John H. Quinlan v. Secretary, U.S. Department of Labor ( 2016 )


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  •              Case: 14-12347       Date Filed: 01/08/2016   Page: 1 of 20
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 14-12347
    ________________________
    OSHC-0 : 12-1698
    JOHN H. QUINLAN,
    d.b.a. Quinlan Enterprises,
    Petitioner,
    versus
    SECRETARY, U.S. DEPARTMENT OF LABOR,
    Respondent.
    ________________________
    Petition for Review from the Occupational Safety
    and Health Review Commission
    ________________________
    (January 8, 2016)
    Before HULL, WILSON, and ANDERSON, Circuit Judges.
    ANDERSON, Circuit Judge:
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    Quinlan Enterprises (“Quinlan”), a sole proprietorship that engages in steel
    erection work, petitions for review of a final decision of the Occupational Safety
    and Health Review Commission (“Commission”). The Commission held that
    Quinlan violated standards under the Occupational Safety and Health Act
    (“OSHA” or the “Act”), 29 U.S.C. §§ 651, et seq., when two of its employees, a
    foreman and a subordinate employee, were caught working on a concrete block
    wall and roof platform without fall protection and using a stepladder in an unsafe
    manner. This appeal presents an issue of first impression in our circuit 1 left open
    by our decision in ComTran Group, Inc. v. United States Department of Labor, 
    722 F.3d 1304
    (11th Cir. 2013): Is it appropriate to impute a supervisor’s knowledge of
    a subordinate employee’s violative conduct to his employer under the Act when
    the supervisor himself is simultaneously involved in violative conduct? Upon close
    1
    The Secretary argues that this question is foreclosed by the decision of the former
    Fifth Circuit in Floyd S. Pike Elec. Contractor, Inc. v. Occupational Safety and Health Review
    Comm’n, 
    576 F.2d 72
    (5th Cir. 1978). In Bonner v. City of Prichard, 
    661 F.2d 1206
    , 1209 (11th
    Cir. 1981) (en banc), this court adopted as binding precedent all decisions of the former Fifth
    Circuit handed down prior to October 1, 1981. We disagree with the Secretary’s reading of
    Floyd. In that case, the former Fifth Circuit affirmed a decision of the Commission finding an
    employer liable where a foreman and subordinate employee were both working in an unshored
    trench that did not meet OSHA regulations. 
    Id. at 76–77.
    However, the court did not rely on a
    theory of imputed knowledge. Rather, the court applied the approach to proving the prima facie
    element of employer knowledge presented in Brennan v. Butler Lime and Cement Co., 
    520 F.2d 1011
    , 1017 (7th Cir. 1975), in which the Seventh Circuit held that “an employer is responsible if
    it knew or, with the exercise of reasonable diligence, should have known of the existence of a
    serious violation.” See 
    Floyd, 576 F.2d at 76
    (quoting 
    Brennan, 520 F.2d at 1017
    ). That
    approach to establishing the prima facie element of employer knowledge is distinct from an
    approach that relies on the agency principle of imputed knowledge. Because the Floyd court did
    not address the establishment of employer knowledge based on the agency principle of
    imputation, the instant question is not foreclosed by the former Fifth Circuit’s Floyd decision.
    2
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    review of the record, briefs, and the relevant case law, and with the benefit of oral
    argument, we answer the question presented in the affirmative. Therefore, we deny
    the petition and affirm the Commission’s decision.
    I. BACKGROUND
    A. The Underlying Incident and Citations
    In February 2012, Quinlan was engaged as the steel erection subcontractor at
    a construction worksite at the Dougherty High School in Albany, Georgia. Kinney
    Construction (“Kinney”) was the general contractor at the worksite. Kinney
    subcontracted with Gerdau AmeriSteel, a company engaged in structural steel
    fabrication, which then subcontracted to Quinlan. Quinlan has approximately thirty
    employees, two of whom—Miguel Pacheco and Humberto Vargas—were working
    at the Dougherty High School worksite on February 9, 2012.
    On February 9, Pacheco and Vargas were assigned to anchor clips inside the
    building. This work involved installing plates or clips on a concrete block wall,
    welding clips underneath beams on the roof, and putting in epoxy bolts. The same
    day, an OSHA Compliance Safety and Health Officer initiated a scheduled on-site
    inspection. The inspector observed and photographed Pacheco and Vargas working
    on the edge of a 15-foot high concrete block wall without fall protection.
