Petitioners, the American Medical Association and the Medical
Society of the District of Columbia (corporations), were indicted
and convicted of conspiring to violate § 3 of the Sherman Act
by restraining trade or commerce in the District of Columbia. Two
unincorporated associations and twenty-one individuals (some of
whom were officers or employees of one or the other of the
petitioners; others were physicians practicing in the District of
Columbia and members of the petitioners) were codefendants, but
were acquitted by directed verdict or found not guilty. The
indictment charged that, to prevent Group Health -- a nonprofit
corporation organized by Government employees to provide medical
care and hospitalization on a risk-sharing prepayment basis, and
employing full-time physicians on a salary basis -- from carrying
out its objects, the defendants conspired to coerce practicing
physicians, members of the petitioners, from accepting employment
under Group Health; to restrain practicing physicians, members of
the petitioners, from consulting with Group Health's doctors who
might desire to consult with them, and to restrain hospitals in and
about Washington from affording facilities for the care of patients
of Group Health's physicians.
Held:
1. It is unnecessary here to decide, and the Court does not
decide, whether a physician's practice of his profession
constitutes trade under § 3 of the Sherman Act. P.
317 U. S.
528.
2. Group Health is engaged in "trade" within the meaning of
§ 3 of the Sherman Act, notwithstanding that it is cooperative
and procures service and facilities on behalf of its members only.
P.
317 U. S.
528.
3. The indictment in this case charges a conspiracy to restrain
and obstruct the business of Group Health, and therefore a
conspiracy in restraint of trade or commerce in violation of §
3 of the Sherman Act. P.
317 U. S.
528.
Page 317 U. S. 520
4. The fact that the defendants were physician and medical
organizations is of no significance if the purpose and effect of
their conspiracy was obstruction and restraint of the business of
Group Health, since § 3 prohibits "any person" from imposing
the proscribed restraints. P.
317 U. S.
528.
5. The courts below correctly construed the indictment in this
case as charging a single conspiracy to obstruct and restrain the
business of Group Health -- the recited "purposes" constituting
merely different steps toward the accomplishment of that end -- and
the cause was submitted to the jury on this theory. Petitioners'
challenge of the validity of the general verdict of guilty --
based, in effect, on the contention that the indictment charged
five separate conspiracies, and that the defendants were entitled
to have the trial court rule upon the sufficiency in law of each of
the charges, therefore fails. P.
317 U. S.
532.
6. The evidence in the case was sufficient for submission to the
jury. P.
317 U. S.
533.
7. The dispute between petitioners (and their members) and Group
Health (and its members) was not one "concerning terms and
conditions of employment," and therefore petitioners' activities
were not exempted, by § 20 of the Clayton Act as expanded by
§ 13 of the Norris-LaGuardia Act, from the operation of the
Sherman Act. P.
317 U. S.
533.
130 F.2d 233 affirmed.
Certiorari,
post, p. 613, to review the affirmance of
convictions for violation of the Sherman Antitrust Act.
Page 317 U. S. 526
MR. JUSTICE ROBERTS delivered the opinion of the Court.
Petitioners have been indicted and convicted of conspiring to
violate § 3 of the Sherman Act [
Footnote 1] by restraining trade or commerce in the
District of Columbia. They are, respectively, corporations of
Illinois and of the District of Columbia. Joined with them as
defendants were two unincorporated associations and twenty-one
individuals, some of whom are officers or employees of one or other
of the petitioners, the remainder being physicians practicing in
the District of Columbia and members of the petitioners serving, as
to some of them, on various committees of the petitioners having to
do with professional ethics and with the practice of medicine by
petitioners' members.
For the moment, it is enough to say that the indictment charged
a conspiracy to hinder and obstruct the operations of Group Health
Association, Inc., a nonprofit corporation organized by Government
employees to provide medical care and hospitalization on a
risk-sharing prepayment basis. Group Health employed physicians on
a full-time salary basis, and sought hospital facilities for the
treatment of members and their families. This plan was contrary to
the code of ethics of the petitioners. The indictment
Page 317 U. S. 527
charges that, to prevent Group Health from carrying out its
objects, the defendants conspired to coerce practicing physicians,
members of the petitioners, from accepting employment under Group
Health, to restrain practicing physicians, members of the
petitioners, from consulting with Group Health's doctors who might
desire to consult with them, and to restrain hospitals in and about
the City of Washington from affording facilities for the care of
patients of Group Health's physicians.
