Task: sc_caseorigin

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Justice O’Connor
delivered the opinion of the Court.
Section 33 of the Longshore and Harbor Workers’ Compensation Act (LHWCA or Act), 44 Stat. 1424, as amended, 33 U. S. C. § 933, gives the “person entitled to compensation” two avenues of recovery: Such a person may seek to recover damages from the third parties ultimately at fault for any injuries and still recover compensation under the Act from the covered worker’s employer as long as the worker’s employer gives its approval before the person settles with any of the third party tortfeasors. The question we decide today is whether an injured worker’s spouse, who may be eligible to receive death benefits under the Act after the worker dies, is a “person entitled to compensation” when the spouse enters into a settlement agreement with a third party before the worker’s death. We also consider whether the Director of the Office of Workers’ Compensation Programs (OWCP) is a proper respondent in proceedings before the courts of appeals.
I
Jefferson Yates worked for Ingalls as a shipfitter at its Pascagoula shipyards in Mississippi between 1953 and 1967 and was exposed to asbestos in his workplace during this time. In March 1981, Mr. Yates was diagnosed as suffering from asbestosis, chronic bronchitis, and possible malignancy in his lungs. Less than a month later, he filed a claim for disability benefits under § 8 of the LHWCA, 33 U. S. C. § 908, asserting that his present condition resulted from his exposure to asbestos while employed by Ingalls. Ingalls admitted the compensability of this claim and eventually entered into a formal settlement with Mr. Yates in satisfaction of its liability under the Act. Dis-
Mr. Yates, in the trict Court against the 23 manufacturers and suppliers of asbestos whose products were allegedly present at the Pas-cagoula shipyards during the period in which Mr. Yates contracted asbestosis. Before his death in 1986, Mr. Yates entered into settlement agreements with 8 of the 23 defendants (predeath settlements). Each defendant required Maggie Yates, Mr. Yates’ wife, to join in the settlement and to release her present right to sue for loss of consortium, even though she was not a party to the litigation. Six of the eight defendants also required Mrs. Yates to release any cause of action for wrongful death that might accrue to her after her husband died. None of the third party settlements was approved by Ingalls.
After her husband’s lated resulted from asbestos exposure that occurred “in the course and scope of [his] employment,” App. to Pet. for Cert. A-59, Mrs. Yates filed a claim for death benefits as Mr. Yates’ widow under § 9 of the Act, 33 U. S. C. § 909. Ingalls contested the claim on the ground that Mrs. Yates had been a “person entitled to compensation” under the Act when she entered into the predeath settlements. Ingalls argued that by failing to obtain its approval of those settlements she forfeited, under § 33(g)(1), her eligibility for death benefits. In response, Mrs. Yates argued that she was not a “person entitled to compensation” when she entered into those settlement agreements because her husband was still alive at that time. The deputy commissioner referred the matter to an Administrative Law Judge (ALJ).
The ALJ ruled in favor of Mrs. Yates. Yates v. Ingalls Shipbuilding, Inc., 26 BRBS 174 (1992). The ALJ recognized that Mrs. Yates was no more than a “potential widow” when she entered into the settlement agreements. App. to Pet. for Cert. A-67. Reasoning that the prerequisites for the recovery of death benefits could not be established prior to the worker’s death, he found that the “spouse of an injured employee has no cause of action [under the Act] until the injured employee dies from his work-related injury.” Id., at A-68. Because Mrs. Yates had no cause of action for death benefits prior to her husband’s death, the ALJ concluded that she was not a “person entitled to compensation” obligated to seek the employer’s approval of any settlements signed at that time.
Ingalls appealed to the Benefits Review Board. Yates v. Ingalls Shipbuilding, Inc., 28 BRBS 137 (1994). The Director, OWCP, appeared as a respondent in support of Mrs. Yates. The Board affirmed, largely in reliance upon our decision in Estate of Cowart v. Nicklos Drilling Co., 505 U. S. 469 (1992), in which we held that an injured worker was a “person entitled to compensation” for the purpose of disability benefits under § 8 of the Act at “the moment his right to recovery vested,” id., at 477, which in that case was when the worker suffered his permanent injury. The Board reasoned that Cowart’s “vesting” rationale applied to death as well as disability benefits, and observed that Mrs. Yates’ “right to death benefits under the Act could not have vested before she became a widow.” App. to Pet. for Cert. A-35 (emphasis in original). Although it might appear at the time of settlement that Mrs. Yates would likely become a “person entitled to compensation” under the Act, before her husband’s death any one of several events might occur that would prevent her from recovering any death benefits under the Act — she might predecease her husband, she might divorce her husband, or her husband might die from causes independent of his work-related injury. For these reasons, the Board held that Mrs. Yates was not a “person entitled to compensation” at the time she entered into the predeath settlements, but acknowledged that its ruling was at odds with the decision of the Court of Appeals for the Ninth Circuit in Cretan v. Bethlehem Steel Corp., 1 F. 3d 843 (1993), cert, denied, 512 U. S. 1219 (1994).