    Additionally, the inspector observed a ladder that was not secured from slipping
    when in the closed position. As a result of the inspection, the Secretary issued
    3
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    Quinlan a three-item Citation and Notification of Penalty on August 7, 2012. The
    first item alleged a serious violation of 29 C.F.R. § 1926.501(b)(1).2 The third item
    alleged a serious violation of 29 C.F.R. § 1926.1053(b)(4).3 The second item was
    later vacated and is not relevant to this petition for review. The total amount of the
    proposed penalties for the three alleged violations was $11,400.00.
    B. The ALJ and OSHRC Proceedings
    After a hearing, the taking of trial depositions, and the submission of post-
    hearing briefs, Administrative Law Judge Sharon D. Calhoun issued a Decision
    and Order on July 22, 2013. Sec’y of Labor v. Quinlan Enters., OSHRC Docket
    No. 12-1698, 
    2013 WL 5505283
    , at *3–16 (Occupational Safety Health Review
    Comm’n July 22, 2013). The ALJ Order affirmed Item 1 and 3 of the Citation and
    assessed a total penalty of $7,200.00. Quinlan filed a petition for discretionary
    review with the Commission on August 12, 2013, arguing that it was not liable for
    any violation because Pacheco and Vargas were not Quinlan’s employees at the
    time of exposure. After the ALJ Order was issued, this Court decided ComTran, in
    which we held that “the Secretary does not carry her burden and establish a prima
    facie case with respect to employer knowledge merely by demonstrating that a
    2
    29 C.F.R. §1926.501(b)(1) provides: “Unprotected sides and edges. Each
    employee on a walking/working surface (horizontal and vertical surface) with an unprotected
    side or edge which is 6 feet (1.8 m) or more above a lower level shall be protected from falling
    by the use of guardrail systems, safety net systems, or personal fall arrest systems.”
    3
    29 C.F.R. §1926.1053(b)(4) provides: “Ladders shall be used only for the purpose
    for which they were designed.”
    4
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    supervisor engaged in 
    misconduct.” 722 F.3d at 1316
    . The ALJ Decision and
    Order was then directed for review before the Commission and the Commission
    issued a Remand Order to the ALJ to consider Quinlan’s arguments in his petition
    for discretionary review as well as the applicability of this Court’s intervening
    decision in ComTran to the two violations. Quinlan Enters., 24 BNA OSHC 1154
    (No. 12-1698, 2013) (remand order).
    On remand from the Commission, Judge Calhoun made extensive findings
    and concluded that Pacheco and Vargas were workers employed by Quinlan at the
    time of the violations. Quinlan Enters., 24 BNA OSHC 2185, 2186–91 (No. 12-
    1698, 2014) (decision and order on remand) (ALJ). The ALJ also distinguished
    ComTran, stating that ComTran “only applies to scenarios where the supervisor is
    acting alone” and not to situations where the supervisor has knowledge of
    misconduct by his subordinates. 
    Id. at 2192.
    Accordingly, the ALJ concluded that
    ComTran did not alter the dispositions of the affirmed violations. 
    Id. at 2193.
    Quinlan again sought discretionary review from the Commission but was denied.
    Thus, Judge Calhoun’s decision became a final order of the Commission on March
    31, 2014. This petition for review followed.
    II. DISCUSSION
    This Court outlined the statutory and regulatory scheme underlying
    violations of OSHA standards in 
    ComTran, 722 F.3d at 1306
    –08. As we described:
    5
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    Under the law of our circuit, the Secretary will make out a prima facie case
    for the violation of an OSHA standard by showing (1) that the regulation
    applied; (2) that it was violated; (3) that an employee was exposed to the
    hazard that was created; and importantly, (4) that the employer “knowingly
    disregarded” the Act’s requirements.
    
    Id. at 1307.
    This appeal concerns only the third and fourth elements of the prima
    facie case.
