Glacier Northwest, Inc. v. Teamsters ( 2023 )


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  • (Slip Opinion)              OCTOBER TERM, 2022                                       1
    Syllabus
    NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
    being done in connection with this case, at the time the opinion is issued.
    The syllabus constitutes no part of the opinion of the Court but has been
    prepared by the Reporter of Decisions for the convenience of the reader.
    See United States v. Detroit Timber & Lumber Co., 
    200 U. S. 321
    , 337.
    SUPREME COURT OF THE UNITED STATES
    Syllabus
    GLACIER NORTHWEST, INC., DBA CALPORTLAND v.
    INTERNATIONAL BROTHERHOOD OF TEAMSTERS
    LOCAL UNION NO. 174
    CERTIORARI TO THE SUPREME COURT OF WASHINGTON
    No. 21–1449. Argued January 10, 2023—Decided June 1, 2023
    Glacier Northwest delivers concrete to customers in Washington State
    using ready-mix trucks with rotating drums that prevent the concrete
    from hardening during transit. Concrete is highly perishable, and
    even concrete in a rotating drum will eventually harden, causing sig-
    nificant damage to the vehicle. Glacier’s truck drivers are members of
    the International Brotherhood of Teamsters Local Union No. 174. Af-
    ter a collective-bargaining agreement between Glacier and the Union
    expired, the Union called for a work stoppage on a morning it knew the
    company was in the midst of mixing substantial amounts of concrete,
    loading batches into ready-mix trucks, and making deliveries. The
    Union directed drivers to ignore Glacier’s instructions to finish deliv-
    eries in progress. At least 16 drivers who had already set out for de-
    liveries returned with fully loaded trucks. By initiating emergency
    maneuvers to offload the concrete, Glacier prevented significant dam-
    age to its trucks, but all the concrete mixed that day hardened and
    became useless.
    Glacier sued the Union for damages in state court, claiming that the
    Union intentionally destroyed the company’s concrete and that this
    conduct amounted to common-law conversion and trespass to chattels.
    The Union moved to dismiss Glacier’s tort claims on the ground that
    the National Labor Relations Act (NLRA) preempted them. While a
    federal law generally preempts state law when the two conflict, the
    NLRA preempts state law even when the two only arguably conflict.
    San Diego Building Trades Council v. Garmon, 
    359 U. S. 236
    , 245. In
    the Union’s view, the NLRA—which protects employees’ rights “to self-
    organization, to form, join, or assist labor organizations, . . . and to en-
    2             GLACIER NORTHWEST, INC. v. TEAMSTERS
    Syllabus
    gage in other concerted activities for the purpose of collective bargain-
    ing or other mutual aid or protection,” 
    29 U. S. C. §157
    —at least argu-
    ably protected the drivers’ conduct, so the State lacked the power to
    hold the Union accountable for any of the strike’s consequences. The
    Washington Supreme Court agreed with the Union, reasoning that
    “the NLRA preempts Glacier’s tort claims related to the loss of its con-
    crete product because that loss was incidental to a strike arguably pro-
    tected by federal law.”
    Held: The NLRA did not preempt Glacier’s tort claims alleging that the
    Union intentionally destroyed the company’s property during a labor
    dispute. Pp. 6–12.
    (a) The parties agree that the NLRA protects the right to strike but
    that this right is not absolute. The National Labor Relations Board
    has long taken the position—which the parties accept—that the NLRA
    does not shield strikers who fail to take “reasonable precautions” to
    protect their employer’s property from foreseeable, aggravated, and
    imminent danger due to the sudden cessation of work. Bethany Medi-
    cal Center, 328 N. L. R. B. 1094. Given this undisputed limitation on
    the right to strike, the Court concludes that the Union has not met its
    burden as the party asserting preemption to demonstrate that the
    NLRA arguably protects the drivers’ conduct. Longshoremen v. Davis,
    
    476 U. S. 380
    , 395. Accepting the complaint’s allegations as true, the
    Union did not take reasonable precautions to protect Glacier’s property
    from imminent danger resulting from the drivers’ sudden cessation of
    work. The Union knew that concrete is highly perishable, that it can
    last for only a limited time in a delivery truck’s rotating drum, and
    that concrete left to harden in a truck’s drum causes significant dam-
    age to the truck. The Union nevertheless coordinated with truck driv-
    ers to initiate the strike when Glacier was in the midst of batching
    large quantities of concrete and delivering it to customers. The result-
    ing risk of harm to Glacier’s equipment and destruction of its concrete
    were both foreseeable and serious. The Union thus failed to “take rea-
    sonable precautions to protect” against this foreseeable and imminent
    danger. Bethany Medical Center, 328 N. L. R. B., at 1094. Indeed, far
    from taking reasonable precautions, the Union executed the strike in
    a manner designed to achieve those results. Because such conduct is
    not arguably protected by the NLRA, the state court erred in dismiss-
    ing Glacier’s tort claims as preempted. Pp. 6–8.
    (b) The Union’s efforts to resist the conclusion that the NLRA does
    not arguably protect its conduct are unavailing. First, the Union em-
    phasizes that the NLRA’s protection of the right to strike should be
    interpreted generously. But the protected right to strike is not abso-
    lute, thus the Court must analyze whether the strike exceeded the lim-
    its of conduct protected by the statute.
    Cite as: 
    598 U. S. ____
     (2023)                      3
    Syllabus
    Second, the Union argues that workers do not forfeit the NLRA’s
    protections simply by commencing a work stoppage when the loss of
    perishable products is foreseeable, but this case involves much more
    than that. Given the lifespan of wet concrete, Glacier could not batch
    it until a truck was ready to take it. By reporting for duty and pre-
    tending as if they would deliver the concrete, the drivers prompted the
    creation of the perishable product. Then, they waited to walk off the
    job until the concrete was mixed and poured in the trucks. In so doing,
    they not only destroyed the concrete but also put Glacier’s trucks in
    harm’s way.
    Third, the Court acknowledges that the Union’s decision to initiate
    the strike during the workday and failure to give Glacier specific notice
    do not themselves render the Union’s conduct unprotected. Still, these
    actions are relevant considerations in evaluating whether strikers took
    reasonable precautions, whether harm to property was imminent, and
    whether that danger was foreseeable. See International Protective
    Services, Inc., 339 N. L. R. B. 701, 702–703. Here, the Union’s choice
    to call a strike after its drivers had loaded a large amount of wet con-
    crete into Glacier’s delivery trucks strongly suggests that it failed to
    take reasonable precautions to avoid foreseeable, aggravated, and im-
    minent harm to Glacier’s property.
    Finally, while the Union maintains that the drivers took some steps
    to protect the trucks, the Union concedes that the NLRA does not ar-
    guably protect its actions if those actions posed a material risk of harm
    to the trucks. Given that Glacier alleges that the Union took affirma-
    tive steps to endanger Glacier’s property rather than reasonable pre-
    cautions to mitigate that risk, the NLRA does not arguably protect the
    Union’s conduct. Pp. 8–12.
    
    198 Wash. 2d 768
    , 
    500 P. 3d 119
    , reversed and remanded.
    BARRETT, J., delivered the opinion of the Court, in which ROBERTS,
    C. J., and SOTOMAYOR, KAGAN, and KAVANAUGH, JJ., joined. THOMAS, J.,
    filed an opinion concurring in the judgment, in which GORSUCH, J.,
    joined. ALITO, J., filed an opinion concurring in the judgment, in which
    THOMAS and GORSUCH, JJ., joined. JACKSON, J., filed a dissenting opin-
    ion.
    Cite as: 
    598 U. S. ____
     (2023)                              1
    Opinion of the Court
    NOTICE: This opinion is subject to formal revision before publication in the
    United States Reports. Readers are requested to notify the Reporter of
    Decisions, Supreme Court of the United States, Washington, D. C. 20543,
    pio@supremecourt.gov, of any typographical or other formal errors.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 21–1449
    _________________
    GLACIER NORTHWEST, INC., DBA CALPORTLAND,
    PETITIONER v. INTERNATIONAL BROTHERHOOD
    OF TEAMSTERS LOCAL UNION NO. 174
    ON WRIT OF CERTIORARI TO THE SUPREME COURT OF
    WASHINGTON
    [June 1, 2023]
    JUSTICE BARRETT delivered the opinion of the Court.
    Glacier Northwest, a concrete company, depends on its
    truck drivers to deliver concrete to customers in a timely
    manner. But when relations between Glacier and its driv-
    ers soured, the drivers went on strike. Their labor union
    allegedly designed the strike with the intent to sabotage
    Glacier’s property. Although Glacier managed to avoid
    damage to its delivery trucks by deploying emergency ma-
    neuvers, the concrete that it had already produced that day
    went to waste. Glacier sued the union in state court for de-
    stroying its property. But the company did not get very far:
    The state court dismissed Glacier’s tort claims on the
    ground that they were preempted by the National Labor
    Relations Act. We reverse.
    I
    A
    Enacted in 1935, the National Labor Relations Act
    (NLRA) “encourag[es] the practice and procedure of collec-
    tive bargaining” between labor and management to resolve
    “industrial disputes arising out of differences as to wages,
    2         GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    hours, or other working conditions.” 
    49 Stat. 449
    , 
    29 U. S. C. §151
    . Section 7 of the NLRA protects employees’
    rights “to self-organization, to form, join, or assist labor or-
    ganizations, to bargain collectively through representatives
    of their own choosing, and to engage in other concerted ac-
    tivities for the purpose of collective bargaining or other mu-
    tual aid or protection.” §157. Section 8, in turn, prohibits
    employers and unions from engaging in certain “unfair la-
    bor practice[s],” such as interfering with employees’ exer-
    cise of their §7 rights. §§158(a), (b).
    To enforce the NLRA, Congress created the National La-
    bor Relations Board. The Board is authorized “to prevent
    any person from engaging in any unfair labor practice” that
    “affect[s] commerce.” §160(a). Its authority kicks in when
    a person files a charge with the agency alleging that an un-
    fair labor practice is afoot. 
    29 CFR §101.2
     (2021). Agency
    staff investigate the charge, and if it “appears to have
    merit,” the agency issues a complaint against the offending
    party. §§101.4, 101.8. After taking evidence and conduct-
    ing a hearing, the Board makes the final call. 
    29 U. S. C. §§160
    (b), (c); see also 
    29 CFR §§101.10
    –101.12. If it deter-
    mines that a party has engaged in an unfair labor practice,
    the Board orders it to “cease and desist” from that practice.
    