The District Court sustained a demurrer to the indictment on the
grounds, amongst others, that neither the practice of medicine nor
the business of Group Health is trade as the term is used in the
Sherman Act. [
Footnote 2] On
appeal, the Court of Appeals reversed, holding that the restraint
of trade prohibited by the statute may extend both to medical
practice and to the operations of Group Health. [
Footnote 3]
The case then went to trial in the District Court. Certain
defendants were acquitted by direction of the judge. As to the
others, the case was submitted to the jury, which found the
petitioners guilty, and all the other defendants not guilty. From
judgments of conviction, the petitioners appealed to the Court of
Appeals, which reiterated its ruling as to the applicability of
§ 3 of the Sherman Act, considered alleged trial errors, and
affirmed the judgments. [
Footnote
4]
We granted certiorari limited to three questions which we
thought important: 1. Whether the practice of medicine and the
rendering of medical services as described in the indictment are
"trade" under § 3 of the Sherman Act. 2. Whether the
indictment charged or the evidence
Page 317 U. S. 528
proved "restraints of trade" under § 3 of the Sherman Act.
3. Whether a dispute concerning terms and conditions of employment
under the Clayton and Norris-LaGuardia Acts was involved, and, if
so, whether petitioners were interested therein, and therefore
immune from prosecution under the Sherman Act.
First. Much argument has been addressed to the question
whether a physician's practice of his profession constitutes trade
under § 3 of the Sherman Act. In the light of what we shall
say with respect to the charge laid in the indictment, we need not
consider or decide this question.
Group Health is a membership corporation engaged in business or
trade. Its corporate activity is the consummation of the
cooperative effort of its members to obtain for themselves and
their families medical service and hospitalization on a
risk-sharing prepayment basis. The corporation collects its funds
from members. With these funds, physicians are employed and
hospitalization procured on behalf of members and their dependents.
The fact that it is cooperative, and procures service and
facilities on behalf of its members only, does not remove its
activities from the sphere of business. [
Footnote 5]
If, as we hold, the indictment charges a single conspiracy to
restrain and obstruct this business, it charges a conspiracy in
restraint of trade or commerce within the statute. As the Court of
Appeals properly remarked, the calling or occupation of the
individual physicians charged as defendants is immaterial if the
purpose and effect of their conspiracy was such obstruction and
restraint of the business of Group Health. The court said:
[
Footnote 6]
"And, of
Page 317 U. S. 529
course, the fact that defendants are physicians and medical
organizations is of no significance, for Sec. 3 prohibits 'any
person' from imposing the proscribed restraint. . . ."
It is urged that this was said before this court decided
Apex Hosiery Co. v. Leader, 310 U.
S. 469. But nothing in that decision contradicts the
proposition stated. Whether the conspiracy was aimed at restraining
or destroying competition, or had as its purpose a restraint of the
free availability of medical or hospital services in the market,
the
Apex case places it within the scope of the statute.
[
Footnote 7]
Second. This brings us to consider whether the
indictment charged, or the evidence proved, such a conspiracy in
restraint of trade. The allegations of the indictment are lengthy
and detailed. After naming and describing the defendants and the
Washington hospitals, it devotes many paragraphs to a recital of
the plan adopted by Group Health, and alleges that, principally for
economic reasons, and because of fear of business competition, the
defendants have opposed such projects.
The indictment then recites the size and importance of the
petitioners, enumerates means by which they can prevent their
members from serving Group Health plans, or consulting with
physicians who work for Group Health, and can prevent hospitals
from affording facilities to Group Health's doctors.
In charging the conspiracy, the indictment describes the
organization and operation of Group Health and states that, from
January, 1937, to the date of the indictment, the defendants, the
Washington hospitals, and others cognizant of the premised facts,
"have combined and conspired together for the purpose of
restraining trade in the District of Columbia. . . ." In five
paragraphs, the pleading states the purposes of the conspiracy.
Page 317 U. S. 530
The first is the purpose of restraining Group Health from doing
business; the second, that of restraining members of Group Health
from obtaining adequate medical care according to Group Health's
plan; the third, that of restraining doctors serving Group Health
in the pursuit of their calling; the fourth, that of restraining
doctors not on Group Health's staff from practicing in the District
of Columbia in pursuance of their calling, and the fifth, that of
restraining the Washington hospitals in the business of operating
their hospitals.
After reciting certain of the proceedings and plans adopted to
forward the conspiracy, the indictment alleges that the conspiracy,
and the intended restraints which have resulted from it, have been
effectuated "in the following manner and by the following means,"
and alleges that the defendants have combined and conspired
"with the plan and purpose to hinder and obstruct Group Health
Association, Inc., in procuring and retaining on its medical staff
qualified doctors, and to hinder and obstruct the doctors serving
on that staff from obtaining consultations with other doctors and
specialists practicing in the District of Columbia."
It states that, pursuant to this plan and purpose, the
defendants have resorted to certain means to accomplish the end,
and recounts them.
In another paragraph, the defendants are charged to have
conspired with
"the plan and purpose to hinder and obstruct Group Health
Association, Inc. in obtaining access to hospital facilities for
its members and to hinder and obstruct the doctors on the medical
staff of Group Health from treating and operating on their patients
in Washington hospitals."
