J. SKELLY WRIGHT, Circuit Judge:
The National Labor Relations Board found that the petitioner union engaged in unfair labor practices within the meaning of Section 8(b) (4) (i) and (ii) (B) of the National Labor Relations Act, 29 U.S.C. § 158(b) (4) (i) and (ii) (B) (1964). In finding that the union had engaged in proscribed secondary activity, the Board relied exclusively on its “right to control” test. For the reasons set out below, we believe this reliánce was misplaced, and we reverse the Board’s finding.
I
The facts are undisputed. At all times relevant to this case Local 636 of the plumbers’ and pipefitters’ union had a collective bargaining agreement with two multi-employer associations, the Metropolitan Detroit Plumbing Contractors Association and the Mechanical Contractors Association of Detroit, Inc. This contract contained a work-preservation clause which specified that “[a] 11 pipe two inches (2") and under and all hanger rods are to be cut, threaded, and installed by employees on the job.” The trial examiner found that “[sjimilar language has appeared in collective-bargaining contracts between [the union] and associations of plumbing and mechanical contractors since about 1941, and [the union] has successfully resisted efforts to delete it.” The Board does not challenge the validity of this clause in these proceedings.
The present case has its origin in the 1964 decision by Holy Cross Hospital in Detroit to construct an addition to its building. The hospital retained an architect who designed the new addition and drew up plans and specifications for its construction. In planning the heating and air conditioning system of the new building, the architect specified individual room heating and cooling “fan coil units.” These units became the focus of the present dispute.
Fan coil units contain a certain amount of piping associated with temperature control valves which are contained in each unit. This piping is less than two inches in diameter, and it can be cut, threaded and installed either at the factory or on the job site. As prepared by the hospital’s architect, the specifications for the addition to Holy Cross Hospital called for the fan coil units to be “pre-piped,” that is, for the piping to be installed at the factory. Furthermore, the mechanical specifications provided that the hospital’s architect “shall interpret the Specifications * * * and shall decide all other questions in connection with the work.”
In 1966, the hospital advertised for bids on the basis of the architect’s plans and specifications, which included the fan coil provisions discussed above. [908]*908Page Plumbing and Heating Company was the successful bidder, and the Board found as a matter of fact that “[a] 11 bidders, including Page, were advised of this specification [factory pre-piping] and submitted their bids in reliance thereon.” Page Plumbing was at all times a member of the Mechanical Contractors Association of Detroit, Inc. and a signatory of the collective bargaining agreement with Local 636 which included the clause preserving the installation of all pipe less than two inches in diameter for job site workers.
The ensuing clash was completely predictable. Holy Cross Hospital sought to hold Page to the contract specifications of factory pre-piped fan coil units. The union, in turn, sought to hold Page to the collective bargaining agreement. When the hospital refused Page’s request that the piping be done on the job site, the union induced the employees of Page at the Holy Cross Hospital job site not to handle the factory preassembled units.
II
On the basis of these facts, the Board, applying its “right to control” test, found the union guilty of an unfair labor practice:
“It is obvious from the foregoing facts that Page, although willing to do so, was powerless to comply with Respondent’s demand. As the Hospital through its architect would not relax or change the specifications for the job, a strike against Page would be fruitless in terms of achieving Respondent’s objective, unless Page’s customer, the Hospital or its architect, was thereby persuaded to change the contract specifications so as to permit Page’s employees to fabricate certain piping on the job. In the real and practical sense Page was a neutral; it was caught between the conflicting demands of the Respondent and the Hospital, and was without power to resolve the conflict in the manner desired by Respondent. Section 8(b) (4) of the Act was intended to protect ‘employers in the position of neutrals between contending parties.’ Inasmuch as Page was incapable of complying with respondent’s demands, an object of Respondent’s conduct directed at Page must inevitably have been to cause Page to rescind its contract and thus cease doing business with the Hospital, a violation of Section 8(b) (4) (B) of the Act.”
(Footnotes omitted; emphasis by the Board.)
We think the Board’s analysis is completely wide of the mark.1 To assert that Page lacked the “right to control” here requires a most careful artificial structuring of the facts. Before Page entered into the contract with the hospital, Page had a contractual commitment to the union to reserve certain work for job site workers. During the negotiations with the hospital over the specifications in the bid, Page was, of course, apprised of the specifications which conflicted with its collective bargaining agreement with the union. Eyes open, Page then signed the hospital contract.
The Board seeks to disregard these threshold facts, and focus exclusively on Page’s predicament after it had signed the hospital’s contract. But Page created its own predicament, and the Board’s approach would encourage and reward such behavior. Judge Lasker accurately appraised a similar situation:
“It would be unthinkable to apply the ‘right to control’ test to facts such as those just outlined. To do so would be to encourage * * * employers to undermine their collective [909]*909bargaining agreements by actively soliciting contracts whose very terms called for conduct violative of those trade agreements * * *. Manufacturers and general contractors, too, would be tempted to insert all manner of specification and standard[s] into their licenses and contracts with a total disregard of subcontractors’ commitments to their respective unions.”