    29 U. S. C. §160
    (c). The Board may seek enforcement of its
    order in a federal court of appeals. §160(e). And a party
    aggrieved by the order may ask the court to set it aside.
    §160(f ).
    B
    Sometimes a party to a labor dispute goes directly to a
    court—raising the specter that state law will say one thing
    about the conduct underlying the dispute while the NLRA
    says another. It is a bedrock rule, of course, that federal
    law preempts state law when the two conflict. U. S. Const.,
    Art. VI, cl. 2. Preemption under the NLRA is unusual,
    though, because our precedent maintains that the NLRA
    Cite as: 
    598 U. S. ____
     (2023)                     3
    Opinion of the Court
    preempts state law even when the two only arguably con-
    flict. San Diego Building Trades Council v. Garmon, 
    359 U. S. 236
    , 245 (1959) (“When an activity is arguably subject
    to §7 or §8 of the [NLRA], the States as well as the federal
    courts must defer to the exclusive competence of the Na-
    tional Labor Relations Board”). This doctrine—named Gar-
    mon preemption after the case that originated it—thus goes
    beyond the usual preemption rule. Under Garmon, States
    cannot regulate conduct “that the NLRA protects, prohibits,
    or arguably protects or prohibits.” Wisconsin Dept. of In-
    dustry v. Gould Inc., 
    475 U. S. 282
    , 286 (1986).
    Though broad, this standard has teeth. Longshoremen v.
    Davis, 
    476 U. S. 380
    , 394 (1986) (“The precondition for pre-
    emption, that the conduct be ‘arguably’ protected or prohib-
    ited, is not without substance”). It requires more than “a
    conclusory assertion” that the NLRA arguably protects or
    prohibits conduct. 
    Ibid.
     “[A] party asserting pre-emption
    must advance an interpretation of the [NLRA] that is not
    plainly contrary to its language and that has not been ‘au-
    thoritatively rejected’ by the courts or the Board.” 
    Id., at 395
    . The party must then “put forth enough evidence to
    enable the court to find that the Board reasonably could up-
    hold a claim based on such an interpretation.” 
    Ibid.
    If the court determines that the party has met its burden
    to show that “there is an arguable case for pre-emption,” it
    generally must grant the party’s preemption defense and
    await the Board’s resolution of the legal status of the rele-
    vant conduct. 
    Id., at 397
    .1 After that, “only if the Board
    ——————
    1 We have recognized exceptions to this rule. One allows a court to
    resolve a claim if the party raising it lacks a “reasonable opportunity” to
    secure a Board decision on the legal status of the conduct at issue. Sears,
    Roebuck & Co. v. Carpenters, 
    436 U. S. 180
    , 201 (1978); see also Davis,
    
    476 U. S., at 393, n. 10
    . Another applies if the conduct in question is “a
    merely peripheral concern” of the NLRA. San Diego Building Trades
    Council v. Garmon, 
    359 U. S. 236
    , 243 (1959). A third covers situations
    4           GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    decides that the conduct is not protected or prohibited [by
    the NLRA] may the court entertain the litigation.” 
    Ibid.
    “[W]hen properly invoked,” Garmon thus “tells us not just
    what law applies (federal law, not state law) but who ap-
    plies it (the National Labor Relations Board, not the state
    courts or federal district courts).” Trollinger v. Tyson
    Foods, Inc., 
    370 F. 3d 602
    , 608 (CA6 2004).
    C
    We relay the facts as alleged in the complaint. Glacier
    Northwest sells ready-mix concrete to customers in Wash-
    ington State. Each batch must be mixed to the customer’s
    specifications.       After Glacier combines the raw
    ingredients—cement, sand, aggregate, admixture, and
    water—in a hopper, it transfers the resulting concrete to
    one of its trucks for prompt delivery.
    In this business, time is of the essence. Concrete is highly
    perishable—it begins to harden immediately once at rest.
    Ready-mix trucks can preserve concrete in a rotating drum
    located on the back of the truck, but only for a limited time.
    If concrete remains in the rotating drum for too long, it will
    harden and cause significant damage to the truck. Worse
    still, the hardening begins right away if the drum stops re-
    volving.
    The International Brotherhood of Teamsters Local Union
    No. 174 (Union) serves as the exclusive bargaining repre-
    sentative for Glacier’s truck drivers. After the collective-
    bargaining agreement between Glacier and the Union ex-
    pired in the summer of 2017, the parties negotiated in an
    attempt to reach a new deal. Things did not go smoothly.
    ——————
    “where the regulated conduct touche[s] interests so deeply rooted in local
    feeling and responsibility that, in the absence of compelling congres-
    sional direction,” a court cannot conclude that Congress “deprived the
    States of the power to act.” Id., at 244. Because we conclude that the
    NLRA does not arguably protect the Union’s conduct, we need not ad-
    dress these exceptions.
    Cite as: 
    598 U. S. ____
     (2023)            5
    Opinion of the Court
    Tensions came to a head on the morning of August 11.
    According to the allegations in Glacier’s complaint, a Union
    agent signaled for a work stoppage when the Union knew
    that Glacier was in the midst of mixing substantial
    amounts of concrete, loading batches into ready-mix trucks,
    and making deliveries. Although Glacier quickly instructed
    drivers to finish deliveries in progress, the Union directed
    them to ignore Glacier’s orders. At least 16 drivers who had
    already set out for deliveries returned with fully loaded
    trucks. Seven parked their trucks, notified a Glacier repre-
    sentative, and either asked for instructions or took actions
    to protect their trucks. But at least nine drivers abandoned
    their trucks without a word to anyone.
    Glacier faced an emergency. The company could not
    leave the mixed concrete in the trucks because the con-
    crete’s inevitable hardening would cause significant dam-
    age to the vehicles. At the same time, the company could
    not dump the concrete out of the trucks at random because
    concrete contains environmentally sensitive chemicals. To
    top it all off, Glacier had limited time to solve this conun-
    drum.
    A mad scramble ensued. Glacier needed to determine
    which trucks had concrete in them, how close the concrete
    in each truck was to hardening, and where to dump that
    concrete in an environmentally safe manner. Over the
    course of five hours, nonstriking employees built special
    bunkers and managed to offload the concrete. When all was
    said and done, Glacier’s emergency maneuvers prevented
    damage to its trucks. But the concrete that it had already
    mixed that day hardened in the bunkers and became use-
    less.
    Glacier sued the Union for damages in Washington state
    court. Relying on the allegations detailed above, Glacier
    claimed that the Union intentionally destroyed the com-
    pany’s concrete and that this conduct amounted to common-
    law conversion and trespass to chattels.
    6         GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    The Union moved to dismiss Glacier’s tort claims on the
    ground that the NLRA preempted them. In the Union’s
    view, the NLRA at least arguably protected the drivers’ con-
    duct, so the State was powerless to hold the Union account-
    able for any of the strike’s consequences.
    The trial court agreed with the Union. After the appel-
    late court reversed, the Washington Supreme Court rein-
    stated the trial court’s decision. In its view, “the NLRA
    preempts Glacier’s tort claims related to the loss of its con-
    crete product because that loss was incidental to a strike
    arguably protected by federal law.” 
    198 Wash. 2d 768
    , 774,
    
    500 P. 3d 119
    , 123 (2021).
    We granted certiorari to resolve whether the NLRA
    preempts Glacier’s tort claims alleging that the Union in-
    tentionally destroyed its property during a labor dispute.
    
