new regulation thus changes the legal landscape by precluding adjudicators from considering unrelated medical disabilities, reversing the rule in the Seventh Circuit, and precluding any other circuit from adopting the Seventh Circuit’s interpretation. It cannot be said to be merely “procedural,” because it has a direct effect on the determination of liability.
In finding the rule to be impermissibly retroactive as applied to pending cases, we do not, of course, intend to affect the law in circuits that have adopted or might adopt positions that conform with the Sec
*865
retary’s interpretation.
See, e.g., Cross Mountain Coal, Inc. v. Ward,
20 C.F.R. § 725.701:
The rule embodied in § 725.701 creates a rebuttable, presumption that when a miner who is eligible for black lung benefits receives medical treatment for a pulmonary disorder, the disorder is “caused or aggravated by the miner’s pneumoconiosis.” 20 C.F.R. § 725.701(e). The employer may rebut the presumption with “credible evidence that the medical service or supply provided was for a pulmonary disorder apart from those previously associated with the miner’s disability” or was beyond the treatment necessary to treat the covered disorder, or “was not for a pulmonary disorder at all.”
Id.
The regulation codifies the so-called
Doris Coal
presumption, named for a Fourth Circuit case that adopted the presumption before it was included in the new regulations.
See Doris Coal Co. v. Director, OWCP,
NMA argues that the regulation codifying the judicial presumption is retroactive as applied to pending cases, and we agree. The rule is not reflected in the prior regulation, even though it may reflect the Secretary’s longstanding policy.
See Doris Coal,
20 C.F.R. § 725.101(a)(6): The rule propounded in § 725.101(a)(6) defines “benefits” to include any expenses related to the medical examination and- testing *866 authorized pursuant to § 725.406, which requires the Department of Labor to provide each applicant for benefits with a pulmonary evaluation at no expense to the miner. The new § 725.101(a)(6) conforms the regulatory definition of “benefits” to § 725.406, both the old and new versions. The prior version of § 725.406(c) already provided that the cost of the medical examination would be paid by the Fund and that the Fund would be reimbursed “by an operator, if any, found liable for the payment of benefits to the claimant.” 20 C.F.R. § 725.406(c) (2000). Likewise, the new § 725.406(e) provides that the cost of the medical examination will be paid by the Fund and that the Fund will be reimbursed “by an operator, if any, found liable for the payment of benefits to the claimant.”
NMA argues that § 725.101(a)(6) retroactively shifts to the employer the cost of the medical examination provided under § 725.406. NMA recognizes that the cost always has been shifted under § 725.406 when an operator is found liable for the payment of benefits. Its challenge is based on the misperception that the new rule shifts the cost of the medical examination even when the miner does not prevail. This is incorrect. The cost shifts to the employer only when “benefits” are awarded. When no benefits are awarded, the cost of the examination presumably will continue to be paid by the Fund, as set forth in § 725.406. Appellants have not pointed to anything in the new definition that departs from the system- already in place under the old § 725.406(c). Thus, the new definition changes nothing and is not impermissibly retroactive.
20 C.F.R. § 725.101(a)(31): The rule in § 725.101(a)(31) provides that “[a] payment funded wholly out of general revenues shall not be considered a payment under a workers’ compensation law.” This provision is significant because the benefits payable under the BLBA must be offset by any amount the miner receives for his black lung disability under a state or federal workers’ compensation law. See 30 U.S.C. § 932(g). NMA agrees that the new rule reflects prior agency practice, but argues that it is nonetheless retroactive as applied to pending cases because at least one Court of Appeals has rejected the agency’s practice. We agree.