    To satisfy the third element, the Secretary bears the burden of showing that
    the cited respondent is the employer of the exposed workers at the site. The Act
    defines employee as follows: “Employee means an employee of an employer who
    is employed in a business of his employer which affects commerce.” 29 U.S.C. §
    652(6). In determining whether the Secretary has satisfied its burden, the
    Commission applies the control-based test set forth in Nationwide Mutual
    Insurance Co. v. Darden, 
    503 U.S. 318
    (1992):
    To decide whether the party in question was an employer under common
    law, the Darden Court looked primarily to the hiring party’s right to “control
    the manner and means by which the product [was] accomplished.” Factors
    pertinent to that issue include “the skill required for the job, the source of the
    instrumentalities and tools, the location of the work, the duration of the
    relationship between the parties, whether the hiring party has the right to
    assign additional projects to the hired party, the extent of the hired party’s
    discretion over when and how long to work, the method of payment, the
    hired party’s role in hiring and paying assistants, whether the work is part of
    the regular business of the hiring party, whether the hiring party is in
    business, the provision of employee benefits and the tax treatment of the
    hired party.” 
    Darden, 503 U.S. at 322
    , citing Community for Creative Non-
    Violence v. Reid, 
    490 U.S. 730
    (1989). While no single factor under Darden
    is determinative, the primary focus is whether the putative employer controls
    the workers.
    6
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    Quinlan Enters., 24 BNA OSHC 2185, 2190–91 (No. 12-1698, 2014) (ALJ)
    (decision and order on remand) (citing Allstate Painting & Contracting Co., 21
    BNA OSHC 1033, 1035 (No. 97-1631 & 97-1727, 2005)). As the Supreme Court
    has summarized, the “principal guidepost” in the Darden test is the “extent of
    control” the employer exercises over the employee. Clackamas Gastroenterology
    Assoc., P.C. v. Wells, 
    538 U.S. 440
    , 448 (2003). Three other circuits have affirmed
    the application of the Darden test to OSHA violations. See Slingluff v.
    Occupational Safety & Health Review Comm'n, 
    425 F.3d 861
    , 867–69 (10th Cir.
    2005); IBP, Inc. v. Herman, 
    144 F.3d 861
    , 865 (D.C. Cir. 1998); Loomis Cabinet
    Co. v. Occupational Safety and Health Review Comm'n, 
    20 F.3d 938
    , 941–42 (9th
    Cir. 1994). One circuit has ruled that Darden’s reasoning is not directly applicable
    to the Act. See Sec’y of Labor v. Trinity Indus., Inc., 
    504 F.3d 397
    , 402 (3d Cir.
    2007) (“[Darden] was decided under ERISA and has no impact on the question of
    whether the scope of the OSH Act is broad enough to cover workers who are not
    employees under the common law definition.”). The parties here assume in their
    briefs that the Darden test applies. Therefore, we apply the Darden test here
    without deciding explicitly whether the Commission’s interpretation of 29 U.S.C. §
    652(6) is permissible.
    7
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    To satisfy the fourth element of a prima facie case, the Secretary must prove
    the employer had knowledge of the violation. As we described in ComTran, the
    Secretary may do this in two different ways:
    First, where the Secretary shows that a supervisor had either actual or
    constructive knowledge of the violation, such knowledge is generally
    imputed to the employer. . . . An example of actual knowledge is where a
    supervisor directly sees a subordinate’s misconduct. . . . An example of
    constructive knowledge is where the supervisor may not have directly seen
    the subordinate’s misconduct, but he was in close enough proximity that he
    should have. . . . In the alternative, the Secretary can show knowledge based
    upon the employer’s failure to implement an adequate safety program, with
    the rationale being that—in the absence of such a program—the misconduct
    was reasonably foreseeable.
    
    Comtran, 722 F.3d at 1307
    –08 (citations omitted). In this case, only the first way
    of proving employer knowledge—imputing knowledge from a supervisor—is at
    issue.
    Appeals from final decisions of the Commission are reviewed directly by the
    courts of appeals. 29 U.S.C. § 660(a). On review, Commission decisions are
    entitled to considerable deference. The Commission’s findings of fact must be
    upheld if they are “supported by substantial evidence on the record considered as a
    whole.” 
    Id. at 1307.
    We have held that “[s]ubstantial evidence is more than a
    scintilla and is such relevant evidence as a reasonable person would accept as
    adequate to support a conclusion.” Lewis v. Callahan, 
    125 F.3d 1436
    , 1440 (11th
    Cir. 1997) (citing Richardson v. Perales, 
    402 U.S. 389
    , 401 (1979)). The
    Commission’s conclusions of law, meanwhile, must be upheld as long as they are
    8
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    not “arbitrary, capricious, an abuse of discretion, or otherwise not in accordance
    with the law.” 5 U.S.C. § 706(2)(A). The Commission and its ALJs are bound to
    follow the law of the circuit to which the case would most likely be appealed.