    598 U. S. ___
     (2022).
    II
    As the party asserting preemption, the Union bears the
    burden of (1) advancing “an interpretation of the [NLRA]
    that is not plainly contrary to its language and that has not
    been ‘authoritatively rejected’ by the courts or the Board,”
    and then (2) putting forth “enough evidence to enable the
    court to find that” the NLRA arguably protects the drivers’
    conduct. Davis, 
    476 U. S., at 395
    . The Union passes the
    first test but fails the second.
    All agree that the NLRA protects the right to strike but
    that this right is not absolute. Brief for Petitioner 18; Brief
    for Respondent 21, 46, n. 14. The Board has long taken the
    position—which both the Union and Glacier accept—that
    the NLRA does not shield strikers who fail to take “reason-
    able precautions” to protect their employer’s property from
    foreseeable, aggravated, and imminent danger due to the
    sudden cessation of work. Bethany Medical Center, 328
    N. L. R. B. 1094 (1999) (“concerted activity” is “indefensible
    Cite as: 
    598 U. S. ____
     (2023)                   7
    Opinion of the Court
    where employees fail to take reasonable precautions to pro-
    tect the employer’s plant, equipment, or products from fore-
    seeable imminent danger due to sudden cessation of work”);
    see also Brief for Petitioner 14, 30–31; Brief for Respondent
    28–29; Reply Brief 6–7; Tr. of Oral Arg. 68, 86. Given this
    undisputed limitation on the right to strike, we proceed to
    consider whether the Union has demonstrated that the
    statute arguably protects the drivers’ conduct. Davis, 
    476 U. S., at 395
    . We conclude that it has not.2
    The drivers engaged in a sudden cessation of work that
    put Glacier’s property in foreseeable and imminent danger.
    The Union knew that concrete is highly perishable and that
    it can last for only a limited time in a delivery truck’s rotat-
    ing drum. It also knew that concrete left to harden in a
    truck’s drum causes significant damage to the truck. The
    Union nevertheless coordinated with truck drivers to initi-
    ate the strike when Glacier was in the midst of batching
    large quantities of concrete and delivering it to customers.
    Predictably, the company’s concrete was destroyed as a re-
    sult. And though Glacier’s swift action saved its trucks in
    the end, the risk of harm to its equipment was both foresee-
    able and serious. See NLRB v. Special Touch Home Care
    Services, Inc., 
    708 F. 3d 447
    , 460 (CA2 2013) (“The appro-
    priate inquiry is focused on the risk of harm, not its reali-
    zation”).
    The Union failed to “take reasonable precautions to pro-
    tect” against this foreseeable and imminent danger. Beth-
    any Medical Center, 328 N. L. R. B., at 1094. It could have
    ——————
    2 The Union moved to dismiss Glacier’s claims for failure to state a
    claim and for lack of subject matter jurisdiction. Like the Washington
    Supreme Court, we treat both motions together and accept the allega-
    tions in the complaint as true at the motion-to-dismiss stage. 
    198 Wash. 2d 768
    , 782–783, 
    500 P. 3d 119
    , 127 (2021); see also Kinney v. Cook, 
    159 Wash. 2d 837
    , 842, 
    154 P. 3d 206
    , 209 (2007). Pursuant to Washington
    law, we also may consider additional factual allegations made by Glacier
    that support its complaint. See Bravo v. Dolsen Companies, 
    125 Wash. 2d 745
    , 750, 
    888 P. 2d 147
    , 150 (1995).
    8          GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    initiated the strike before Glacier’s trucks were full of wet
    concrete—say, by instructing drivers to refuse to load their
    trucks in the first place. Once the strike was underway,
    nine of the Union’s drivers abandoned their fully loaded
    trucks without telling anyone—which left the trucks on a
    path to destruction unless Glacier saw them in time to un-
    load the concrete. Yet the Union did not take the simple
    step of alerting Glacier that these trucks had been re-
    turned. Nor, after the trucks were in the yard, did the Un-
    ion direct its drivers to follow Glacier’s instructions to facil-
    itate a safe transfer of equipment. To be clear, the
    “reasonable precautions” test does not mandate any one ac-
    tion in particular. But the Union’s failure to take even min-
    imal precautions illustrates its failure to fulfill its duty.
    Indeed, far from taking reasonable precautions to miti-
    gate foreseeable danger to Glacier’s property, the Union ex-
    ecuted the strike in a manner designed to compromise the
    safety of Glacier’s trucks and destroy its concrete. Such
    conduct is not “arguably protected” by the NLRA; on the
    contrary, it goes well beyond the NLRA’s protections. See
    NLRB v. Marshall Car Wheel & Foundry Co., 
    218 F. 2d 409
    ,
    411, 413 (CA5 1955) (strike unprotected when employees
    abandoned their posts without warning “when molten iron
    in the plant cupola was ready to be poured off,” even though
    “a lack of sufficient help to carry out the critical pouring
    operation might well have resulted in substantial property
    damage”).
    Thus, accepting the complaint’s allegations as true, the
    Union did not take reasonable precautions to protect Glac-
    ier’s property from imminent danger resulting from the
    drivers’ sudden cessation of work. The state court thus
    erred in dismissing Glacier’s tort claims as preempted on
    the pleadings.
    III
    The Union resists this conclusion. First, it emphasizes
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     (2023)            9
    Opinion of the Court
    that the NLRA’s protection of the right to strike should “ ‘be
    given a generous interpretation.’ ” Brief for Respondent 21
    (quoting NLRB v. Erie Resistor Corp., 
    373 U. S. 221
    , 234–
    235 (1963)). A strike, it points out, consists of a “concerted
    stoppage of work.” §142(2). So, the argument goes, by en-
    gaging in a concerted stoppage of work to support their eco-
    nomic demands, the drivers engaged in conduct arguably
    protected by §7 of the NLRA.
    This argument oversimplifies the NLRA. As we ex-
    plained, the right to strike is limited by the requirement
    that workers “take reasonable precautions to protect the
    employer’s plant, equipment, or products from foreseeable
    imminent danger due to sudden cessation of work.” Beth-
    any Medical Center, 328 N. L. R. B., at 1094. So the mere
    fact that the drivers engaged in a concerted stoppage of
    work to support their economic demands does not end the
    analysis. We must also ask whether the strike exceeded the
    limits of the statute.
    Second, the Union argues that “workers do not forfeit the
    Act’s protections simply by commencing a work stoppage at
    a time when the loss of perishable products is foreseeable.”
    Brief for Respondent 22. It points out that the Board has
    found strikers’ conduct protected even when their decision
    not to work created a risk that perishable goods would spoil.
    See, e.g., Lumbee Farms Coop., 285 N. L. R. B. 497 (1987)
    (raw poultry processing workers), enf ’d, 
    850 F. 2d 689
     (CA4
    1988); Central Oklahoma Milk Producers Assoc., 125
    N. L. R. B. 419 (1959) (milk-truck drivers), enf ’d, 
    285 F. 2d 495
     (CA10 1960); Leprino Cheese Co., 170 N. L. R. B. 601
    (1968) (cheese factory employees), enf ’d, 
    424 F. 2d 184
    (CA10 1970). If the mere risk of spoilage is enough to ren-
    der a strike illegal, the Union insists, then workers who
    deal with perishable goods will have no meaningful right to
    strike.
    The Union is swinging at a straw man. It casts this case
    as one involving nothing more than a foreseeable risk that
    10        GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    the employer’s perishable products would spoil. But given
    the lifespan of wet concrete, Glacier could not batch it until
    a truck was ready to take it. So by reporting for duty and
    pretending as if they would deliver the concrete, the drivers
    prompted the creation of the perishable product. Then, they
    waited to walk off the job until the concrete was mixed and
    poured in the trucks. In so doing, they not only destroyed
    the concrete but also put Glacier’s trucks in harm’s way.
    This case therefore involves much more than “a work stop-
    page at a time when the loss of perishable products is fore-
    seeable.” Brief for Respondent 22.
    Third, the Union maintains that the timing of the strike
    and Glacier’s lack of notice cannot render the drivers’ con-
    duct unprotected. 
    Id.,
     at 26–28. It argues that workers are
    not required to time their strikes to minimize economic
    harm to their employer, see Lumbee Farms, 285 N. L. R. B.,
    at 506, and that the NLRA does not impose a legal require-
    ment that workers give specific notice of a strike’s timing,
    see Columbia Portland Cement Co. v. NLRB, 
    915 F. 2d 253
    ,
    257 (CA6 1990).
    We agree that the Union’s decision to initiate the strike
    during the workday and failure to give Glacier specific no-
    tice do not themselves render its conduct unprotected. Still,
    they are relevant considerations in evaluating whether
    strikers took reasonable precautions, whether harm to
    property was imminent, and whether that danger was fore-
    seeable. See International Protective Services, Inc., 339
    N. L. R. B. 701, 702–703 (2003) (attempt “ ‘to capitalize on
    the element of surprise’ ” stemming from a lack of notice
    weighed in favor of concluding that a union failed to take
    reasonable precautions). In this instance, the Union’s
    choice to call a strike after its drivers had loaded a large
    amount of wet concrete into Glacier’s delivery trucks
    strongly suggests that it failed to take reasonable precau-
    tions to avoid foreseeable, aggravated, and imminent harm
    to Glacier’s property.
    Cite as: 
    598 U. S. ____
     (2023)                     11
    Opinion of the Court
    Finally, the Union points out that the drivers returned
    the trucks to Glacier’s facility. And it maintains that all of
    the drivers left the drums of their trucks rotating, which
    delayed the concrete’s hardening process. In the Union’s
    view, this establishes that the drivers took reasonable pre-
    cautions to protect the trucks. Brief for Respondent 28–30.
    We see it differently. That the drivers returned the
    trucks to Glacier’s facility does not do much for the Union—
    refraining from stealing an employer’s vehicles does not
    demonstrate that one took reasonable precautions to pro-
    tect them. And Glacier’s allegations do not support the Un-
    ion’s assertion that all of the drivers left the drums rotating.
    The Union relies on a vague remark by an unspecified Un-
    ion agent to another unspecified person to leave a truck
    running. See 
    id., at 9, 30
    ; Brief for Petitioner 8; App. 34.
    This snippet does not show that all of the drivers left their
    trucks running, and even if it did, that would not neces-
    sarily mean that the delivery trucks’ drums continued ro-
    tating. In any event, Glacier alleged that if concrete re-
    mains in a ready-mix truck for too long, it will harden and
    cause significant damage to the truck. The rotating drum
    forestalls that hardening for a time, but not indefinitely.
    And the Union concedes that the NLRA does not arguably
    protect its actions if they posed a material risk of harm to
    the trucks. Tr. of Oral Arg. 78.3
    ——————
    3 After the Washington Supreme Court affirmed the dismissal of Glac-
    ier’s tort claims, the Board’s general counsel issued a complaint alleging
    that Glacier engaged in unfair labor practices in relation to its labor dis-
    pute with the drivers, including by disciplining some of those involved in
    the strike. The lower courts have not addressed the significance, if any,
    of the Board’s complaint with respect to Garmon preemption. We will
    not do so in the first instance. Cutter v. Wilkinson, 
    544 U. S. 709
    , 718,
    n. 7 (2005) (“[W]e are a court of review, not of first view”). The Board’s
    general counsel agrees that this issue is not properly before us. See Brief
    for United States as Amicus Curiae 28.
    12        GLACIER NORTHWEST, INC. v. TEAMSTERS
    Opinion of the Court
    *     *     *
    Glacier alleges that the drivers’ conduct created an emer-
    gency in which it had to devise a way to offload concrete “in
    a timely manner to avoid costly damage to [its] mixer
    trucks.” App. 72. The Union’s actions not only resulted in
    the destruction of all the concrete Glacier had prepared that
    day; they also posed a risk of foreseeable, aggravated, and
    imminent harm to Glacier’s trucks. Because the Union took
    affirmative steps to endanger Glacier’s property rather
    than reasonable precautions to mitigate that risk, the
    NLRA does not arguably protect its conduct. We reverse
    the judgment of the Washington Supreme Court and re-
    mand the case for further proceedings not inconsistent with
    this opinion.
    It is so ordered.
    Cite as: 
    598 U. S. ____
     (2023)             1
    THOMAS, J., concurring in judgment
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 21–1449
    _________________
    GLACIER NORTHWEST, INC., DBA CALPORTLAND,
    PETITIONER v. INTERNATIONAL BROTHERHOOD
    OF TEAMSTERS LOCAL UNION NO. 174
    ON WRIT OF CERTIORARI TO THE SUPREME COURT OF
    WASHINGTON
    [June 1, 2023]
    JUSTICE THOMAS, with whom JUSTICE GORSUCH joins,
    concurring in the judgment.
    I agree that petitioner’s state-court claims are not pre-
    empted by the National Labor Relations Act (NLRA). The
    majority reaches this conclusion, however, by applying the
    Court’s precedent in San Diego Building Trades Council v.
    Garmon, 
    359 U. S. 236
     (1959), which held that state courts
    are disabled from adjudicating state-law claims that con-
    cern conduct “arguably” protected under the NLRA. 
    Id.,
     at
    245–246. Because this Court has previously held that the
    type of conduct alleged here is not protected, I join JUSTICE
    ALITO’s opinion concurring in the judgment. I write sepa-
    rately to emphasize the oddity of Garmon’s broad pre-emp-
    tion regime.
    This Court typically applies a high bar before concluding
    that federal law “strip[s] state courts of jurisdiction to hear
    their own state claims.” Atlantic Richfield Co. v. Christian,
    