In
Director, OWCP v. Eastern Associated Coal Corp.,
20 C.F.R. §§ 725.20k., 725.212(b), 725.213(c), 725.21k(d), 725.219(c), (d): These regulations, as applied to claims oth *867 er than those filed after the regulations’ effective date, are impermissibly retroactive, because they expand the • scope of coverage by making more dependents and survivors eligible for benefits. For example, the new § 725.204. describes criteria for determining whether a claimant qualifies for augmented benefits as a miner’s spouse. The new version of the. regulation eliminates a provision in the prior version that essentially prevented a miner from having more than one qualifying spouse for purposes of augmented benefits. • Compare 20 C.F.R. § 725.204(a)(4) with 20 C.F.R. § 725.204(d)(1) (2000). Similarly, under the new 20 C.F.R. § 725.212(b) and § 725.214(d), a miner could have more than one surviving spouse if he divorced and remarried during the pertinent period. Sections 725.209 and 725.219 address the determination of the miner’s dependent children. Section 725.213(c) provides'that a surviving spouse or surviving divorced spouse whose entitlement to benefits is terminated because she remarries . may thereafter again become entitled to benefits, either by divorcing or through the death of her successor spouse.
The Secretary recognizes that the new definitions expand the scope of liability, but defends the expansion as necessary to conform to the 1990 amendments to the Social Security Act, portions of which are incorporated into the BLBA.
See
30 U.S.C. § 902(a)(2), (e) (incorporating various Social Security Act definitions found at 42 U.S.C. § 416). The District Court agreed,, holding that the revisions “bring the regulations into conformity with changes made by Congress in 1990 to the” Social Security Act’s definitions of “dependent wife” and other key terms.
NMA,
The Secretary’s position as to the new provisions’ ' application remains unclear. In its brief, the Secretary suggests that the expanded definitions apply to all BLBA claims filed after the 1990 amendments to the Social Security Act. Presumably, this could even affect payments made on claims that were finally adjudicated before the new regulations were promulgated. In a post-hearing chart submitted pursuant to an order of this court, the Secretary stated that the provisions would apply to all claims pending on the new regulations’ effective date, as well as to claims filed after that date, and to all benefit payments made after that date, including still-open claims filed on or after, or pending on, August 18, 1978. See also 20 C.F.R. § 725.2 (setting forth the applicability of the provisions).
In either case, we hold that it would be unlawfully retroactive to apply the definitions to any claims other than those filed on or after the regulations’ effective date. Before the effective date, mine operators had no notice of the new definitions, for they were never incorporated in the old regulations. The Secretary and interve-nors contend that the Secretary had changed the functional definitions as early as 1994 to conform with the 1990 Social Security Act amendments, by changing the Department of Labor’s procedural manual. Tr. of Oral Arg. at 80-84. There are two problems with this argument. The first is that counsels’ citation to the record does not bear out the claim. Counsel cited 65 Fed. Reg. 79,964 in support of the argument that the Secretary had already adopted these new definitions as far back as 1994. But the cited page states only that, since 1994, the Secretary’s procedure manual has provided that when a surviving spouse and- a surviving divorced spouse both qualify, each is entitled to full benefits. This citation does not address the other challenged regulations, such as those dealing with surviving children and those addressing surviving spouses who become ineligible and then become eligible again. The second problem is that the Secretary’s *868 prior practice was encapsulated only in a manual, not in a regulation promulgated pursuant to notice-and-comment rulemak-ing. There is nothing to indicate that the cited manual purported to state substantive rules or that it was generally known by and available to regulated parties. The Secretary cannot bind parties to substantive rules of which they had no notice.
The Secretary argues that application of the revised definitions to all claims filed after the 1990 amendment date is merely a correct application of the law in effect since that time. The Secretary relies on
Regions Hospital v. Shalala,
C. Substantive Challenges
In considering NMA’s challenges to the revised regulations, we are guided by well-accepted principles of administrative law. To the extent NMA argues that the regulations conflict with the statute, we begin by asking whether “Congress has directly spoken to the precise question at issue. If the intent of Congress is clear, that is the end of the matter; for the court, as well as the agency, must give effect to the unambiguously expressed intent of Congress.”