cert, Ingalls again appealed, this time to the Court of Appeals for the Fifth Circuit. 65 F. 3d 460 (1995). Although Ingalls renewed its § 33(g) argument, the Court of Appeals rejected it for the reasons advanced by the Board. Ingalls also moved to strike the brief of the Director and to disallow the Director’s further participation in the appeal on the ground that the Director lacked standing. The Court of Appeals dismissed this argument in a footnote, citing its prior decision in Ingalls Shipbuilding Div., Litton Systems, Inc. v. White, 681 F. 2d 275, 280-284 (CA5 1982), overruled on other grounds, Newpark Shipbuilding & Repair, Inc. v. Roundtree, 723 F. 2d 399, 406-407 (CA5) (en banc), cert. denied, 469 U. S. 818 (1984), in which the court held that “the Director has standing to participate as a respondent in the appeal of a [Benefits Review Board] decision [before the Court of Appeals].” 65 F. 3d, at 463, n. 2. The court distinguished our decision in Director, Office of Workers’ Compensation Programs v. Newport News Shipbuilding & Dry Dock Co., 514 U. S. 122 (1995), as relevant- only to the question of the Director’s standing as a petitioner to the Court of Appeals, and not as a respondent. both
The Courts of Appeals are in disagreement over both questions addressed. The Courts of Appeals for the Fifth and Ninth Circuits are divided on the meaning of the phrase “person entitled to compensation.” Compare 65 F. 3d, at 464 (potential widow is not a “person entitled to compensation”), with Cretan, supra, at 847 (potential widow is a “person entitled to compensation”). The Courts of Appeals for the Fourth, Fifth, and Ninth Circuits, and for the District of Columbia, are split over whether the Director may participate in proceedings before the Courts of Appeals as a respondent. Compare Parker v. Director, OWCP, 75 F. 3d 929, 935 (CA4 1996) (Director may not appear), cert. denied, post, p. 812, with Shahady v. Atlas Tile & Marble Co., 673 F. 2d 479, 483-484 (CADC 1982) (Director is a proper respondent as a person “adversely affected or aggrieved” by the decision below); Goldsmith v. Director, OWCP, 838 F. 2d 1079, 1080 (CA9 1988) (same); White, supra, at 281-282 (Director may appear pursuant to Federal Rule of Appellate Procedure 15(a)).
We granted certiorari to resolve these splits, 517 U. S. 1186 (1996).
II
We begin our inquiry into the meaning of the phrase “person entitled to compensation” in § 33(g), as we must, with an examination of the language of the statute. Moskal v. United States, 498 U. S. 103, 108 (1990) (“In determining the scope of a statute, we look first to its language, giving the words used their ordinary meaning”) (citations and internal quotation marks omitted). Section 33(g)(1) states in pertinent part:
“If the person entitled to compensation... enters into a settlement with a third person... for an amount less than the compensation to which the person... would be entitled under this chapter, the employer shall be liable for compensation as determined under subsection (f) of this section only if written approval of the settlement is obtained from the employer and the employer’s carrier, before the settlement is executed, and by the person entitled to compensation....” 33 U. S. C. § 933(g)(1) (emphasis added).
The plain language of this subsection reveals two salient points. First, the use of the present tense (i. e., “enters”) indicates that the “person entitled to compensation” must be so entitled at the time of settlement. Second, the ordinary meaning of the word “entitle” indicates that the “person entitled to compensation” must at the very least be qualified to receive compensation. Black’s Law Dictionary 532 (6th ed. 1990) (defining "entitle” as “To qualify for; to furnish with proper grounds for seeking or claiming”). v.
We reached the same conclusion in Estate of Cowart v. Nicklos Drilling Co., 505 U. S. 469 (1992). There, Cowart, an injured worker, settled with a third party without obtaining the consent of his employer or his employer’s insurance carrier. Cowart thereafter filed a claim for disability benefits under the Act, which his employer contested. The employer argued that Cowart had been a “person entitled to compensation” under the Act at the time of his settlement, and that his failure to obtain his employer’s approval of the settlement barred any further recovery of benefits under the Act. In response, Cowart asserted that he had not been a “person entitled to compensation” when he entered into the settlement because that phrase referred only “to injured workers who are either already receiving compensation payments from their employer, or in whose favor an award of compensation has been entered.” Id., at 475.