    590 U. S. ___
    , ___–___ (2020) (slip op., at 11–12). Likewise,
    the Court generally requires a “clear” purpose to displace
    state law before finding that a federal statute does so. Wy-
    eth v. Levine, 
    555 U. S. 555
    , 565 (2009) (internal quotation
    marks omitted).
    As the majority notes, however, Garmon “goes beyond the
    usual preemption rule.” Ante, at 3. In Garmon, the Court
    2           GLACIER NORTHWEST, INC. v. TEAMSTERS
    THOMAS, J., concurring in judgment
    determined that, “[w]hen an activity is arguably subject to
    §7 or §8 of the Act” (which, respectively, concern employees’
    right to engage in concerted activity and unfair labor prac-
    tices), “the States as well as the federal courts must defer
    to the exclusive competence of the National Labor Relations
    Board [(NLRB or Board)].” 
    359 U. S., at 245
    . The Court
    went on to explain that this prophylactic rule of pre-emp-
    tion may apply even to state-court claims arising under
    state private law (rather than the NLRA or a comparable
    state regulatory scheme) and even to claims seeking reme-
    dies not available from the Board. 
    Id.,
     at 246–248.* Nor,
    under the Court’s rule, is the State’s power to act restored
    if the NLRB “fail[s] to determine the status of the disputed
    conduct by declining to assert jurisdiction, or by refusal . . .
    to file a charge; or by adopting some other disposition which
    does not define the nature of the activity with unclouded
    legal significance.” 
    Id.,
     at 245–246.
    Garmon acknowledged that the NLRA’s pre-emption im-
    plications “ ‘are of a Delphic nature,’ ” leaving the States’ re-
    sidual power in a “ ‘penumbral area [that] can be rendered
    progressively clear only by the course of litigation.’ ” 
    Id.,
     at
    240–241 (quoting Machinists v. Gonzales, 
    356 U. S. 617
    ,
    619 (1958); Weber v. Anheuser-Busch, Inc., 
    348 U. S. 468
    ,
    480–481 (1955)). It thus emphasized that “Congress has
    entrusted administration of the labor policy for the Nation
    to a centralized administrative agency,” making it “essen-
    tial to the administration of the Act” that determinations
    about protected and prohibited conduct “be left in the first
    ——————
    *Nonetheless, and motivated by “due regard for the presuppositions of
    our embracing federal system,” Garmon carved out two areas of pre-
    sumptive state control: (1) “where the activity regulated was a merely
    peripheral concern of the [NLRA as amended],” and (2) where it “touched
    interests so deeply rooted in local feeling and responsibility that, in the
    absence of compelling congressional direction, [the Court] could not infer
    that Congress had deprived the States of the power to act.” 
    359 U. S., at
    243–244.
    Cite as: 
    598 U. S. ____
     (2023)              3
    THOMAS, J., concurring in judgment
    instance to the [NLRB].” 
    359 U. S., at 242
    , 244–245. To do
    otherwise, it feared, “would create potential frustration of
    national purposes” and invite “the danger of state interfer-
    ence with national policy.” 
    Id.,
     at 244–245.
    Justice Harlan concurred in the result, warning that the
    majority’s rule would “reduc[e] to the vanishing point”
    States’ “power to redress wrongful acts in the labor field”
    and provide any “effective remedy under their own laws for
    . . . tortious conduct.” 
    Id.,
     at 253–254. The years since have
    borne out that warning. Garmon elevates “even the remot-
    est possibility of conflict,” thereby “overstat[ing ] the likeli-
    hood and significance of conflicts and . . . set[ting] up an un-
    real goal of doctrinal and factual harmony.” L. Jaffe,
    Primary Jurisdiction, 
    77 Harv. L. Rev. 1037
    , 1053 (1964).
    In effect, “Garmon doctrine completely pre-empts state-
    court jurisdiction unless the Board determines that the dis-
    puted conduct is neither protected nor prohibited by the
    [NLRA].” Sears, Roebuck & Co. v. Carpenters, 
    436 U. S. 180
    , 199, n. 29 (1978).
    The majority opinion today underscores the strangeness
    of the Garmon regime. Here, the Supreme Court of the
    United States reassures a state court of its power to adju-
    dicate a state-law tort claim. The Court does so, not based
    on its own judgment that federal law does not pre-empt the
    claim, but because the NLRB’s existing precedents ade-
    quately remove any “[c]lou[d]” over the matter. 
    359 U. S., at 246
    . But, if the Board’s precedents left the matter “ar-
    guable” (and the NLRA did not plainly dictate an answer),
    then the state courts would be “ousted” of jurisdiction.
    Longshoremen v. Davis, 
    476 U. S. 380
    , 396 (1986). The up-
    shot of this approach appears to be that the scope of the
    NLRA’s pre-emption of state-court jurisdiction over state
    claims is defined—not by the statutory text—but by “pe-
    numbra[s]” that wax and wane as the Board develops, or
    declines to develop, its own carefully insulated common law
    4         GLACIER NORTHWEST, INC. v. TEAMSTERS
    THOMAS, J., concurring in judgment
    of labor relations. Garmon, 
    359 U. S., at 240
     (internal quo-
    tation marks omitted).
    The parties here have not asked us to reconsider Garmon,
    nor is it necessary to do so to resolve this case. Nonetheless,
    in an appropriate case, we should carefully reexamine
    whether the law supports Garmon’s “unusual” pre-emption
    regime. Ante, at 2. In doing so, I would bear in mind that
    any proper pre-emption inquiry must focus on the NLRA’s
    text and ask whether federal law and state law “are in log-
    ical contradiction,” such that it is impossible to comply with
    both. Merck Sharp & Dohme Corp. v. Albrecht, 
    587 U. S. ___
    , ___ (2019) (THOMAS, J., concurring) (slip op., at 2); see
    also PLIVA, Inc. v. Mensing, 
    564 U. S. 604
    , 617–618 (2011).
    Cite as: 
    598 U. S. ____
     (2023)            1
    ALITO,AJ.,   , J., concurring
    concurring
    LITO           in judgment
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 21–1449
    _________________
    GLACIER NORTHWEST, INC., DBA CALPORTLAND,
    PETITIONER v. INTERNATIONAL BROTHERHOOD
    OF TEAMSTERS LOCAL UNION NO. 174
    ON WRIT OF CERTIORARI TO THE SUPREME COURT OF
    WASHINGTON
    [June 1, 2023]
    JUSTICE ALITO, with whom JUSTICE THOMAS and
    JUSTICE GORSUCH join, concurring in the judgment.
    I agree with the Court that the Washington Supreme
    Court erred in holding that Glacier Northwest’s complaint
    is preempted under San Diego Building Trades Council v.
    Garmon, 
    359 U. S. 236
     (1959). The National Labor Rela-
    tions Act (NLRA) protects the right to strike, but that right
    is subject to certain limitations and qualifications, see 
    29 U. S. C. §163
    , and this Court’s decisions make clear that the
    Act does not protect striking employees who engage in the
    type of conduct alleged here.
    This Court has long recognized that the Act does not “in-
    vest those who go on strike with an immunity from dis-
    charge for acts of trespass or violence against the em-
    ployer’s property.” NLRB v. Fansteel Metallurgical Corp.,
    
    306 U. S. 240
    , 255 (1939). To justify “despoiling [an em-
    ployer’s] property” or “the seizure and conversion of its
    goods,” we have reasoned, “would be to put a premium on
    resort to force instead of legal remedies.” 
    Id., at 253
    . It
    follows that Garmon preemption does not prevent States
    from imposing liability on employees who intentionally de-
    stroy their employer’s property. See, e.g., Machinists v.
    Wisconsin Employment Relations Comm’n, 
    427 U. S. 132
    ,
    136 (1976) (“Policing . . . destruction of property has been
    2          GLACIER NORTHWEST, INC. v. TEAMSTERS
    ALITO, J., concurring in judgment
    held most clearly a matter for the States”); Construction
    Workers v. Laburnum Constr. Corp., 
    347 U. S. 656
    , 669
    (1954) (The NLRA does not allow employees to “destroy
    property without liability for the damage done”); Electrical
    Workers v. Wisconsin Employment Relations Bd., 
    315 U. S. 740
    , 748 (1942) (The NLRA “was not designed to preclude a
    State” from regulating threats of property damage); see also
    Linn v. Plant Guard Workers, 
    383 U. S. 53
    , 61–62 (1966)
    (“ ‘[T]here is no ground for concluding that existing criminal
    penalties or liabilities for tortious conduct have been elimi-
    nated’ ” by the NLRA); Bill Johnson’s Restaurants, Inc. v.
    NLRB, 
    461 U. S. 731
    , 741–742 (1983) (“It has . . . repeatedly
    been held that an employer has the right to seek local judi-
    cial protection from tortious conduct during a labor dis-
    pute”).
    Nothing more is needed to resolve this case. Glacier’s
    complaint alleges that the Union and its members acted
    “with the improper purpose to harm Glacier by causing [its]
    batched concrete to be destroyed.” App. 10; accord, id., at
    14, 19–20. As the Court recognizes, they succeeded by
    “prompt[ing] the creation of the perishable product” and
    then ceasing work when the concrete was in a vulnerable
    state. Ante, at 10 (emphasis deleted); see App. 10–13. Be-
    cause this Court has long rejected the Union’s claim that
    this kind of conduct is protected, Garmon preemption does
    not apply. See Longshoremen v. Davis, 
    476 U. S. 380
    , 395
    (1986).1
    ——————
    1 The Court wisely declines to address the argument on which JUSTICE
    JACKSON relies regarding the effect of the complaint before the NLRB on
    this litigation. See post, at 7–8. That argument represents a striking
    extension of Garmon preemption, which, as the Court notes, is already
    an “unusual” doctrine. See ante, at 3–4. If the state courts on remand
    dismiss this case on that ground, the decision, in my judgment, would be
    a good candidate for a quick return trip here.
    Cite as: 
    598 U. S. ____
     (2023)            1
    JACKSON, J., dissenting
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 21–1449
    _________________
    GLACIER NORTHWEST, INC., DBA CALPORTLAND,
    PETITIONER v. INTERNATIONAL BROTHERHOOD
    OF TEAMSTERS LOCAL UNION NO. 174
    ON WRIT OF CERTIORARI TO THE SUPREME COURT OF
    WASHINGTON
    [June 1, 2023]
    JUSTICE JACKSON, dissenting.
    The right to strike is fundamental to American labor law.
    Congress enshrined that right in the National Labor Rela-
    tions Act (NLRA) and simultaneously established the Na-
    tional Labor Relations Board to adjudicate disputes that
    arise between workers and management. That decision re-
    flected Congress’s judgment that an agency with special-
    ized expertise should develop and enforce national labor
    law in a uniform manner, through case-by-case adjudica-
    tion. For its part, this Court has scrupulously guarded the
    Board’s authority for more than half a century. See San
    Diego Building Trades Council v. Garmon, 
    359 U. S. 236
    (1959). Under Garmon, and as relevant here, a court pre-
    sented with a tort suit based on strike conduct generally
    must pause proceedings and permit the Board to determine
    in the first instance whether the union’s conduct is lawful
    if the conduct at issue is even “arguably” protected by the
    NLRA. 
    Id., at 245
    .
    Today, the Court falters. As the majority acknowledges,
    the Board’s General Counsel has filed a complaint with the
    Board after a thorough factual investigation, and that com-
    plaint alleges that the NLRA protects the strike conduct at
    the center of this state-court tort suit. The logical implica-
    tion of a General Counsel complaint under Garmon is that
    2         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    the union’s conduct is at least arguably protected by the
    NLRA. Consequently, where (as here) there is a General
    Counsel complaint pending before the Board, courts—in-
    cluding this Court—should suspend their examination.
    Garmon makes clear that we have no business delving into
    this particular labor dispute at this time.
    But instead of modestly standing down, the majority ea-
    gerly inserts itself into this conflict, proceeding to opine on
    the propriety of the union’s strike activity based on the facts
    alleged in the employer’s state-court complaint. As part of
    this mistaken expedition, the majority tries its own hand at
    applying the Board’s decisions to a relatively novel scenario
    that poses difficult line-drawing questions—fact-sensitive
    issues that Congress plainly intended for the Board to ad-
    dress after an investigation. And in the course of inappro-
    priately weighing in on the merits of those questions at this
    stage, the majority also misapplies the Board’s cases in a
    manner that threatens to both impede the Board’s uniform
    development of labor law and erode the right to strike.
    In my view, today’s misguided foray underscores the wis-
    dom of Congress’s decision to create an agency that is
    uniquely positioned to evaluate the facts and apply the law
    in cases such as this one. This case is Exhibit A as to why
    the Board—and not the courts—should ordinarily take the
    first crack at resolving contentious, fact-bound labor dis-
    putes of this nature. Because the majority’s ruling suggests
    otherwise, I respectfully dissent.
    I
    The majority’s brief opinion quotes Garmon’s “arguably
    protected” test and endeavors to apply it. Ante, at 3–4, 6–
    11. But the opinion devotes relatively little space to the or-
    igins and purpose of that longstanding precedent. That
    omission is telling. A proper understanding of Garmon’s
    foundation sheds considerable light on the majority’s se-
    quential missteps in this case.
    Cite as: 
    598 U. S. ____
     (2023)              3
    JACKSON, J., dissenting
    A
    Congress’s passage of the NLRA “marked a fundamental
    change in the Nation’s labor policies.” Sears, Roebuck & Co.
    v. Carpenters, 
    436 U. S. 180
    , 190 (1978). Prior to that point,
    union activity had been viewed as “a species of ‘conspir-
    acy,’ ” prompting substantial conflict between labor and
    management. 
    Ibid.
     With the enactment of the NLRA in
    1935, “Congress expressly recognized that collective organ-
    ization of segments of the labor force into bargaining units
    capable of exercising economic power comparable to that
    possessed by employers may produce benefits for the entire
    economy in the form of higher wages, job security, and im-
    proved working conditions.” 
    Ibid.
    The heart of the NLRA is §7, which safeguards workers’
    rights “to self-organization, to form, join, or assist labor or-
    ganizations, to bargain collectively through representatives
    of their own choosing, and to engage in other concerted ac-
    tivities for the purpose of collective bargaining or other mu-
    tual aid or protection.” 
    29 U. S. C. §157
    . Among the “ ‘con-
    certed activities’ ” that the Act unquestionably protects is
    “the vital, economic instrumen[t] of the strike.” Garmon,
    