Chevron, U.S.A., Inc. v. Natural Res. Def. Council,
With these standards in mind, we consider each section of the revised regulations challenged by NMA.
Pneumoconiosis Definition
As revised, § 718.201(a) largely repeats the pneumoconiosis definition contained in the regulation’s prior version but divides that definition into two groups, “clinical” pneumoconiosis (“those diseases recognized by the medical community as pneumoconiosis”) and “legal” pneumoconi-osis (“any chronic lung disease or impairment ... arising out of coal mine employment”).
Compare
20 C.F.R. § 718.201 (2000)
with
20 C.F.R. § 718.201(a) (2001). This revision merely adopts a distinction embraced by all six circuits to have considered the issue,
see, e.g., Ling,
NMA also argues that another part of the pneumoconiosis definition, section 718.201(c), defining pneumoconiosis as a “latent and progressive disease which may first become detectable only after the cessation of coal mine dust exposure,” lacks support in the administrative record and is thus arbitrary and capricious. In support of this argument, NMA points to record evidence indicating that pneumoconiosis is latent and progressive in - at most - eight percent of cases. See P.T. Donnan, et al., Progression of Simple Pneumoconiosis in Ex-Coalminers After Cessation of Exposure to Coalmine Dust iv (Inst, of Occupational Medicine, December 1997). We would thus sustain NMA’s challenge to section 718.201(c) if the regulation said that pneumoconiosis is “always” or “typically” a latent and progressive disease. Although the regulation could be so read - “pneumoconiosis is recognized as a latent and progressive disease” - the remaining language provides that the disease “may first béeome detectable only after the cessation of coal mine dust exposure.” The Secretary resolved this ambiguity at oral argument. Asked whether her “position is [that the] regulation simply states [pneu-moconiosis] can be a progressive and latent disease,” counsel answered “that’s correct.” Tr. of Oral Arg. at 54. In light of this narrowing construction, we conclude that the record evidence of the disease’s latency and progressivity. - which also includes a study (not explicitly relied on by the government in its brief) indicating that pneumoconiosis is latent and progressive as much as 24% of the time, see 62 Fed.- Reg. 3338, 3344 (Jan. 22, 1997) (citing studies) - is sufficient to support section 718.201(c).
Change in Condition Rule
Revised § 725.309(d) governs the circumstances under which miners may file a claim after denial of an earlier claim. The prior regulation allowed such claims only upon proof of “a material change in conditions,” 20 C.F.R. § 725.309(d) (2000), while the revised regulation requires “the claimant [to] demonstrate[ ] that one of the applicable conditions of entitlement has changed,” 20 C.F.R. § 725.309(d) (2001). NMA’s assertion that the revised rule is arbitrary and capricious because it “requires no exacting proof of materially changed conditions,” Br. for Appellants at 40, and creates an “irrebuttable presump *870 tion” that a claimant has pneumoconiosis, id. at 46, finds no support in the regulation’s language. The revised rule actually places the burden of proof squarely on the claimant to prove a change in condition, stating that “the claim shall be denied unless the claimant demonstrates that one of the applicable conditions of entitlement ... has changed.” 20 C.F.R. § 725.309(d) (2001). Nor do we find convincing NMA’s related argument that the revised regulation “waives res judicata or traditional notions of finality,” Br. for Appellants at 45, as the Secretary has interpreted the regulation to permit new claims based only on the claimant’s current condition and to preclude the admission of any evidence that existed at the time the previous claim was denied, see Br. for Appellees at 31.
Treating Physician Rule
A new rule, § 718.104(d) establishes that in determining whether a successful claimant’s subsequent treatment for a pulmonary disorder is “compensable, the opinion of the miner’s treating physician may be entitled to controlling weight.” The rule is not mandatory. Instead, it permits ALJs to accord controlling weight to a treating physician’s opinion if that opinion is “based on the credibility of the physician’s opinion in light of its reasoning and documentation, other relevant evidence and the record as a whole.” 20 C.F.R. § 718.104(d)(5).