The Court held that Cowart was barred by § 33(g) 5. receiving further compensation under the Act. We recognized that the relevant time for examining whether a person is “entitled to compensation” is the time of settlement. Ibid. (“The question is whether Cowart, at the time of... settlement, was a ‘person entitled to compensation’ under the terms of § 33(g)(1) of the LHWCA”). We then addressed the definition of the term “person entitled to compensation.” We said:
“Both in legal and general usage, the normal meaning of entitlement includes a right or benefit for which a person qualifies, and it does not depend upon whether the right has been acknowledged or adjudicated. It means only that the person satisfies the prerequisites attached to the right.” Id., at 477.
We concluded that Cowart had satisfied the prerequisites for obtaining the permanent disability benefits at issue in that case when he was injured, so that he was a “person entitled to compensation” and required to obtain his employer’s approval at the time he entered into the settlement agreement. Ibid.
With Cowart and the plain language of § 33(g) in mind, the relevant inquiry in this case is whether Mrs. Yates satisfied the prerequisites for obtaining death benefits under the Act at the time she signed the releases contained in the predeath settlements. Section 9 of the Act, 33 U. S. C. § 909(b), governs the distribution of death benefits, and provides that a “widow or widower” is entitled to such benefits “[i]f the [employee’s] injury causes death.” See also §902(11) (defining “death” as a basis for a right to compensation as “death resulting from an injury”); § 902(2) (defining “injury” as “accidental injury or death arising out of and in the course of employment”). The Act defines a “widow or widower” as “the decedent’s wife or husband living with or dependent for support upon him or her at the time of his or her death; or living apart for justifiable cause or by reason of his or her desertion at such time.” § 902(16).
Taken together, these statutes indicate that a surviving spouse qualifies for death benefits only if: (i) the survivor’s deceased worker-spouse dies from a work-related injury; (ii) the survivor is married to the worker-spouse at the time of the worker-spouse’s death; and (iii) the survivor is either living with the worker-spouse, dependent upon the worker-spouse, or living apart from the worker-spouse because of desertion or other justifiable cause at the time of the worker-spouse’s death. Cf. Thompson v. Lawson, 347 U. S. 334, 336 (1954) (looking to status of spouse at time of death to determine whether spouse is a “widow” or “widower” for purposes of LHWCA). It is impossible to ascertain whether these prerequisites have been met at any time prior to the death of the injured worker. Accord, Cortner v. Chevron Int’l Oil Co., 22 BRBS 218, 220 (1989) (“It is not until death occurs that the right to benefits arises and the potential beneficiaries are identified”); 51 Fed. Reg. 4270, 4276 (1986) (“Since a claim for survivor benefits does not arise until the employee’s death, there is no claim [against the employer] that can be settled [before then]”). We therefore reject the argument that a person seeking death benefits under the Act can satisfy the prerequisites for those benefits at any earlier time — e. g., when the worker is initially injured or when the worker enters into a predeath settlement. See also 20 CFR § 702.241(g) (1996) (no one can enter a settlement agreement with the employer regarding death benefits before the worker dies). Because Mrs. Yates’ husband was alive at the time she released her potential wrongful death actions, she was not a “person entitled to compensation” at that time and was therefore not obligated to seek Ingalls’ approval to preserve her entitlement to statutory death benefits.
Ingalls contends that dates a contrary conclusion. Ingalls’ analysis focuses on the presence of the phrase “would be entitled”:
“If the person entitled to compensation... enters into a settlement with a third person... for an amount less than the compensation to which the person... would be entitled under this [Act], the employer shall be liable [only if approval is obtained].” 33 U. S. C. § 933(g)(1) (emphasis added).
Because this subsection examines the compensation to which the person “would be entitled” under the Act, argues Ingalls, it “encompasses a broad forward looking concept” that effectively brings any “person who would be entitled to compensation” within its purview. Brief for Petitioners 15. As support, Ingalls draws upon the decision of the Ninth Circuit Court of Appeals in Cretan v. Bethlehem Steel Corp., 1 F. 3d 843 (1993). On facts almost identical to those presented here, the Court of Appeals held that the injured worker’s spouse was a “person entitled to compensation” for death benefits prior to her husband's death. The court found “lit-tie sense in a distinction that turns on whether the death for which settlement is made has yet to occur.” Id., at 847.