    359 U. S., at 241
    ; see §163.
    Section 8 of the NLRA provides a list of “unfair labor
    practice[s]” that employers and unions are prohibited from
    engaging in. §158. For example, it is an unfair labor prac-
    tice for an employer to “interfere with, restrain, or coerce
    employees in the exercise of ” their §7 rights, including the
    right to strike. §158(a)(1). And it is an unfair labor practice
    for a union to “refuse to bargain collectively with an em-
    ployer.” §158(b)(3). Taken together, §7 and §8 establish
    certain conduct that Congress has deemed protected (§7)
    and prohibited (§8).
    B
    Congress could have stopped there. But “Congress did
    not merely lay down a substantive rule of law to be enforced
    4         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    by any tribunal competent to apply law generally to the par-
    ties.” Garner v. Teamsters, 
    346 U. S. 485
    , 490 (1953). Ra-
    ther, Congress “went on to confide primary interpretation
    and application of its rules to a specific and specially con-
    stituted tribunal”: the National Labor Relations Board.
    Ibid.; see generally §§153–156.
    By statutory mandate, the Board is composed of five
    members who are appointed by the President with the ad-
    vice and consent of the Senate. §153(a). Congress also pro-
    vided for an independent General Counsel, who is likewise
    presidentially appointed and Senate confirmed. §153(d);
    see NLRB v. Food & Commercial Workers, 
    484 U. S. 112
    ,
    117–118 (1987). The General Counsel conducts investiga-
    tions into unfair labor practices and brings complaints be-
    fore the Board through a “particular procedure” that Con-
    gress has prescribed “for investigation, complaint and
    notice, and hearing and decision, including judicial relief
    pending a final administrative order” from the Board. Gar-
    ner, 346 U. S., at 490; see §§153, 160.
    The Board has fleshed out this process via rulemaking
    authority that Congress has delegated. §156. If a person
    believes that an employer or union has committed an unfair
    labor practice, the person may file a charge with a regional
    director, who acts on behalf of the General Counsel. 
    29 CFR §101.2
     (2022). The regional director investigates the
    charge. §101.4. If “the charge appears to have merit and
    efforts to dispose of it by informal adjustment are unsuc-
    cessful,” the regional director issues a complaint on behalf
    of the General Counsel. §101.8. When a General Counsel’s
    complaint issues, an administrative law judge (ALJ) holds
    a hearing and issues a decision, which the Board reviews if
    any party files an exception. §§101.8–101.12. If the Board
    finds that a party has engaged in an unfair labor practice,
    it must order the party to “cease and desist” and to take
    “such affirmative action . . . as will effectuate the policies”
    of the NLRA. 
    29 U. S. C. §160
    (c).
    Cite as: 
    598 U. S. ____
     (2023)              5
    JACKSON, J., dissenting
    C
    The history and structure of the NLRA make clear that
    Congress “entrusted administration of the labor policy for
    the Nation to a centralized administrative agency”—the
    Board—“armed with its own procedures, and equipped with
    its specialized knowledge and cumulative experience.” Gar-
    mon, 
    359 U. S., at 242
    . Congress thought the Board’s pri-
    mary role was “necessary to obtain uniform application of
    [the NLRA’s] substantive rules and to avoid th[e] diversi-
    ties and conflicts likely to result from a variety of local pro-
    cedures and attitudes toward labor controversies.” Garner,
    346 U. S., at 490. That judgment makes perfect sense. The
    NLRA’s substantive principles are intrinsically broad and
    potentially conflicting, leaving much for future articulation
    through case-by-case adjudication. Drawing the line be-
    tween activities that constitute a protected strike, on the
    one hand, and unprotected actions for which employers may
    validly discipline employees, on the other, is a legally and
    factually complex task. Moreover, that task implicates im-
    portant economic policy considerations about the relative
    bargaining power of labor and management that affect not
    only the parties to a particular labor dispute but also our
    broader national economy.
    To effect Congress’s intent, this Court has consistently
    recognized that “courts are not primary tribunals to adjudi-
    cate [these] issues.” Garmon, 
    359 U. S., at 244
    . Rather, “it
    is to the Board that Congress entrusted the task of applying
    the Act’s general . . . language in the light of the infinite
    combinations of events which might be charged as violative
    of its terms.” Beth Israel Hospital v. NLRB, 
    437 U. S. 483
    ,
    500–501 (1978) (internal quotation marks omitted). And
    the Board, “if it is to accomplish the task which Congress
    set for it, necessarily must have authority . . . to fill the in-
    terstices of the broad statutory provisions.” 
    Id., at 501
    . So,
    while the Board’s decision “is not the last word” on these
    6        GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    complex matters—given that its decisions are subject to re-
    view in federal court—“it must assuredly be the first.” Ma-
    rine Engineers v. Interlake S. S. Co., 
    370 U. S. 173
    , 185
    (1962) (emphasis added).
    For that reason, this Court has long held that courts pre-
    sented with claims arising out of a labor dispute must some-
    times pause their proceedings to permit the Board to con-
    sider the dispute in the first instance. As relevant here, we
    have held that if §7—including its protection of the right to
    strike—“arguably” protects the conduct at issue in a state-
    court suit, then the court must await the Board’s word as to
    whether the conduct is, in fact, protected. Garmon, 
    359 U. S., at 245
    .
    To determine whether conduct is “arguably protected,” a
    state court examines the showing of the party invoking Gar-
    mon and seeking to pause the litigation. The court asks
    whether that party has (1) “advance[d] an interpretation of
    the [NLRA] that is not plainly contrary to its language and
    that has not been ‘authoritatively rejected’ by the courts or
    the Board,” and (2) “put forth enough evidence to enable the
    court to find that the Board reasonably could uphold a claim
    based on such an interpretation.” Longshoremen v. Davis,
    
    476 U. S. 380
    , 395 (1986). If so, the state court must pause
    proceedings to allow the Board to consider the complex legal
    and factual contours of the question whether the union’s
    conduct is actually protected by the NLRA.
    The majority refers to this as “Garmon preemption,” in
    keeping with historical practice. Ante, at 3. But the term
    “preemption” is something of a misnomer. Rather than en-
    tirely and automatically precluding the state-court suit, the
    rule instead requires state courts to take a “jurisdictional
    hiatus” while the Board considers the dispute in the first
    instance. Sears, Roebuck & Co., 
    436 U. S., at 203
    . If the
    Board determines (subject to judicial review) that §7 pro-
    tects the union’s conduct, normal conflict preemption kicks
    in: A state court may not hold a union liable on state-law
    Cite as: 
    598 U. S. ____
     (2023)                        7
    JACKSON, J., dissenting
    claims for conduct that is protected by the NLRA. See
    Brown v. Hotel Employees, 
    468 U. S. 491
    , 503 (1984). But
    “if the Board decides that the conduct is not protected,” the
    state court may proceed to “entertain the litigation.” Davis,
    
    476 U. S., at 397
    .1
    With these general principles in mind, I now turn to the
    particulars of this case.
    II
    This suit arises out of a union-organized strike. Peti-
    tioner Glacier Northwest is a concrete-delivery company,
    and respondent International Brotherhood of Teamsters
    Local Union No. 174 (Union) represents Glacier’s concrete-
    delivery truckdrivers. After the drivers went on strike,
    Glacier sent disciplinary letters to some of the drivers. The
    Union filed an unfair labor practice charge with the Board,
    alleging that the disciplinary letters were unlawful retalia-
    tion against the drivers for engaging in strike conduct that
    is protected by the NLRA.
    Glacier then filed a complaint in Washington state court,
    alleging that the Union engaged in tortious conduct when
    it instructed the drivers to strike at a time when there was
    wet concrete in some of the company’s delivery trucks. In
    response, the Union filed another Board charge, maintain-
    ing that Glacier’s lawsuit constituted additional unlawful
    retaliation.
    ——————
    1 JUSTICE THOMAS seeks to undercut our Garmon precedent by describ-
    ing it as “od[d]” and “strang[e]” relative to “ ‘the usual preemption rule.’ ”
    Ante, at 1, 3 (opinion concurring in judgment). But, as discussed, the
    Garmon rule is not a standard preemption doctrine; it is different be-
    cause it is doing different work. Garmon protects Congress’s judgment
    that the Board, not state or federal courts, should be generally responsi-
    ble for the development of our Nation’s labor law. The required pause
    when Garmon’s “arguably protected” test is satisfied allows for efficient
    resolution of the dispute prior to the expenditure of state judicial re-
    sources, and the temporary nature of the pause makes it narrower, not
    broader, in effect than ordinary preemption.
    8         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    With respect to Glacier’s tort suit, the Washington courts
    engaged in the standard Garmon inquiry, ultimately result-
    ing in a determination by the Washington Supreme Court
    that the lawsuit could not proceed because the Union’s
    strike conduct was arguably protected by the NLRA. Glac-
    ier sought, and we granted, certiorari to review that deci-
    sion. Notably, however, after the Washington Supreme
    Court issued its decision, the regional director acting on be-
    half of the Board’s General Counsel filed an administrative
    complaint against Glacier. In my view, for the reasons ex-
    plained below, that subsequent event has greatly simplified
    the Garmon question.
    A
    The filing of the General Counsel’s administrative com-
    plaint necessarily suffices to establish that the Union’s
    strike conduct is “arguably protected” within the meaning
    of Garmon. Thus, the General Counsel’s complaint should
    have marked the end of any court involvement in this mat-
    ter at this time.
    The General Counsel’s complaint alleges that Glacier in-
    terfered with strike conduct protected by §7 when it disci-
    plined its drivers for walking off the job and when it filed
    this tort suit. That complaint represents the General Coun-
    sel’s conclusion—reached after an extensive independent
    investigation involving collecting testimony and other evi-
    dence, and after careful consideration of the competing le-
    gal principles and policy concerns—that the Union’s claim
    that its strike conduct was protected “appears to have
    merit.” 
    29 CFR §§101.4
    , 101.8. One “cannot credibly con-
    tend that a claim that makes it through this gauntlet does
    not concern conduct ‘arguably’ protected by the NLRA.” Da-
    vis Supermarkets, Inc. v. NLRB, 
    2 F. 3d 1162
    , 1179 (CADC
    1993); accord, Makro, Inc., 305 N. L. R. B. 663, 670 (1991).
    A court presented with a General Counsel complaint
    should therefore find Garmon inherently satisfied. This is
    Cite as: 
    598 U. S. ____
     (2023)                     9
    JACKSON, J., dissenting
    so because the entire point of Garmon’s arguably-protected
    test is to permit the court to assess the facts and relevant
    labor law in service of a gatekeeping function. The answer
    to the Garmon question simply (and solely) establishes
    whether the court can continue to entertain a lawsuit that
    relates to the challenged strike conduct, or whether the le-
    gal action must be suspended to allow the Board to make
    an initial assessment of the matter. The court evaluates
    the existing evidence and the law for a specific reason: to
    determine whether the lawsuit attacks arguably-protected
    conduct such that entertaining the legal action will inter-
    fere with the Board’s prerogative to develop the facts and
    adjudicate the merits of the dispute as part of the Board’s
    broader authority to develop national labor law.
    If the General Counsel investigates the matter and files
    a complaint with the Board alleging that the union’s con-
    duct is protected, it becomes indisputable that the pending
    legal action might interfere with the Board’s authority.
    Thus, a General Counsel complaint relieves the court of the
    burden of having to make the arguably-protected assess-
    ment based on its own understanding of the evidence and
    labor law—it is “arguable” that the union’s conduct is pro-
    tected because the General Counsel is arguing just that. To
    be sure, we have said that the arguably-protected test is
    “not without substance” and is “not satisfied by a conclusory
    assertion of pre-emption.” Davis, 
    476 U. S., at 394
    . But an
    allegation from the Board’s General Counsel after a thor-
    ough investigation is a far cry from a “conclusory assertion”
    of protection.2
    What is more, by virtue of the General Counsel’s com-
    plaint, the Board is, at this very moment, exercising its au-
    thority to adjudicate the merits of this dispute. On January
    ——————
    2 This is not to suggest that the General Counsel’s complaint is the end
    of the story, as the Board may ultimately disagree with the factual or
    legal basis of that pleading. But the complaint is surely sufficient to es-
    tablish arguable protection, such that a court should stay its hand.
    10         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    12, 2023, an ALJ denied Glacier’s motion to postpone the
    ALJ hearing on the General Counsel’s complaint pending
    this Court’s decision in this case. As the ALJ explained, the
    General Counsel’s pleading “constituted a determination
    that the strikers’ conduct was at least arguably protected
    by [the NLRA] and that this agency became the exclusive
    forum for adjudicating whether the strikers’ conduct was
    protected.”3 A nine-day hearing ensued, and the parties
    completed posthearing briefing last week. We have said
    that “the need for protecting the exclusivity of [the Board’s]
    jurisdiction is obviously greatest when the precise issue
    brought before a court is in the process of litigation through
    procedures originating in the Board.” Marine Engineers,
    