It is alleged that, pursuant to this plan and purpose,
defendants have done certain acts to deter hospitals with which
they were connected and over which they exercised influence, from
affording hospital facilities to Group Health's doctors.
Page 317 U. S. 531
The petitioners' contention is, in effect, that the indictment
charges five separate conspiracies defined by their separate and
recited purposes -- namely, conspiracy to obstruct the business of
Group Health, to obstruct its members from obtaining the benefit of
its activities, to obstruct its doctors from serving it, to
obstruct other doctors in the practice of their calling, and to
restrain the business of Washington hospitals. The petitioners say
that they were entitled to have the trial court rule upon the
sufficiency in law of each of these charges, and, as this was not
done, the general verdict of guilty cannot stand. They urge that,
even though some of the named purposes relate to the business of
Group Health, and that business be held trade within the meaning of
the statute, yet, as the practice of medicine by doctors not
employed by Group Health is not trade, and the operations of
Washington hospitals are not trade, the last two purposes specified
cannot constitute violations of § 3, and the jury should have
been so instructed. In this view, they insist that the jury may
have convicted them of restraining physicians unconnected with
Group Health, or of restraining hospitals, and, if so, the verdict
and judgment cannot stand.
If, in fact, the indictment charges a single conspiracy to
obstruct and restrain the business of Group Health, and if the
recited purposes are really only subsidiary to that main purpose or
aim, or merely different steps toward the accomplishment of that
single end, and if the cause was submitted to the jury on this
theory, these contentions fail.
When the case first went to the Court of Appeals, that tribunal
construed the indictment as charging but a single conspiracy. It
said: [
Footnote 8]
"The charge, stated in condensed form, is that the medical
societies combined and conspired to prevent the successful
operation of Group Health's
Page 317 U. S. 532
plan, and the steps by which this was to be effectuated were as
follows: (1) to impose restraints on physicians affiliated with
Group Health by threat of expulsion or actual expulsion from the
societies; (2) to deny them the essential professional contacts
with other physicians, and (3) to use the coercive power of the
societies to deprive them of hospital facilities for their
patients."
In the trial, the District Court conformed its rulings to this
decision and submitted the case to the jury on the theory that the
indictment charged but one conspiracy.
We think the courts below correctly construed the indictment. It
is true that, in describing the conspiracy, five purposes are
stated which the conspiracy was intended to further, but, in a
later paragraph, still in the charging part of the instrument, it
is alleged that the purpose was to hinder and obstruct Group Health
in various ways and by various coercive measures, which are
identical with the "purposes" before stated. The trial judge, after
calling the jury's attention to the juxtaposition of these two
formulations of the charge, added:
"These purposes, it is alleged, were to be attained by certain
coercive measures against the hospitals and doctors designed to
interfere with employment of doctors by Group Health and use of the
hospitals by members of its medical staff and their patients. . .
."
In immediate, context the judge added:
"To sustain that charge, the Government must prove beyond a
reasonable doubt that a conspiracy did in fact exist to restrain
trade in the District in at least one of the several ways alleged,
and according to the particular purpose and plan set forth."
At another point, the trial judge summarized the Government's
claim that the evidence in the case showed opposition by the
petitioners to Group Health and its plan; that they feared
competition between the plan and the
Page 317 U. S. 533
organized physicians, and that, to obstruct and destroy such
competition, the petitioners conspired with certain officers and
members and hospitals to prevent successful operation of Group
Health's plan by imposing restraints upon physicians affiliated
with Group Health, by denying such physicians professional contact
and consultation with other physicians, and by coercing the
hospitals to deny facilities for the treatment of their patients.
Again, the judge charged: "Was there a conspiracy to restrain trade
in one or more of the ways alleged?" And again:
"If it be true . . . that the District Society, acting only to
protect its organization, regulate fair dealing among its members,
and maintain and advance the standards of medical practice, adopted
reasonable rules and measures to those ends not calculated to
restrain Group Health, there would be no guilt, though the indirect
effect may have been to cause some restraint against Group
Health."
We need add but a word as to the sufficiency of the proof to
sustain the charge. The petitioners in effect challenge the
sufficiency, in law, of the indictment. They hardly suggest that,
if the pleading charges an offense, there was no substantial
evidence of the commission of the offense. But, however the
argument is viewed, we agree with the courts below that the case
was one for submission to a jury. No purpose would be served by
detailed discussion of the proofs.
Third. We hold that the dispute between petitioners and
their members, and Group Health and its members, was not one
concerning terms and conditions of employment within the Clayton
[
Footnote 9] and the
Norris-LaGuardia [
Footnote
10] acts.