Ingalls essentially takes issue with our conclusion that the proper time to evaluate whether a person is “entitled to compensation” is the time of settlement. Ingalls’ position is at odds with our precedent, see Cowart, 505 U. S., at 475, and with the plain language of this statute, supra, at 255. The phrase “would be entitled” in subsection (g)(1) simply frames the inquiry into whether the approval requirement applies at all. If the person entitled to compensation enters into a settlement for an amount less than that to which the person “would be entitled” under the Act, then the employer’s approval must be obtained. If the settlement is for an amount greater than or equal to the amount to which the person “would be entitled,” then the employer’s approval need not be obtained. 505 U. S., at 482. Ingalls’ reading would assign an additional and unnecessary purpose to the phrase. Under Ingalls’ suggested reading, a worker’s spouse who signs a predeath settlement is considered a “person entitled to compensation” even though, in the time between the settlement and the worker’s death, the worker’s spouse might become ineligible for those death benefits (e.g., by predeceasing or divorcing the worker). In this context, the worker’s spouse would not actually be entitled to death benefits, but would nonetheless be considered the “person entitled” to such benefits. This reading cannot be supported by the statutory language.
Ingalls also contends that we should depart from a plain reading of the statutory language because strict adherence to it is at odds with the policies underlying the Act. More specifically, Ingalls avers that our reading of § 33(g) will effectively abrogate the employer’s right to offset its liability for death benefits by any amounts received by the surviving spouse in predeath settlements. Section 33(f) allows an employer to reduce its compensation obligations under the Act by the net amount of damages that the “person entitled to compensation” recovers from third parties. 33 § 933(f) (“If the person entitled to compensation institutes proceedings... the employer shall be required to pay as compensation under this chapter a sum equal to the excess of the amount which the Secretary determines is payable on account of such injury or death over the net amount recovered against such third person”). If, as Ingalls asserts, the phrase “person entitled to compensation” means the same thing under § 33(f) as it does under § 33(g), see Cowart, supra, at 479, then our holding today means that an employer would not be permitted to reduce the spouse’s death benefits by any amounts the spouse receives from predeath settlements. Such a spouse would be able to recover once from the third party and again from the worker’s employer under the Act after the worker’s death. In effect, a spouse in this situation — unlike a spouse who entered into settlements the day after the worker dies — would receive double recovery for her injuries. This double recovery, Ingalls contends, contravenes one of the central tenets of the Act set forth in § 3(e), 33 U. S. C. § 903(e), of the Act: “[A]ny amounts paid to an employee for the same injury, disability, or death for which benefits are claimed under this chapter pursuant to any other workers’ compensation law or section 688 of title 46, Appendix (relating to recovery for injury to or death of seamen), shall be credited against any liability imposed by this chapter.” See also Cowart, supra, at 483 (noting that the Act “ensures against fraudulent double recovery by the employee”); 2A A. Larson, Workers’ Compensation Law § 71.21 (1996) (“[T]he policy of avoiding double recovery is a strong one...”). In Ingalls’ view, our reading of the statute gives a “potential widow... greater benefits and protections than that afforded to covered employees who settle their third party claims.” Brief for Petitioners 22-23.
This entire argument, however, presupposes definition we today give to “person entitled to compensation” under § 33(g) applies without qualification to § 33(f) as well. This is a question we have yet to decide, and is one we leave for another day. If, for the sake of argument, we assumed that Ingalls’ proposition were correct, our conclusion on the question presented in this case would not change. We agree that the Act generally reflects a policy of avoiding double recovery. See 33 U. S. C. § 903(e). But § 903(e) is of fairly recent vintage, Pub. L. 98-426, 98 Stat. 1640; E. P. Paup Co. v. Director, OWCP, 999 F. 2d 1341, 1350 (CA9 1993) (“Prior to [enactment of] section 903(e), the credit doctrine allowed offset of benefits against LHWCA awards only if prior benefits were awarded under the LHWCA”) (emphasis added), and its reach is not all inclusive. See, e. g., Todd Shipyards Corp. v. Director, OWCP, 848 F. 2d 125 (CA9 1998) (allowing double recovery of veterans disability benefits and LHWCA benefits); Brown v. Forest Oil Corp., 29 F. 3d 966, 971 (CA5 1994) (“Although admittedly the LHWCA has a general policy to avoid double recoveries, we have also noted that limitations on employee recovery are not favored absent statutory authority”) (footnote omitted). Because the prohibition against double recovery is not absolute, we do not find the possibility of such recovery in this context to be so absurd or glaringly unjust as to warrant a departure from the plain language of the statute. See United States v. Rodgers, 466 U. S. 475, 484 (1984) (plain language controls unless it leads to results that are “ ‘absurd or glaringly unjust’ ”). Furthermore, as Ingalls acknowledges, see Reply Brief for Petitioners 13, subrogation under the Act is not an employer’s exclusive remedy against third parties responsible for employees’ injuries; an employer in Ingalls’ position would remain free to seek indemnification against a third party through a tort action in state or federal court. Pallas Shipping Agency, Ltd. v. Duris, 461 U. S. 529, 538 (1983); Federal Marine Terminals, Inc. v. Burnside Shipping Co., 394 U. S. 404, 412-414 (1969). Accordingly, we hold that before an injured worker’s death, the worker’s spouse is not a “person entitled to compensation” for death benefits within the meaning of LHWCA § 33(g), and does not forfeit the right to collect death benefits under the Act for failure to obtain the worker’s employer’s approval of settlements entered into before the worker’s death.