    370 U. S., at 185
    . That is exactly the situation here.
    For these reasons, I believe that the filing of the General
    Counsel’s complaint is more than sufficient to trigger Gar-
    mon’s pause, and that it must be so if consistency with Con-
    gress’s intent to give the Board primary authority to inter-
    pret and enforce the NLRA is to be maintained. In
    circumstances like these, “the States as well as the federal
    courts must defer to the exclusive competence of the Na-
    tional Labor Relations Board.” Garmon, 
    359 U. S., at 245
    .
    And this Court is no exception. Because the General Coun-
    sel has now filed a complaint with the Board concerning the
    labor dispute at issue in this case, all courts—including this
    one—should stand down.
    B
    The majority does not take issue with my conclusion that
    the General Counsel’s complaint triggers a Garmon hiatus;
    instead, it takes no position on the matter, leaving the ques-
    tion open for the Washington courts to decide on remand.
    Ante, at 11, n. 3.
    ——————
    3 Order Denying Motion for Postponement of Hearing in Glacier North-
    west, Inc., Nos. 19–CA–203068, 19–CA–211776, p. 7.
    Cite as: 
    598 U. S. ____
     (2023)             11
    JACKSON, J., dissenting
    The majority’s reason for declining to address this argu-
    ment is noteworthy. It explains that, because the General
    Counsel’s complaint was filed after the Washington Su-
    preme Court had affirmed the dismissal of Glacier’s com-
    plaint on Garmon grounds, “[t]he lower courts have not ad-
    dressed the significance, if any, of the Board’s complaint
    with respect to Garmon preemption.” Ante, at 11, n. 3. And
    since we are “ ‘a court of review, not of first view,’ ” 
    ibid.
    (quoting Cutter v. Wilkinson, 
    544 U. S. 709
    , 718, n. 7
    (2005)), the majority declines to “do so in the first instance.”
    Ante, at 11, n. 3.
    This rationale is inconsistent with the broader approach
    that the majority takes in this case. It would be one thing
    if the Court simply noted the filing of the General Counsel’s
    complaint and authorized the lower courts to evaluate the
    impact of that complaint on the Garmon question in the
    first instance. But it goes further: The majority also inserts
    itself into the midst of this labor dispute now (despite the
    General Counsel’s complaint), proceeding to apply the
    Board’s cases to novel and difficult line-drawing questions
    and ultimately concluding that the strike conduct alleged
    in Glacier’s complaint is not even arguably protected.
    The majority cannot have it both ways. A concern about
    the Court’s institutional role justifies, at most, vacating the
    judgment below and remanding for the lower court to con-
    sider the import of the General Counsel’s complaint. The
    same observation that compels the majority to allow for
    such lower-court consideration—that we are “ ‘a court of re-
    view, not of first view,’ ” ante, at 11, n. 3—should have like-
    wise led it to decline to intrude into this labor dispute while
    it is pending before the Board.
    III
    For the reasons discussed above, I would have vacated
    the Washington Supreme Court’s judgment and remanded
    12         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    with directions to stay proceedings or dismiss Glacier’s com-
    plaint without prejudice, on the straightforward ground
    that the General Counsel’s complaint triggers the jurisdic-
    tional hiatus that Garmon requires.4
    The majority sidesteps my preferred resolution of this
    matter and instead proceeds to engage in Garmon’s “argu-
    ably protected” test by applying a series of fact-intensive
    Board decisions to the bare allegations in Glacier’s state-
    court complaint. To do this, the majority invokes the
    Board’s “reasonable precautions” principle. Ante, at 6–8.
    That principle (discussed in Part IV, infra) is derived from
    the Board’s determination that striking workers must take
    reasonable precautions to protect persons, the employer’s
    premises, and its equipment from foreseeable, aggravated,
    and imminent harm due to the sudden cessation of work.
    The majority has taken it upon itself to apply the Board’s
    reasonable-precautions principle to the factual allegations
    about the Union’s conduct that Glacier alleges in this law-
    suit, and it thereby concludes that the drivers’ conduct is
    not even arguably protected by the NLRA.
    This course of action (which is already confounding given
    that the Board itself is currently considering the challenged
    strike conduct with the benefit of developed facts and labor
    law expertise) reflects an analytical approach to the issues
    presented that cannot be squared with Garmon.
    A
    Whether the NLRA protects particular strike conduct of-
    ten turns on subtle factual disputes and nuanced legal dis-
    tinctions. Here, for example, whether the Union’s strike
    conduct is protected or unprotected might well depend on
    ——————
    4 The Washington Supreme Court affirmed the dismissal of Glacier’s
    claims. Because only a pause of the state-court litigation is necessary
    under Garmon, the proper disposition is either a stay of proceedings or
    dismissal without prejudice.
    Cite as: 
    598 U. S. ____
     (2023)           13
    JACKSON, J., dissenting
    whether the drivers left the concrete-delivery trucks’ re-
    volving drums turning when they walked off the job. So,
    too, might it depend on fine legal gradations concerning
    how imminent or how aggravated the risk of harm must be
    to trigger the duty to take reasonable precautions. These
    kinds of determinations cry out for evidentiary hearings,
    and in this highly fact-sensitive area of the law, which gen-
    erally develops on a case-by-case basis, the scope of NLRA
    protection in a given set of circumstances is typically deter-
    mined once the facts have been established—through dis-
    covery, debate, and sometimes the tedious work of making
    contentious credibility determinations.
    Fortunately, in this regard, Congress has gifted our legal
    system with an expert agency that thoroughly investigates
    what happened—i.e., the facts of strike-related labor dis-
    putes—and then engages in the initial task of answering
    the sometimes complex, always fact-bound question
    whether the NLRA protects the strike conduct at issue.
    Meanwhile, a court that is undertaking Garmon’s arguably-
    protected analysis is engaged in a fundamentally different
    inquiry. As explained in Part II–A, supra, while the court
    is most certainly considering strike conduct arising from a
    labor dispute, it is not meant to address the merits of these
    complex questions. Under the NLRA and Garmon, courts
    must take as a given that the Board is the entity to which
    Congress has assigned responsibility for initially determin-
    ing what happened and taking the first crack at deciding
    whether the NLRA protects the union’s conduct. And far
    from usurping that Board function, Garmon tasks the court
    with merely conducting a threshold, gatekeeping assess-
    ment of whether the lawsuit before it must be paused, or
    whether the suit can proceed because it is not even arguable
    that the conduct at issue in the lawsuit is protected by the
    NLRA.
    To avoid veering into the Board’s assigned territory, it is
    crucial that the courts have a clear understanding of the
    14        GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    nature of the Garmon assessment and what it requires.
    The court asks, first of all, whether the party invoking Gar-
    mon has “advance[d] an interpretation of the [NLRA] that
    is not plainly contrary to its language and that has not been
    ‘authoritatively rejected’ by the courts or the Board.” Davis,
    