Danielson v. Painters District Council No. 20, etc., S.D.N.Y., 305 F.Supp. 1108, 1115 (1969).
Moreover, the Board’s application of the “right to control” test completely ignores the teaching of the Supreme Court in National Woodwork Manufacturers Ass’n v. NLRB, 386 U.S. 612, 87 S.Ct. 1250, 18 L.Ed.2d 357 (1967). In that case, the Court held that the proper basis for distinguishing primary from secondary union activity was
“an inquiry into whether, under all the surrounding circumstances, the Union’s objective was preservation of work for [unit] employees, or whether the agreements and boycott were tactically calculated to satisfy union objectives elsewhere. Were the latter the case, * * * the boycotted employer would be a neutral bystander, and the agreement or boycott would, within the intent of Congress, become secondary.
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J. SKELLY WRIGHT, Circuit Judge:
The National Labor Relations Board found that the petitioner union engaged in unfair labor practices within the meaning of Section 8(b) (4) (i) and (ii) (B) of the National Labor Relations Act, 29 U.S.C. § 158(b) (4) (i) and (ii) (B) (1964). In finding that the union had engaged in proscribed secondary activity, the Board relied exclusively on its “right to control” test. For the reasons set out below, we believe this reliánce was misplaced, and we reverse the Board’s finding.
I
The facts are undisputed. At all times relevant to this case Local 636 of the plumbers’ and pipefitters’ union had a collective bargaining agreement with two multi-employer associations, the Metropolitan Detroit Plumbing Contractors Association and the Mechanical Contractors Association of Detroit, Inc. This contract contained a work-preservation clause which specified that “[a] 11 pipe two inches (2") and under and all hanger rods are to be cut, threaded, and installed by employees on the job.” The trial examiner found that “[sjimilar language has appeared in collective-bargaining contracts between [the union] and associations of plumbing and mechanical contractors since about 1941, and [the union] has successfully resisted efforts to delete it.” The Board does not challenge the validity of this clause in these proceedings.
The present case has its origin in the 1964 decision by Holy Cross Hospital in Detroit to construct an addition to its building. The hospital retained an architect who designed the new addition and drew up plans and specifications for its construction. In planning the heating and air conditioning system of the new building, the architect specified individual room heating and cooling “fan coil units.” These units became the focus of the present dispute.
Fan coil units contain a certain amount of piping associated with temperature control valves which are contained in each unit. This piping is less than two inches in diameter, and it can be cut, threaded and installed either at the factory or on the job site. As prepared by the hospital’s architect, the specifications for the addition to Holy Cross Hospital called for the fan coil units to be “pre-piped,” that is, for the piping to be installed at the factory. Furthermore, the mechanical specifications provided that the hospital’s architect “shall interpret the Specifications * * * and shall decide all other questions in connection with the work.”
In 1966, the hospital advertised for bids on the basis of the architect’s plans and specifications, which included the fan coil provisions discussed above. [908]*908Page Plumbing and Heating Company was the successful bidder, and the Board found as a matter of fact that “[a] 11 bidders, including Page, were advised of this specification [factory pre-piping] and submitted their bids in reliance thereon.” Page Plumbing was at all times a member of the Mechanical Contractors Association of Detroit, Inc. and a signatory of the collective bargaining agreement with Local 636 which included the clause preserving the installation of all pipe less than two inches in diameter for job site workers.
The ensuing clash was completely predictable. Holy Cross Hospital sought to hold Page to the contract specifications of factory pre-piped fan coil units. The union, in turn, sought to hold Page to the collective bargaining agreement. When the hospital refused Page’s request that the piping be done on the job site, the union induced the employees of Page at the Holy Cross Hospital job site not to handle the factory preassembled units.
II
On the basis of these facts, the Board, applying its “right to control” test, found the union guilty of an unfair labor practice:
“It is obvious from the foregoing facts that Page, although willing to do so, was powerless to comply with Respondent’s demand. As the Hospital through its architect would not relax or change the specifications for the job, a strike against Page would be fruitless in terms of achieving Respondent’s objective, unless Page’s customer, the Hospital or its architect, was thereby persuaded to change the contract specifications so as to permit Page’s employees to fabricate certain piping on the job. In the real and practical sense Page was a neutral; it was caught between the conflicting demands of the Respondent and the Hospital, and was without power to resolve the conflict in the manner desired by Respondent. Section 8(b) (4) of the Act was intended to protect ‘employers in the position of neutrals between contending parties.’ Inasmuch as Page was incapable of complying with respondent’s demands, an object of Respondent’s conduct directed at Page must inevitably have been to cause Page to rescind its contract and thus cease doing business with the Hospital, a violation of Section 8(b) (4) (B) of the Act.”
(Footnotes omitted; emphasis by the Board.)