    
    ComTran, 722 F.3d at 1307
    .
    With the foregoing standards of review in mind, we will now turn to the
    arguments in this particular case.
    In his petition for review, Quinlan makes three arguments. First, Quinlan
    argues that the Commission erred in finding that Pacheco and Vargas were
    employees of Quinlan at the time of the exposure. Second, Quinlan argues that the
    Commission erred in finding that Pacheco was a supervisor. Third, Quinlan argues
    that our recent decision in ComTran bars the imputation of Pacheco’s knowledge
    of Vargas’ violative misconduct to Quinlan because Pacheco was simultaneously
    involved in violative misconduct. In light of the highly deferential standard for
    reviewing Commission decisions, and based on our review of the record, Quinlan’s
    arguments cannot succeed.
    A.      Pacheco and Vargas Were Employees of Quinlan at the Time of
    Exposure
    There is ample evidence to support the Commission’s finding of fact that, at
    the relevant time, Pacheco and Vargas were employees of Quinlan and not of
    Kinney. The Commission made findings with respect to the relevant Darden
    9
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    factors and concluded that, at the relevant time, “Quinlan had every indicia of
    control over Pacheco and Vargas.” 
    Id. at 2191.
    The only non-frivolous aspect of Quinlan’s challenge to the Commission’s
    finding that Pacheco and Vargas were Quinlan employees is the argument that, at
    the direction of Charles Hall (Kinney’s superintendent), Pacheco and Vargas
    performed work for Kinney, and, therefore Pacheco and Vargas temporarily
    became Kinney employees rather than Quinlan employees. Contrary to Quinlan’s
    argument, there is ample evidence to support the Commission’s finding that
    Charles Hall did not commandeer Pacheco and Vargas to work for Kinney. The
    evidence is somewhat closer with respect to the Commission’s determination that
    the weight of the evidence failed to establish that the work Pacheco and Vargas
    were engaged in at the time of the inspection was outside the scope of Quinlan’s
    contract. 
    Id. In this
    regard, we are not persuaded that Quinlan has demonstrated
    that the Commission’s finding lacks substantial supporting evidence. The strongest
    evidence presented by Quinlan was the testimony of Quinlan himself and the
    testimony of Hanniford. Both were discredited by the Commission. Supporting the
    Commission’s finding is the fact that Pacheco, Quinlan’s supervisor on the scene,
    apparently thought he had authority to perform the work and that the work was
    Quinlan’s. Moreover, even if the work were technically outside the scope of
    Quinlan’s contract, it is clear that the work was closely related to, even if not
    10
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    actually within, the technical confines of the contractual scope of work. Quinlan
    cites no authority for the proposition that such a minor deviation from the
    contractual scope of work would operate to destroy the clear employment
    relationship between Quinlan and its two employees.
    Even if the work were not technically within Quinlan’s contractual
    responsibilities, we believe that, as a matter of agency principles and as a matter of
    common sense, Pacheco, as Quinlan’s supervisor on the site, would have authority
    to make such minor deviations in order to cooperate with the general contractor.
    This would be in the employer’s best interest as a matter of common sense, and
    Quinlan never specifically instructed its employees on how to interact with the
    general contractor on the work site.
    For the foregoing reasons, we reject Quinlan’s challenge to the
    Commission’s finding of fact that, at the relevant time, Pacheco and Vargas were
    employees of Quinlan.
    B.     Pacheco Was a Supervisor at the Time of Exposure
    Similarly, we reject Quinlan’s challenge to the Commission’s finding of fact
    that, at the relevant time, Pacheco was a supervisor on the site on behalf of
    Quinlan. Quinlan Enters., 24 BNA OSHC at 2192 n.1. As the Commission
    indicated, the evidence that Pacheco was Quinlan’s supervisor on that day was
    11
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    “overwhelming.” 
    Id. Quinlan’s challenge
    to that fact finding is wholly without
    merit and thus is summarily rejected.
    C.    Imputation of a Supervisor’s Knowledge of a Subordinate Employee’s
    Misconduct when Supervisor is Simultaneously Involved in Misconduct.