    476 U. S., at 395
    . This inquiry involves merely comparing
    the union’s claim about the scope of its protection to the
    broad protective language of the statute and deciding
    whether the union’s interpretation has already been defin-
    itively rejected either by courts or by the Board.
    The second task is to determine whether the party invok-
    ing Garmon has “put forth enough evidence to enable the
    court to find that the Board reasonably could uphold a claim
    based on such an interpretation.” Davis, 
    476 U. S., at 395
    .
    Again, this is not an invitation to supplant the Board’s fact-
    finding role or to usurp the authority that Congress has
    given the Board to make the initial underlying protected-
    or-unprotected determination. Rather, the point of this
    part of the Garmon assessment is simply to determine
    whether it is arguable that the Board—in the exercise of its
    discretion to develop labor law and aided by its investiga-
    tion into the facts—could conclude that the strike conduct
    at issue is protected by the NLRA. See 
    359 U. S., at 245
    .
    Thus, consistent with a statutory scheme that gives pri-
    macy to the agency’s expertise, a court’s task under Garmon
    is unmistakably modest. It must merely assess whether, in
    light of existing law and the evidence that has been
    amassed related to this strike, it is possible that the union
    could prevail before the Board. Put another way, instead of
    stepping into the Board’s shoes as primary factfinder, or
    even prognosticating about what the Board is likely to de-
    cide concerning the extent of NLRA coverage, a court that
    stands down upon a proper Garmon analysis has simply de-
    termined (1) that existing law does not plainly and author-
    itatively prohibit the strike conduct at issue, and (2) that
    evidence exists concerning how the strike was conducted
    Cite as: 
    598 U. S. ____
     (2023)            15
    JACKSON, J., dissenting
    that might ultimately favor the union, such that the lawsuit
    should pause to allow the Board to gather the facts and ap-
    ply its expertise to determine whether the strike was law-
    ful.
    B
    The majority seems to misunderstand all this in the con-
    text of this case. It correctly concludes that the Union has
    carried its burden of “advancing an interpretation of the
    [NLRA] that is not plainly contrary to its language and that
    has not been authoritatively rejected by the courts or the
    Board.” Ante, at 6 (internal quotation marks omitted). But
    it finds that the Union has failed to satisfy the second Gar-
    mon step, and it does so after undertaking its own assess-
    ment of the facts alleged in Glacier’s complaint and endeav-
    oring to apply the Board’s fact-bound reasonable-
    precautions precedents. See, e.g., ante, at 7 (determining,
    based on alleged facts, that “[t]he drivers engaged in a sud-
    den cessation of work that put Glacier’s property in foresee-
    able and imminent danger” and that the risk of harm to the
    concrete-delivery trucks was “both foreseeable and seri-
    ous”); 
    ibid.
     (concluding that “[t]he Union failed to ‘take rea-
    sonable precautions,’ ” after hypothesizing various steps
    that, according to the majority, the Union should have
    taken but did not).
    Given what I have already said about Garmon’s purpose
    and what it calls for, the majority’s error in proceeding in
    this fashion is obvious. To my mind, if a court that is eval-
    uating what to do per Garmon finds itself weighing in on
    such fact-bound matters as whether the strike posed a risk
    of harm that was aggravated enough or imminent enough
    to remove NLRA protection, or starts contemplating
    whether the precautions that the striking employees took
    to address any such risk were reasonable enough to allow
    them to retain the right to strike, it has unwittingly wan-
    dered into a domain that Congress intentionally assigned
    16         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    to the Board to address in the first instance.5
    It is clear to me that Congress plainly intended for the
    Board’s factfinding function to be at the forefront of this
    kind of legal evaluation. Thus, in my view, when a court
    undertakes the Garmon analysis in a context such as this
    one, it should take care to limit itself to its own assigned
    responsibility: the mere determination of whether, given
    the union’s evidence and legal interpretation, the Board
    could possibly conclude that the union had taken reasona-
    ble precautions. If yes, the court should suspend the pend-
    ing legal action to let the Board decide the question. To
    conclude no, given the fact-bound nature of the reasonable-
    precautions analysis, a court in all but the most exceptional
    circumstances will need to be able to point to a reasonable-
    precautions case from the Board that is on all fours with the
    facts of the case before it and that found the conduct unpro-
    tected. In that circumstance, the court can proceed with the
    suit, without breaking new legal ground on the scope of the
    right to strike.
    In all events, then, courts can properly decide the Gar-
    mon issue without making law in this area, precisely as
    Congress intended. Indeed, I think we best respect congres-
    sional intent regarding the Board’s authority to develop
    uniform labor law by leaving the application of the Board’s
    reasonable-precautions principle to the Board itself. The
    majority’s contrary approach opens up the possibility that
    courts around the country will now act on bare allegations
    ——————
    5 Justice Blackmun warned that a formulation of the Garmon test that
    directs attention to a party’s evidence might lead some courts to make
    such an errant assessment, “under the guise of weighing the sufficiency
    of the evidence.” Longshoremen v. Davis, 
    476 U. S. 380
    , 404 (1986) (opin-
    ion concurring in part and dissenting in part) (expressing the concern
    that a future court might misunderstand its role and mistakenly under-
    take “[to] mak[e] precisely the determination that Garmon makes clear
    is for the Board, and only the Board, to make”). That warning was pres-
    cient.
    Cite as: 
    598 U. S. ____
     (2023)           17
    JACKSON, J., dissenting
    to generate conflicting results about the contours of the ven-
    erated right to strike, which, ironically, was the primary
    concern that motivated Congress to create the Board in the
    first place.
    IV
    For what it’s worth, even if the majority’s approach to de-
    ciding the Garmon question were the correct one, the ma-
    jority misapplies the reasonable-precautions principle to
    the allegations here in a manner that threatens to impinge
    on the right to strike and on the orderly development of la-
    bor law.
    A
    1
    A strike, by definition, is a “concerted stoppage of work
    by employees,” or “any concerted slowdown or other con-
    certed interruption of operations by employees.” §142(2).
    When employees stop working, production may halt, deliv-
    eries may be delayed, and services may be canceled. At the
    risk of stating the obvious, this means that the workers’
    right to strike inherently includes the right to impose eco-
    nomic harm on their employer.
    Congress was well aware that organized labor’s exercise
    of the right to strike risks harm to an employer’s economic
    interests. See §151; NLRB v. Erie Resistor Corp., 
    373 U. S. 221
    , 234 (1963) (Congress’s protection of the right to strike
    reflects its understanding that strikes are authorized “eco-
    nomic weapon[s]”). Yet, Congress protected that right any-
    way. In fact, the threat of economic harm posed by the right
    to strike is a feature, not a bug, of the NLRA. The potential
    pain of a work stoppage is a powerful tool, and one that un-
    questionably advances Congress’s codified goal of achieving
    “equality of bargaining power between employers and em-
    ployees.” §151. Unions leverage a strike’s economic harm
    (or the threat of it) into bargaining power, and then wield
    18         GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    that power to demand improvement of employees’ wages
    and working conditions—goals that, according to Congress,
    benefit the economy writ large. See Sears, Roebuck & Co.,
    
    436 U. S., at 190
    .
    Still, the right to strike is, of course, not unlimited. But
    when “Congress chose to qualify the use of the strike, it did
    so by prescribing the limits and conditions of the abridg-
    ment in exacting detail.” Erie Resistor, 
    373 U. S., at 234
    .
    Section 8 enumerates several limitations. For example, a
    union must notify an employer that it intends to terminate
    or modify its contract—and thus that a strike is possible—
    at least 60 days before striking. §158(d). A union cannot
    strike for unlawful purposes, such as putting economic
    pressure on parties other than the primary employer.
    §158(b)(4)(i)(B). And, in certain healthcare settings, unions
    must provide at least 10 days’ notice of the precise date and
    time of a strike. §158(g).
    Additionally, §163 of the NLRA (which Congress added
    via the 1947 Taft-Hartley Amendments, 
    61 Stat. 151
    ) states
    that “nothing in this subchapter, except as specifically pro-
    vided for herein, shall be construed so as either to interfere
    with or impede or diminish in any way the right to strike,
    or to affect the limitations or qualifications on that right.”
    Thus, the text of the NLRA allows for only two kinds of
    limitations on the right to strike: those enumerated in the
    Act itself, and the “limitations or qualifications” on the
    right that existed when the Taft-Hartley Amendments were
    enacted. See NLRB v. Drivers, 
    362 U. S. 274
    , 281–282
    (1960). The only relevant limitation here is the one set out
    in NLRB v. Fansteel Metallurgical Corp., 
    306 U. S. 240
    (1939).6
    ——————
    6 The Senate Report accompanying the Taft-Hartley Amendments ex-
    plained the four kinds of pre-existing “limitations or qualifications” on
    the right to strike that Congress had in mind in §163, which were drawn
    from decisions of the Board and this Court. See S. Rep. No. 105, 80th
    Cong., 1st Sess., 28 (1947); Drivers, 
    362 U. S., at
    281–282. The three
    Cite as: 
    598 U. S. ____
     (2023)                    19
    JACKSON, J., dissenting
    Our Fansteel decision stands for the principle that “em-
    ployees ha[ve] the right to strike but they ha[ve] no license
    to commit acts of violence or to seize their employer’s plant.”
    
    Id., at 253
    . The facts of that case involved 95 striking em-
    ployees who effected a “sit-down strike by taking over and
    holding two of [their employer’s] key buildings.” 
    Id., at 248
    (internal quotation marks omitted). The employees subse-
    quently engaged in “a pitched battle” in which they “re-
    sisted the attempt by the sheriff to evict and arrest them.”
    
    Id., at 249
    . We held that the NLRA did not condone this
    conduct, which would “put a premium on resort to force”
    and would “subvert the principles of law and order which
    lie at the foundations of society.” 
    Id., at 253
    .
    Congress’s incorporation of Fansteel’s limitation into the
    NLRA establishes that, while employees have the right to
    withhold their labor peaceably, subsequent affirmative acts
    of violence, or seizure of an employer’s premises, are not
    protected labor practices.
    2
    As a general matter, the dispute in this case is over
    whether employees can withhold their labor if doing so
    risks damage to their employer’s property. As explained
    above, by carefully restricting limitations on the right to
    strike in the NLRA itself, Congress has indicated that the
    act of peacefully walking off the job is protected strike con-
    duct even if economic harm incidentally results. What is
    not protected is any subsequent affirmative step to destroy
    or seize the employer’s property. This is the statutory back-
    drop against which the Board has developed the narrow re-
    quirement that striking employees must take reasonable
    precautions before or when they strike in order to forestall
    or address foreseeable, imminent, and aggravated injury to
    ——————
    other exceptions concern strikes for illegal objectives, strikes in breach
    of contract, and strikes in breach of other federal law. See S. Rep. No.
    105, at 28.
    20       GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    persons, premises, and equipment that might otherwise be
    caused by their sudden cessation of work.
    The Board first applied this “reasonable precautions”
    principle to rank-and-file employees in Marshall Car Wheel
    & Foundry Co., Inc., 107 N. L. R. B. 314, 315 (1953), enf.
    denied on other grounds, 
    218 F. 2d 409
     (CA5 1955). There,
    employees at a foundry walked off the job at a time when
    the foundry’s furnace was full of hot molten iron, threaten-
    ing severe damage to the employer’s plant and equipment.
    107 N. L. R. B., at 315. The Board concluded that the em-
    ployees’ strike conduct was not protected by the NLRA, be-
    cause the employees had a “duty to take reasonable precau-
    tions to protect the employer’s physical plant from such
    imminent damage as for[e]seeably would result from their
    sudden cessation of work.” 
    Ibid.
    The Board has also applied this principle in other similar
    cases. It determined, for example, that strikers who walked
    out of a certain kind of chemical plant—a plant that han-
    dled “extremely hazardous” chemicals that were “a hazard
    not only to employees but also to individuals living in the
    vicinity”—without shutting down the equipment had en-
    gaged in unprotected conduct. General Chemical Corp., 290
    N. L. R. B. 76, 77, 83 (1988). Similarly, the Board held that
    the strike conduct of security guards whose walkout ex-
    posed a federal building’s occupants to “imminent” danger
    was not protected by the NLRA. International Protective
    Servs., Inc., 339 N. L. R. B. 701, 703 (2003).
    But the narrow duty that Marshall Car Wheel and its
    progeny impose does not—and cannot—displace the gen-
    eral rule that labor strikes are protected even when the
    workers’ withdrawal of their labor inflicts economic harm
    on the employer. So the Board has also repeatedly held that
    employees have no duty to prevent the loss of perishable
    goods caused by their sudden cessation of work.
    In a leading case, employees at a raw poultry plant de-
    Cite as: 
    598 U. S. ____
     (2023)           21
    JACKSON, J., dissenting
    cided to walk out at 8 a.m. “because by that time all employ-
    ees would have reported to work and [the employer] would
    be in full operation with its largest number of chickens on
    the line.” Lumbee Farms Co-op., 285 N. L. R. B. 497, 503
    (1987). The Board affirmed the ALJ’s reasoning that “[t]he
    fact that the strike occurred during the workday when
    chickens were on the line and vulnerable to loss does not
    mean employees automatically lost protection under the
    Act,” because “[s]trikers are not required under the Act to
    institute the strike at a specific time of day.” 
    Id., at 506
    .
    Indeed, it is “[n]orma[l]” for “planned employee strikes [to
    be] timed to ensure the greatest impact on an employer.”
    