According to NMA, the revised rule im-permissibly shifts the burden of proof from claimant to employer. In support of this argument, NMA relies on
Greenwich Collieries,
where the Supreme Court held that absent specific statutory authorization, agencies may not informally create rules that supplant the APA’s requirement that “the proponent of a rule or order has the burden of proof.”
Arguing that the treating physician rule is also arbitrary and capricious, NMA claims that “[t]here is no scientific or medical reason to conclude that a treating physician has clearer insight into any medical question that might arise in a black lung claim than a pulmonary specialist or any ■other doctor.” Br. for Appellants at 35. In support of this argument, NMA cites record evidence suggesting that “there is a significant likelihood that a treating physician will use deception to assist patients in obtaining third party paid benefits.” Cmts. of the Nat’l Mining Ass’n at 44 (1/6/2000),
reprinted at
J.A. 2231. Yet the agency considered and rejected this allegation, convincingly pointing out that the
*871
claim could “as easily be directed toward any party-affiliated physician, or group of such physicians, who may benefit by tailoring conclusions to fit the interests of the party paying for the medical opinion.”
Hastening Death Rule
The Secretary revised § 718.205(c)(5) to state that “pneumoconio-sis is a substantially contributing cause of a miner’s death if it hastens the miner’s death.” Calling the rule arbitrary and capricious, NMA says “there is no science to support” a hastening death rule in the case of a death caused by a non-respiratory condition. Br.' for Appellants at 50.. The regulation, however, nowhere mandates the conclusion that pneumoconiosis be regarded as a hastening cause of death, but only describes circumstances under which a hastening-cause conclusion may be made. Moreover, it expressly requires claimants to prove that pneumoconiosis is the hastening cause. The fact that pneu-moconiosis may, as NMA asserts, rarely or never hasten death primarily caused by other diseases does not undermine the regulation; it merely means that few or no claimants will succeed on the theory that black lung disease hastened death from other causes.
In any event, the record contains medical testimony indicating that “impairment of lung function from pneumoconiosis [can] weaken the body’s defenses to infections and increase susceptibility to other disease processes.”
Operator Liability Rules
Section 725.408 establishes a deadline for coal mine operators to submit evidence if they disagree with their designation as parties potentially hable for a miner’s claim, while § 725.495(c) provides that once an operator has been determined to be responsible for a claim, that operator may be relieved of liability only if it proves both that it is financially incapable of assuming liability and that another operator that more recently employed the miner is financially capable of doing so. Again relying on
Greenwich Collieries,
NMA argues that the revised rules “reheve the agency of its normal burden to identify the correct responsible party” and shift that burden onto coal mine operators in violation of the APA’s requirement that proponents of an order sustain the burden of proof. Br. for Appellants at 62. NMA misreads both revised regulations. Section 725.408 shifts the burden of production, not the burden of proof; it requires nothing more than that operators must submit evidence rebutting an assertion of liability within a given period of time.
Greenwich Collieries
carefully distinguishes agency regulations that shift the burden of proof (prohibited by the APA
*872
“except as otherwise provided by statute,” 5 U.S.C. § 556(d)) from regulations that shift the burden of production (which the APA does not prohibit,
see
NMA argues that § 725.495(c) is also arbitrary and capricious because it rests on the premise that “employers and carriers are better situated to identify and prove an alternative hable party.” Br. for Appellants at 64. As the Secretary points out, however, § 725.495(c) is not based on that presumption.
See
Medical Benefits Rule
The Secretary’s revision of § 725.201(e) creates a presumption that any pulmonary disorder for which a miner receives treatment after successfully filing a BLBA claim is caused by that miner’s pneumoconiosis. The new regulation allows the operator to rebut this presumption with credible evidence that the disorder was not pulmonary, the disorder was unrelated to the miner’s pneumoconiosis, or the treatment the miner received was unnecessary.