    We turn now to Quinlan’s argument that the Commission erred by
    misapplying our decision in ComTran.
    In ComTran, this Court reviewed a decision of the Commission finding that
    ComTran Group, a communications utilities company, violated the Act when one
    of its foremen was caught digging in a six-foot deep trench with an unprotected
    five-foot high spoil pile at the edge of the excavation. 
    Comtran, 722 F.3d at 1308
    –
    09. ComTran conceded its foreman had violated the cited standards but asserted
    that the foreman’s “rogue” misconduct could not be attributed to ComTran because
    the Secretary had failed to show that ComTran had knowledge of the violation.
    The Commission disagreed, finding that ComTran had knowledge of the violated
    standards by way of imputation. 4 Because the foreman had actual knowledge of the
    excavation and spoil pile—the foreman himself had dug the excavation and placed
    the spoil pile at its edge—and because the foreman was a supervisory employee,
    the Commission imputed the foreman’s knowledge of his own violative conduct to
    ComTran and thereby found the Secretary had satisfied her burden of proving
    4
    As in this case, the ALJ’s order in ComTran became a final decision of the
    Commission when the Commission denied discretionary review. See 
    Comtran, 722 F.3d at 1311
    .
    12
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    employer knowledge. ComTran Grp., Inc., 23 BNA OSHC 2143, 2148 (No. 11-
    0646, 2011) (ALJ).
    On petition for review, we reversed the Commission. We acknowledged that
    in the “ordinary case”—in which the Secretary proves that a supervisor had actual
    or constructive knowledge of a subordinate employee’s violation—the general rule
    is that the knowledge of the supervisor is imputed to the employer. See 
    Comtran, 722 F.3d at 1307
    –08 & n.2. However, we carved out an exception to the general
    rule where the supervisor himself is the one who engaged in the conduct that
    violated the Act and the issue is whether to impute to the employer the supervisor’s
    knowledge of his own misconduct. See 
    id. at 1316.
    In that situation, we held that
    “the Secretary does not carry her burden and establish a prima facie case with
    respect to employer knowledge merely by demonstrating that a supervisor engaged
    in misconduct.” 
    Id. Rather, in
    the situation where the supervisor’s knowledge is of
    his own conduct in violation of the Act, “employer knowledge must be established,
    not vicariously through the violator’s knowledge, but by either the employer’s
    actual knowledge, or by its constructive knowledge based on the fact that the
    employer could, under the circumstances of the case, foresee the unsafe conduct of
    the supervisor [that is, with evidence of lax safety standards].” 
    Id. (citing W.G.
    Yates & Sons Constr. Co., Inc. v. OSHRC, 
    459 F.3d 604
    (5th Cir. 2006)). We
    reasoned that to impute the supervisor’s knowledge in such a circumstance would
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    be “fundamentally unfair” because it would release the Secretary from her burden
    of proving employer knowledge. 
    Id. at 1317.
    Such a result, we held, “would be
    arbitrary, capricious, and not in accordance with the law.” 
    Id. at 1318.
    5
    In the instant case, Quinlan argues that our holding in ComTran should be
    extended to prevent the imputation of a supervisor’s knowledge of a subordinate
    employee’s violative conduct to his employer when the supervisor is
    simultaneously involved in the same violative misconduct. In such a situation,
    Quinlan argues, the employer loses his “eyes and ears” and the supervisor’s
    knowledge should not be imputed, regardless of whether the relevant knowledge is
    knowledge of his own conduct or knowledge of a subordinate employee’s conduct.
    Quinlan relies heavily on L.R. Willson & Sons, Inc. v. OSHRC, 
    134 F.3d 1235
    (4th Cir. 1998). There, the Fourth Circuit addressed a violation in which the
    underlying facts involved both a supervisor (Manley) and a subordinate employee
    (McVay) who were observed working on structural steel more than 80 feet above
    the ground without the fall protection required by regulation. 
    Id. at 1237.
    The
    Commission affirmed a violation based on the theory that “[i]n establishing that an
    5
    Our holding in ComTran effectively shifts to the Secretary an obligation to prove
    employer knowledge in a manner that “closely mirror[s]” what an employer (in the ordinary case
    where supervisor knowledge of a subordinate employee’s misconduct is imputed) would
    ordinarily have to prove to make the affirmative defense of unforeseen employee misconduct –
    e.g., prove that the employee misconduct was not foreseeable and was not preventable. See
    
    Yates, 459 F.3d at 609
    n.7.