Ill
Ingalls also challenges the “standing” of the Director, OWCP, to appear before the courts of appeals as a respondent in cases in which there are already two adverse litigants. To assess this claim, familiarity with the Act’s appeals process, as well as with the Director’s role within that process, is helpful. file
A person seeking compensation under the Act must file a timely claim with the local deputy commissioner. 33 U. S. C. § 913(a) (1-year limitation period). The commissioner notifies the employer of the claim, § 919(b), at which time the employer might: (i) agree to pay the amount of benefits fixed by the Act, 20 CFR § 702.231 et seq. (1996) (procedures for payment of noncontroverted claims); (ii) enter into a formal settlement with the person seeking compensation for a (presumably) lesser amount, subject to the approval of the deputy commissioner or an ALJ, 33 U. S. C. § 908(i); 20 CFR § 702.241 et seq-. (1996); or (iii) give notice that it is denying liability for, or controverting, the claim, §702.251. If the employer controverts the claim, the deputy commissioner is empowered to attempt to resolve the parties’ dispute informally. §702.311 et seq. Should informal discussions prove unsuccessful, the commissioner refers the matter to an ALJ and a formal hearing is held. 33 U. S. C. §§919(c)-(d); 20 CFR § 702.316 (1996). “[A]ny party in interest” may appeal the ALJ’s decision to the Benefits Review Board. 33 U. S. C. § 921(b)(3). An appeal from the Board’s decision to the courts of appeals may be initiated by “[a]ny person adversely affected or aggrieved by a final order of the Board.” § 921(c); see also 20 CFR § 802.410(a) (1996).
The Director, OWCP, plays a significant role in

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未. New Hampshire U.S. Circuit for the District of New Hampshire
程. New Jersey U.S. Circuit for (all) District(s) of New Jersey
常. New York U.S. Circuit for (all) District(s) of New York
条. North Carolina U.S. Circuit for (all) District(s) of North Carolina
当. Ohio U.S. Circuit for (all) District(s) of Ohio
情. Oregon U.S. Circuit for the District of Oregon
口. Pennsylvania U.S. Circuit for (all) District(s) of Pennsylvania
合. Rhode Island U.S. Circuit for the District of Rhode Island
车. South Carolina U.S. Circuit for the District of South Carolina
实. Tennessee U.S. Circuit for (all) District(s) of Tennessee
组. Texas U.S. Circuit for (all) District(s) of Texas
版. Vermont U.S. Circuit for the District of Vermont
周. Virginia U.S. Circuit for (all) District(s) of Virginia
址. West Virginia U.S. Circuit for (all) District(s) of West Virginia
记. Wisconsin U.S. Circuit for (all) District(s) of Wisconsin
二. Wyoming U.S. Circuit for the District of Wyoming
同. Circuit Court of the District of Columbia
业. Nebraska U.S. Circuit for the District of Nebraska
权. Colorado U.S. Circuit for the District of Colorado
其. Washington U.S. Circuit for (all) District(s) of Washington
进. Idaho U.S. Circuit Court for (all) District(s) of Idaho
试. Montana U.S. Circuit Court for (all) District(s) of Montana
验. Utah U.S. Circuit Court for (all) District(s) of Utah
料. South Dakota U.S. Circuit Court for (all) District(s) of South Dakota
传. North Dakota U.S. Circuit Court for (all) District(s) of North Dakota
述. Oklahoma U.S. Circuit Court for (all) District(s) of Oklahoma
集. Court of Private Land Claims
多. United States Supreme Court
Answer:

Answer: 上