Claiming that the medical benefits rule “shifts the burden to the employer to disprove medical coverage,” Br. for Appellants at 52, NMA argues it too runs afoul of
Greenwich Collieries.
Although the regulation could be so read, the Secretary explains that it shifts only the burden of
production
to operators to produce evidence that the treated disease was unrelated to the miner’s pneumoconiosis; the ultimate burden of proof remains on claimants at all times.
See
' NMA argues that the medical benefits rule is also arbitrary and capricious, pointing to a comment claiming that “[w]hen a miner receives a medical service or supply for a pulmonary disorder, it is not reasonable to assume that the disorder is caused or aggravated by pneumoconiosis.” Cmts. of Gregory J. Fino, M.D., and Barbara J. Bahl, Ph.D. at 11 (1/4/2000),
reprinted at
J.A. 2439. Carefully considering this com
*873
ment, however, the Secretary rejected it because the comment failed to distinguish between medical pneumoconiosis and the much broader legal definition of the disease.
See
Total Disability Rule
An entirely new provision, § 718.204(a) states that “any nonpulmo-nary or nonrespiratory condition or disease, which causes an independent disability unrelated to the miner’s pulmonary or respiratory disability, shall not be considered” in determining a miner’s total disability under the BLBA. According to NMA, the rule runs counter to the proposition that parties may submit all relevant evidence in support of'their position.
See
30 U.S.C. § 923(b). This argument, however, ignores the BLBA’s clear grant of authority to the Secretary to establish the medical criteria for adequate proof of “total disability.”
Id.
§ 902(f)(1)(D). And contrary to NMA’s claim that “DOL’s rule excludes relevant evidence for no good reason,” Br. for Appellants at 48, we see an obvious rational basis for the rule: the statute only pertains to whether a miner is disabled “due to pneumoconiosis,” and evidence of nonpulmonary conditions has no relevance to that inquiry. Indeed, three circuits have adopted just this reading of the Act.
See
Challenging the total disability rule as arbitrary and capricious, NMA claims that the regulation “is supported only by an intent to reverse” the Seventh Circuit’s decision in
Peabody Coal v. Vigna,
which held that a miner totally disabled due to a nonpulmonary ailment could not be compensated under the Black Lung Benefits Act.
See id.
NMA’s assertion regarding intent is irrelevant: no authority supports the proposition that a rule is arbitrary and capricious merely because it abrogates a circuit court decision. Quite to the contrary, “regulations promulgated to clarify disputed interpretations of a regulation are to be encouraged. Tidying-up a conflict in the circuits with a clarifying regulation permits a nationally uniform rule without the need for the Supreme Court to essay the meaning of every debatable regulation.”
Pope v. Shalala,
NMLA also claims that the total disability rule “is contrary to all of the medical testimony,” Br. for Appellants at 49, but points only to record evidence generally indicating that evidentiary restrictions are “inconsistent with good medical practice,” Cmts. of Drs. Fino and Bahl at 4, reprinted in J.A. 2432, evidence far too vague to supply any basis for concluding that the total disability rule is arbitrary and capricious. The revised regulation has a rational basis and is consistent with the APA; that is enough.
Evidence Limitation Rules
NMA next argues that nothing in the APA authorizes the revised regulations (§§ 725.310(b), 725.414, 725.456, 725.457(d), and 725.458) setting limits on the amount and timing of evidence admissible in benefits determinations, because that statute “authorizes each party to submit whatever evidence that party thinks is needed to prove its case or defense.” Br. for Appellants at 56. NMA’s theory - that the APA permits introduction of unlimited amounts of evidence - is flatly contradicted by the statute itself, which empowers agencies to “exclu[de] ... irrelevant, immaterial, or *874 unduly repetitious evidence” as “a matter of policy,” 5 U.S.C. § 556(d), as well as the Black Lung Benefits Act, which authorizes the Secretary to issue regulations “pro-vid[ing] for the nature and extent of the proofs and evidence and the method of taking and furnishing the same in order to establish the rights to benefits,” 30 U.S.C. § 923(b) (incorporating 42 U.S.C. § 405(a)). Nor do the revised rules set inflexible limits, as NMA claims. On the contrary, the rules give ALJs discretion to hear additional evidence for “good cause,” 20 C.F.R. § 725.456(b)(1).