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    employer knew of the Act’s requirements and knowingly disregarded them, the
    knowledge and conduct of a supervisory employee may be imputed to the
    employer.” L.R. Willson & Sons, Inc., 17 BNA OSHC 2059, 2063 (No. 94-1546,
    1997). On petition for review, the Fourth Circuit reversed the Commission’s
    decision because imputing a supervisor’s knowledge of his own violation
    impermissibly relieved the Secretary of her burden of proving the prima facie case
    and shifted the burden of proof to the company. L.R. 
    Willson, 134 F.3d at 1240
    –
    41. In so holding, it is not clear whether the opinion of the Fourth Circuit actually
    addressed and decided whether a supervisor’s knowledge of a subordinate’s
    conduct may be imputed when the supervisor and subordinate are simultaneously
    involved in violative conduct. The opinion appears to refer to the issue when it
    says:
    The Secretary contends that Ocean Electric should not apply here, as
    Manley was accompanied by McVay, who was not a supervisory
    employee. However, in so doing the Secretary ignores the fact that the
    ALJ in this case found the prima facie case of a violation because of
    Manley’s status, and then placed on Willson the burden of rebutting
    with the “affirmative defense” of employee misconduct, and the
    Commission affirmed.
    
    Id. at 1240
    n.28. In other words, the Fourth Circuit may have declined to address
    the issue because the ALJ and the Commission shifted the burden of proof merely
    “because of Manley’s status.” In any event, it is not clear whether the Fourth
    Circuit understood the force of the distinction between a supervisor acting alone in
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    violation of the Act and a supervisor engaging in that misconduct while
    simultaneously supervising a subordinate who is also engaged in such misconduct.
    To the extent that the Fourth Circuit’s decision is inconsistent with our holding
    today, we decline to follow it because it contains little or no analysis and therefore
    carries little persuasive weight.6 For the reasons that follow, we believe that the
    general rule should apply in this case—i.e., that the knowledge of a supervisor of a
    subordinate employee’s violation should be imputed to the employer.
    In our view, the situation with respect to the non-supervisory subordinate
    employee in this case is analogous to the ordinary situation in which imputation is
    clearly established. The classic situation in which knowledge of a supervisor is
    imputed to an employer is when the supervisor is on the scene looking on, sees the
    subordinate employee violating a safety rule, knows there is such a violation, but
    6
    Other cases cited by the parties as involving underlying facts of a supervisor and a
    subordinate employee engaging in simultaneous misconduct are inapposite. As noted above, the
    former Fifth Circuit case of Floyd S. Pike did not rely on the theory of imputed knowledge. The
    Fifth Circuit case of W. G. Yates & Sons Constr. Co. v. OSHRC, 
    459 F.3d 604
    (5th Cir. 2006),
    involved a foreman engaged in one violation and two subordinate employees simultaneously
    engaged in a different violation. However, the employer appealed to the Fifth Circuit only the
    violation involving the foreman. The Fifth Circuit made no ruling with respect to the violation
    involving the two subordinate employees, and made no ruling with respect to the issue before us.
    However, dicta in Yates indicates that the situation of the two subordinate employees
    simultaneously engaging in the slightly different violation in the presence of the foreman would
    constitute the “ordinary context” in which the foreman’s knowledge of the two subordinate
    employees’ slightly different violation would be imputed to the employer, and thus the burden
    would properly be on “the employer to establish its affirmative defense of unforeseen employee
    misconduct.” 
    Id. at 609
    n.7. Our ComTran opinion cited with approval this very footnote 7 of
    the Yates opinion. 
    ComTran, 722 F.3d at 1308
    n.2.
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    nonetheless allows it to continue. We see little difference in principle between that
    classic situation in which knowledge is imputed and the instant situation involving
    supervisor Pacheco and subordinate Vargas. In both cases, the supervisor sees the
    violation by the subordinate, knows there is a violation, but disregards the safety
    rule for one reason or another. We see little or no difference between the classic
    situation in which the supervisor sees the violation by the subordinate and
    disregards the safety rule, for example to expedite the job; and the instant situation
    in which the supervisor sees the violation and pitches in and works beside the
    subordinate to expedite the job.