We think the Board’s analysis is completely wide of the mark.1 To assert that Page lacked the “right to control” here requires a most careful artificial structuring of the facts. Before Page entered into the contract with the hospital, Page had a contractual commitment to the union to reserve certain work for job site workers. During the negotiations with the hospital over the specifications in the bid, Page was, of course, apprised of the specifications which conflicted with its collective bargaining agreement with the union. Eyes open, Page then signed the hospital contract.
The Board seeks to disregard these threshold facts, and focus exclusively on Page’s predicament after it had signed the hospital’s contract. But Page created its own predicament, and the Board’s approach would encourage and reward such behavior. Judge Lasker accurately appraised a similar situation:
“It would be unthinkable to apply the ‘right to control’ test to facts such as those just outlined. To do so would be to encourage * * * employers to undermine their collective [909]*909bargaining agreements by actively soliciting contracts whose very terms called for conduct violative of those trade agreements * * *. Manufacturers and general contractors, too, would be tempted to insert all manner of specification and standard[s] into their licenses and contracts with a total disregard of subcontractors’ commitments to their respective unions.”
Danielson v. Painters District Council No. 20, etc., S.D.N.Y., 305 F.Supp. 1108, 1115 (1969).
Moreover, the Board’s application of the “right to control” test completely ignores the teaching of the Supreme Court in National Woodwork Manufacturers Ass’n v. NLRB, 386 U.S. 612, 87 S.Ct. 1250, 18 L.Ed.2d 357 (1967). In that case, the Court held that the proper basis for distinguishing primary from secondary union activity was
“an inquiry into whether, under all the surrounding circumstances, the Union’s objective was preservation of work for [unit] employees, or whether the agreements and boycott were tactically calculated to satisfy union objectives elsewhere. Were the latter the case, * * * the boycotted employer would be a neutral bystander, and the agreement or boycott would, within the intent of Congress, become secondary. There need not be an actual dispute with the boycotted employer * * * for the activity to fall within this category, so long as the tactical object of the agreement and its maintenance is that employer, or benefits to other than the boycotting employees or other employees of the primary employer thus making the agreement or boycott secondary in its aim. The touchstone is whether the agreement or its maintenance is addressed to the labor relations of the contracting employer vis-á-vis his own employees. * * *”
386 U.S. at 644-645, 87 S.Ct. at 1268. (Footnotes omitted; emphasis added.)
Thus the National Woodwork test focuses on whether the employees have a dispute with their own employer. Is it proper to bring pressure to bear on him because it is his dispute? Or is he a “neutral” on whom the union is bringing pressure to attain objectives elsewhere? In our view, the "right to control” test, as formulated by the Board, is irrelevant to this determination and tends to focus attention on the wrong factors. The union’s position is that it is seeking to preserve the work of Page’s employees from being eliminated by factory prefabrication. It is this claim of primary activity which the Board must appraise.
No claim has ever been made that Local 636 has any interest at all in the labor relations of Holy Cross Hospital, the usual type of “secondary” object. If the union had any objective with regard to the hospital, it was to convince the hospital not to use pre-piped units.2 But focusing on this aspect of the case makes for faulty analysis: the whole point of the work-preservation agreement in this case, as in National Woodwork, was to convince builders generally not to use prefabricated materials. Work-preservation clauses, of necessity, will have effect by a domino-like process : the union negotiates the restriction with its employer- — -the contractor. The contractor, bound by his collective bargaining agreement, will not contract [910]*910with a builder who seeks to use prefabricated materials. The builder may then accede to the demand that the work be done at the job site, or he may seek another contractor not bound by such a restrictive union contract.
Therefore, in one sense the ultimate “right to control” in many decisions which bear on the work-preservation clause will be in a party other than the union’s immediate employer. Similarly, the work preservation agreement between the union and.the immediate employer may have the effect of making that employer “cease doing business” with a builder who insists on the use of prefabricated materials. But National Woodwork teaches that these are permissible ancillary issues and effects. The determination whether a contract clause or union activity is secondary rests on an analysis which focuses on the union’s objective; the question is “whether, under all the surrounding circumstances, the Union’s objective was preservation of work for [the unit’s] employees, or whether the agreements and boycott were tactically calculated to satisfy union objectives elsewhere.” 386 U.S. at 645, 87 S.Ct. at 1268.3 In our view, this analysis requires the conclusion that if the union has negotiated a valid work-preservation agreement with its employer and is enforcing that agreement, the union’s activity is primary. The union is entitled to enforce its contract with the employer who signed it.
In short, we believe that the “right to control” test must be abandoned. This conclusion has been reached by commentators 4 and by all of our sister [911]*911circuits 5 that have had occasion to pass on the question since the National Woodwork case.
Ill
Since the Board employed the wrong legal test to assess the union’s conduct, this case must be remanded to the Board. Since the Board explicitly declined to pass on the question whether the work-preservation clause in the present case covered work fairly claimable by the relevant unit,6 on remand the Board should determine that issue.
The union’s petition to review is granted, and the Board’s finding of an unfair labor practice in this ease is set aside. The Board's cross-petition for enforcement is denied.
Remanded for further proceedings consistent with this opinion.