NMA claims that the evidence-limiting rules are also arbitrary and capricious because they are unsupported by medical evidence. NMA bases this claim on a commenter’s argument that “it is unreasonable to artificially limit” the amount of evidence heard in benefits determinations. Cmts. of Drs. Fino and Bahl at 4,
reprinted in
J.A. 2432. Other record evidence, however, indicates that the new evidentia-ry limits are not at all “artificial ],” but - as the Secretary explained - will enable ALJs to focus their attention “on the quality of the medical evidence in the record before [them].”
Dependency Rules
The Black Lung Benefits Act incorporates the Social Security Act’s definition of “dependent.”
See
30 U.S.C. § 902(a) (incorporating the Social Security Act’s definition of “dependents”). These regulations (§§ 725.204, 725.213(c), 725.214, 725.219(d)) broaden the definition of “dependent” to track more closely recent revisions of the incorporated Social Security Act provisions. Like the District Court, though, we decline to consider this claim, because NMA failed to raise it during the notice-and-comment period.
See, e.g., Nat’l Wildlife Fed’n v. EPA,
Attorney’s Fee Rule
Section 725.366(b) provides that in calculating attorney’s fees that are shifted from claimant to mine operator, the ALJ “shall take into account” a number of factors,
*875
including “the quality of the representation, the qualifications of the representative, [and] the complexity of the legal issues involved.” In
Burlington v. Dague,
the Supreme Court held that shifted attorney’s fees must be calculated according to the “lodestar method,” which requires that such fees be determined by multiplying reasonable time spent by the attorney’s hourly fee.
See
Cost and Expense Rules
Section 725.101(a)(6) (the cost rule) expands the definition of BLBA “benefits” to include “any expenses related to the medical authorization.” As a result, employers now bear the costs of successful claimants’ medical examinations. Section 725.459 (the expense rule) empowers ALJs in their discretion to shift costs incurred by claimants’ production of witnesses to an employer, regardless of which party prevails.
NMA rests its challenge to these regulations on the twin premises that parties presumptively bear the costs of their own litigation expenditures and that such costs may only be shifted to the losing party pursuant to “specific statutory authorization.”
See W. Va. Univ. Hosp. v. Casey,
In support of the expense rule, the Sec-. retary first cites 33 U.S.C. § 928(d), which permits her to shift attorney’s fees. But that section of the Act authorizes fee-shifting only when the claimant prevails, while the expense rule authorizes such shifting for both successful and unsuccessful claimants. Nor does 33 U.S.C. § 907(e) provide an adequate source of authority; that clause only permits the Secretary to assign costs of a single pulmonary examination - not any cost associated with claimants’ witnesses - to the employer. The expense rule thus lacks the “specific statutory authorization” for fee-shifting required by Casey and is the one regulation that we find invalid on its face.
III. Conclusion
For the foregoing reasons, we affirm in part, reverse in part, and remand to the District Court for further proceedings consistent with this opinion.
Notes
. The Second Circuit has also recognized that the term "order” carries a limited meaning. In
Merritt v. Shuttle, Inc.,
. The Court did not indicate how it would treat the review of a regulation that was not a safety standard.
Compare Chamber of Commerce of the United States v. Dep’t of Labor,
. The Seventh Circuit, by contrast, has explained that even "an order denying or revoking a certificate of exemption, not being a compensation order, would not be subject to the special review procedure established by 33 U.S.C. § 921.”
Maxon Marine, Inc.
v.
Director, Office of Workers’ Compensation Programs,