    The instant case is unlike the situation in ComTran involving a supervisor’s
    knowledge of his own misconduct. In that circumstance, imputation was improper
    and unfair because it had the effect of relieving the Secretary of her burden of
    proving employer knowledge. “[I]f the Secretary is permitted to establish employer
    knowledge solely with proof of the supervisor's misconduct—notwithstanding that
    the employer did not know, and could not have known, of that misconduct—then
    the Secretary would not really have to establish knowledge at all. The mere fact of
    the violation itself (element 2) would satisfy the knowledge prong (element 4).”
    
    ComTran, 722 F.3d at 1317
    . In contrast, the situation here involving a supervisor
    and a subordinate employee who are simultaneously involved in violative
    misconduct does not present the same problem. Proof of the subordinate
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    employee’s misconduct does not by itself prove employer knowledge of such. The
    Secretary still bears the burden of proving employer knowledge, whether through a
    supervisor’s actual or constructive knowledge of the subordinate employee’s
    misconduct or through the employer’s actual or constructive knowledge of the
    subordinate employee’s misconduct, for example, by failure to implement an
    adequate safety program. Here, the Secretary carried that burden by proving that
    supervisor Pacheco had actual knowledge of subordinate employee Vargas’
    violative misconduct. Thus, the “fairness” concern which was at issue in the
    ComTran case is not present in the instant situation.
    Indeed, we believe there is dicta in the ComTran opinion itself which
    supports our holding:
    We say that a supervisor’s knowledge is “generally imputed to the
    employer” because that is the outcome in the ordinary case. The
    “ordinary case,” however, is where the supervisor knew or should
    have known that the subordinate employees were engaged in
    misconduct.
    
    Id. at 1308
    n.2; see also 
    id. at 1317
    (drawing a “distinction between a supervisor’s
    knowledge of a subordinate’s misconduct (which everyone agrees is imputable to
    the employer) and knowledge of his own misconduct (which a clear majority of
    circuits have held is not [imputed]”)). Indeed, ComTran, in this same footnote 2 at
    page 1308, cited with approval footnote 7 of the Fifth Circuit Yates opinion as
    noting an example of the “ordinary case.” 
    Yates, 459 F.3d at 609
    n.7. In that
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    footnote 7, the Yates opinion stated in dicta that the violation that was not appealed
    to the Fifth Circuit—i.e., the simultaneous violation by the two subordinate
    employees in the presence of the foreman—would constitute the “ordinary
    context” in which the “supervisor’s knowledge . . . is imputable.” The only
    difference between the facts underlying the instant case and the violation which the
    Yates dicta said would be imputed is that the violation of the two subordinates in
    Yates was slightly different from the simultaneous violation of their foreman,
    whereas the violation of foreman Pacheco in our case was identical to the violation
    of Vargas. However, we can perceive no difference in principle between the two
    situations. Although dicta, we believe ComTran’s citation with approval of
    footnote 7 of the Yates opinion is an indication that the ComTran panel did not
    contemplate an extension of its holding to the very different situation in this case.
    We conclude that the instant situation is more like the “ordinary case” than
    like the exceptional case addressed in ComTran. As noted above, there is little or
    no difference between this case and the classic case in “which everyone agrees
    [knowledge] is imputable to the employer.” 
    ComTran, 722 F.3d at 1317
    . In both
    situations, the employer has “entrust[ed] to a supervisory employee its duty to
    assure employee compliance with safety standards.” 
    Id. (citation omitted).
    Moreover, application to the instant facts of the established rule is entirely
    consistent with well-established agency principles. Quinlan has not suggested, nor
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    could it, that Pacheco’s disregard of Quinlan’s safety rules disrupted his agency
    relationship with Quinlan.
    For the foregoing reasons, Quinlan has failed to persuade us that the
    exception to the general rule of imputation we carved out in ComTran should be
    expanded to encompass the instant situation.
    III. CONCLUSION
    For the reasons stated above, we conclude that the Commission’s findings of
    fact were supported by substantial evidence on the record considered as a whole
    and the Commission’s conclusions of law were not arbitrary, capricious, an abuse
    of discretion, or otherwise not in accordance with the law. Therefore, we deny the
    petition and affirm the Commission’s decision.
    AFFIRMED.
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