    Ibid.
    The Board has applied this same reasoning in cases in-
    volving, for example, cheese and milk. See Leprino Cheese
    Co., 170 N. L. R. B. 601, 605 (1968); Central Okla. Milk Pro-
    ducers Assn., 125 N. L. R. B. 419, 435 (1959). In those
    cases, the Board also explained that the reasonable-precau-
    tions principle is “limited to situations involving a danger
    of ‘aggravated’ injury to persons or premises”—a danger
    “[o]bviously” not posed by the loss of, for example, cheese.
    Leprino Cheese, 170 N. L. R. B., at 607 (emphasis added).
    The Board has consistently reiterated that “[l]oss is not un-
    common when a strike occurs.” Central Okla. Milk Produc-
    ers, 125 N. L. R. B., at 435.
    In short, it is indisputable that workers have a statutory
    right to strike despite the fact that exercising that right
    risks economic harm to employers. Congress has, in effect,
    drawn a line between those economic harms that are inher-
    ent in the act of peacefully walking off the job (which do not
    render the strike unprotected), and those that result from
    workers taking subsequent affirmative steps to seize the
    employer’s premises or engage in acts of violence (strike
    conduct that is not protected by the NLRA). The Board has
    further recognized a narrow duty that arises if a sudden
    22        GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    cessation of work risks foreseeable, imminent, and aggra-
    vated harm to persons, premises, or equipment. Beyond
    this narrow reasonable-precautions requirement, however,
    employees have no obligation to protect their employer’s
    economic interests when they exercise the right to withhold
    their labor.
    B
    Glacier does not allege that the cement truckdrivers com-
    mitted acts of violence or seized its plant or property as part
    of the strike the Union orchestrated. Instead, the thrust of
    its complaint is that the Union was aware of “the perishable
    nature of batched concrete,” App. 9, and that the drivers’
    walkout was intentionally timed so as to risk harm to that
    product. See 
    id., at 10
     (alleging “sabotage, ruination and
    destruction of Glacier’s batched concrete”).
    I agree with the majority that the risk of losing the
    batched concrete alone would not be sufficient to divest the
    striking drivers of statutory protection.          As Glacier
    acknowledges, wet concrete is a perishable good. 
    Ibid.
     And
    the Board has repeatedly reaffirmed that the loss of such
    perishable goods due to a mere work stoppage does not ren-
    der a strike unprotected.
    There is also no duty to take reasonable precautions to
    prevent this kind of economic loss, which—standing
    alone—posed no risk to persons, premises, or equipment, let
    alone a risk of aggravated harm. While it seems that the
    drivers were in a position to save the batched concrete that
    was inside their trucks when the strike was called (by, for
    instance, continuing to deliver it to the intended custom-
    ers), that is beside the point. Employees have a protected
    right to withhold their labor. And it would undercut that
    right if they could be held liable for the incidental loss of the
    perishable goods (which includes concrete no less than raw
    poultry, cheese, or milk) that they tend to as part of their
    Cite as: 
    598 U. S. ____
     (2023)                     23
    JACKSON, J., dissenting
    job.7
    Where I disagree with the majority is the conclusion it
    draws from the fact that the batched concrete also risked
    harm to the drivers’ trucks, at least as alleged in Glacier’s
    complaint. The majority repeatedly ties the loss of the con-
    crete—in particular, the risk that it would harden in the
    trucks—to the alleged risk of harm to the delivery trucks
    themselves.8 But, to me, the alleged risk of harm to Glac-
    ier’s trucks involves a relatively complex factual analysis
    under the Board’s reasonable-precautions principle.
    Glacier alleges that, “[o]nce at rest, concrete begins hard-
    ening immediately, and depending on the mix can begin to
    set within 20 to 30 minutes.” 
    Id., at 8
    . Its complaint also
    asserts that “[i]f batched concrete remains in the revolving
    drum of the ready-mix truck beyond its useful life span, the
    batched concrete is certain or substantially certain to
    ——————
    7 JUSTICE ALITO, relying on the rule from NLRB v. Fansteel Metallur-
    gical Corp., 
    306 U. S. 240
     (1939), gleans more from the loss of concrete
    than either the majority or I do. He concludes that the NLRA’s right to
    strike does not protect the drivers’ alleged conduct because Glacier has
    alleged that the drivers purposefully caused the batched concrete to be
    destroyed. In my view, that approach fails to appreciate the distinction
    Fansteel drew between purposefully but peacefully stopping work (and
    the economic consequences that flow from that decision), which is pro-
    tected, and taking subsequent, affirmative steps of violence or property
    seizure, which is unprotected. To be sure, Fansteel would have rendered
    the drivers’ actions here patently unprotected if they had taken the af-
    firmative steps of stealing the trucks, slashing the trucks’ tires, or dump-
    ing out the concrete after they went on strike. But nothing like that is
    alleged in Glacier’s complaint.
    8 See, e.g., ante, at 8 (“[T]he Union executed the strike in a manner
    designed to compromise the safety of Glacier’s trucks and destroy its con-
    crete”); ante, at 10 (“[The drivers] not only destroyed the concrete but
    also put Glacier’s trucks in harm’s way. This case therefore involves
    much more than ‘a work stoppage at a time when the loss of perishable
    products is foreseeable’ ”); ante, at 12 (“The Union’s actions not only re-
    sulted in the destruction of all the concrete Glacier had prepared that
    day; they also posed a risk of foreseeable, aggravated, and imminent
    harm to Glacier’s trucks”).
    24        GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    harden in the revolving drum and cause significant damage
    to the concrete ready-mix truck.” Id., at 9. But Glacier’s
    own submissions in Washington state court suggest that
    the Union instructed the drivers to return their trucks to
    Glacier’s yard after the strike began and to keep the ready-
    mix trucks running. See id., at 34, 77. Glacier’s submis-
    sions also suggest that those precautions actually provided
    the company’s managers and nonstriking employees with
    sufficient time to decide how to address the situation to pre-
    vent any harm to the trucks. See id., at 13, 72, 77, 82–83.
    Was any risk of harm to the trucks here “imminent,”
    given the allegation that the Union instructed the drivers
    to keep the trucks running? Is the risk of concrete harden-
    ing in a delivery truck “aggravated,” in the way Marshall
    Car Wheel contemplates? Was returning the trucks to the
    employer’s premises and leaving them running a sufficient
    “reasonable” precaution, because it gave the employer suf-
    ficient time to address any risk of harm? Making the call
    about whether the NLRA protects the Union’s conduct
    raises these questions and others. Importantly, these kinds
    of questions not only involve making nuanced factual dis-
    tinctions but also demonstrate that applying the Board’s
    reasonable-precautions precedents is, at bottom, a line-
    drawing exercise. Under circumstances like these, a court
    can confidently declare that a union’s conduct is not even
    arguably protected for Garmon purposes only where the al-
    legations make out a clear Fansteel claim or where the al-
    leged facts implicate a reasonable-precautions case that is
    directly on point. Because neither is true here, the Court
    should have concluded that the Union’s conduct was at
    least arguably protected.
    Even if the Court’s task under Garmon were to apply the
    Board’s reasonable-precautions principle to the allegations
    of Glacier’s complaint and decide whether or not the Union
    engaged in unprotected conduct (to reiterate: that is not the
    assignment, see Part III–A, supra), I cannot agree with the
    Cite as: 
    598 U. S. ____
     (2023)                    25
    JACKSON, J., dissenting
    majority’s conclusion that the risk to the trucks rendered
    the drivers’ strike unprotected by the NLRA. Instead, I
    would have credited Glacier’s own account, and thus would
    have concluded that the Union took reasonable precautions
    when it instructed the drivers to return the trucks and
    leave them running to avoid the concrete hardening immi-
    nently in the drums. The majority reaches the opposite con-
    clusion by giving far too little weight to the allegation that
    the drivers returned the trucks, and also by substantially
    discounting the allegations that support the Union’s claim
    that the drivers left their trucks and revolving drums run-
    ning. See ante, at 11.
    Fortunately, the pending Board determination of what
    actually happened in connection with this particular strike
    will establish—as a matter of fact and not mere allega-
    tion—what precautions (if any) the drivers actually took
    and what harm (if any) the Union’s conduct actually posed
    to Glacier’s trucks.9 But our different takes on these alle-
    gations only underscore the potential for variable outcomes
    when courts apply the Board’s fact-dependent principles to
    bare assertions.
    To the extent that the majority’s conclusion rests on the
    alleged fact that “by reporting for duty and pretending as if
    they would deliver the concrete, the drivers prompted the
    creation of the perishable product” that “put Glacier’s
    trucks in harm’s way,” ante, at 10, I see nothing aggravated
    or even untoward about that conduct. Glacier is a concrete-
    delivery company whose drivers are responsible for deliver-
    ing wet concrete, so it is unremarkable that the drivers
    struck at a time when there was concrete in the trucks.
    While selling perishable products may be risky business,
    the perishable nature of Glacier’s concrete did not impose
    ——————
    9 For the same reason, the state court would not be bound by the ma-
    jority’s recitation of the facts at this motion-to-dismiss stage in any fu-
    ture proceedings on this matter in state court.
    26          GLACIER NORTHWEST, INC. v. TEAMSTERS
    JACKSON, J., dissenting
    some obligation on the drivers to strike in the middle of the
    night or before the next day’s jobs had started. To the con-
    trary, it was entirely lawful for the drivers to start their
    workday per usual, and for the Union to time the strike to
    put “maximum pressure on the employer at minimum eco-
    nomic cost to the union.” NLRB v. Insurance Agents, 
    361 U. S. 477
    , 496 (1960); see also Lumbee Farms Co-op., 285
    N. L. R. B., at 506.
    Nor was the onus of protecting Glacier’s economic inter-
    ests if a strike was called in the middle of the day on the
    drivers—it was, instead, on Glacier, which could have taken
    any number of prophylactic, mitigating measures.10 What
    Glacier seeks to do here is to shift the duty of protecting an
    employer’s property from damage or loss incident to a strike
    onto the striking workers, beyond what the Board has al-
    ready permitted via the reasonable-precautions principle.
    In my view, doing that places a significant burden on the
    employees’ exercise of their statutory right to strike, unjus-
    tifiably undermining Congress’s intent. Workers are not
    indentured servants, bound to continue laboring until any
    planned work stoppage would be as painless as possible for
    their master. They are employees whose collective and
    peaceful decision to withhold their labor is protected by the
    NLRA even if economic injury results.
    *    *    *
    Today, the majority fails, in multiple respects, to heed
    Congress’s intent with respect to the Board’s primary role
    in adjudicating labor disputes, despite ostensibly applying
    ——————
    10 For example, Glacier could have instituted a lockout, see American
    Ship Building Co. v. NLRB, 
    380 U. S. 300
    , 310 (1965), used nonstriking
    employees to deliver the batched concrete, or had temporary replacement
    drivers lined up and ready to go. Glacier was on notice that a strike was
    possible because the Union was statutorily required to give 60-days ad-
    vance notice of the proposed termination or modification of the collective-
    bargaining agreement, §158(d), and because negotiations had broken
    down.
    Cite as: 
    598 U. S. ____
     (2023)          27
    JACKSON, J., dissenting
    Garmon, the bedrock case on that issue. The Court’s ruling
    is likely to cause considerable confusion among the lower
    courts about what Garmon requires. And any such confu-
    sion not only threatens to encroach upon the Board’s pre-
    rogatives, as Congress has assigned them, but also risks
    erosion of the right to strike.
    Yet, the posture of this case provides an opportunity to
    mitigate the results of the majority’s errors. On remand,
    the state court should dismiss Glacier’s complaint without
    prejudice or stay its proceedings in view of the General
    Counsel’s complaint. Meanwhile, the Board—which is not
    bound by the allegations in Glacier’s complaint when mak-
    ing its assessment, and is well equipped to make findings
    of fact concerning the strike conduct at issue—should pro-
    ceed to determine whether Glacier has interfered with
    strike conduct that is protected by the NLRA, as alleged by
    the General Counsel.