Section 20 of the Clayton Act, as expanded by § 13 of the
Norris-LaGuardia Act, is the only legislation which
Page 317 U. S. 534
can have any bearing on the case. Section 20 applies to cases
between
"an employer and employees, or between employers and employees,
or between employees, or between persons employed and persons
seeking employment, involving, or growing out of, a dispute
concerning terms or conditions of employment . . . ,"
and provides that none of the acts specified in the section
shall "be considered or held to be violations of any law of the
United States."
Section 13 of the Norris-LaGuardia Act defines a labor dispute
as including
"any controversy concerning terms or conditions of employment,
or concerning the association or representation of persons in
negotiating, fixing, maintaining, changing, or seeking to arrange
terms or conditions of employment, regardless of whether or not the
disputants stand in the proximate relation of employer and
employee."
It also provides that
"A case shall be held to involve or to grow out of a labor
dispute when the case involves persons who are engaged in the same
industry, trade, craft, or occupation, or have direct or indirect
interests therein, or who are employees of the same employer, or
who are members of the same or an affiliated organization of
employers or employees, whether such dispute is (1) between one or
more employers or associations of employers and one or more
employees or associations of employees, (2) between one or more
employers or associations of employers and one or more employers or
associations of employers, or (3) between one or more employees or
associations of employees and one or more employees or associations
of employees, or when the case involves any conflicting or
competing interests in a 'labor dispute' (as defined in this
section) of 'persons participating or interested' therein (as
defined in this section)."
Citing these provisions, the petitioners insist that their
dispute with Group Health was as to terms and conditions
Page 317 U. S. 535
of employment of the doctors employed by Group Health, since the
District Medical Society objected to its members', or other
doctors', taking employment under Group Health on the terms offered
by that corporation. They assert that § 20 of the Clayton Act,
as expanded by § 13 of the Norris-LaGuardia Act, includes all
persons and associations involved in a dispute over terms and
conditions of employment who are engaged in the same industry,
trade, craft, or occupation, or have direct or indirect interests
therein. And they rely upon our decisions in
New Negro Alliance
v. Sanitary Grocery Co., 303 U. S. 552, and
Drivers' Union v. Lake Valley Co., 311 U. S.
91, as bringing within the coverage of the acts a third
party, even though that party be a corporation not in trade, and
employers and employers' associations even though they be only
indirectly interested in the controversy. They insist that, as the
petitioners and Group Health, its members and doctors, other
doctors, and the hospitals were either directly or indirectly
interested in a controversy which concerned the terms of employment
of doctors by Group Health, the case falls within the exemption of
the statutes, and they cannot be held criminally liable for a
violation of the Sherman Act.
It seems plain enough that the Clayton and Norris-LaGuardia Acts
were not intended to immunize such a dispute as is presented in
this case. Nevertheless, it is not our province to define the
purpose of Congress apart from what it has said in its enactments,
and, if the petitioners' activities fall within the classes defined
by the acts, we are bound to accord petitioners, especially in a
criminal case, the benefit of the legislative provisions.
We think, however, that, upon analysis, it appears that
petitioners' activities are not within the exemptions granted by
the statutes. Although the Government asserts the contrary, we
shall assume that the doctors having
Page 317 U. S. 536
contracts with Group Health were employees of that corporation.
The petitioners did not represent present or prospective employees.
Their purpose was to prevent anyone from taking employment under
Group Health. They were interested in the terms and conditions of
the employment only in the sense that they desired wholly to
prevent Group Health from functioning by having any employees.
Their objection was to its method of doing business. Obviously
there was no dispute between Group Health and the doctors it
employed or might employ in which petitioners were either directly
or indirectly interested.
In truth, the petitioners represented physicians who desired
that they and all others should practice independently on a fee for
service basis where whatever arrangement for payment each had was a
matter that lay between him and his patient in each individual case
of service or treatment. The petitioners were not an association of
employees in any proper sense of the term. They were an association
of individual practitioners each exercising his calling as an
independent unit. These independent physicians, and the two
petitioning associations which represent them, were interested
solely in preventing the operation of a business conducted in
corporate form by Group Health. In this aspect, the case is very
like
Columbia River Packers Assn., Inc. v. Hinton,
315 U. S. 143.
What was there decided requires a holding that the petitioners'
activities were not exempted by the Clayton and the
Norris-LaGuardia Acts from the operation of the Sherman Act.
The judgments are
Affirmed.
MR. JUSTICE MURPHY and MR. JUSTICE JACKSON took no part in the
consideration or the decision of this case.
* Together with No. 202,
Medical Society of the District of
Columbia v. United States, also on writ of certiorari,
post, p. 613, to the United States Court of Appeals for
the District of Columbia.
[
Footnote 1]
Act of July 2, 1890, § 3, c. 647, 26 Stat. 209, 15 U.S.C.
§ 3.
[
Footnote 2]
United States v. American Medical
Association, 28 F. Supp.
752.
[
Footnote 3]
United States v. American Medical Association, 72
App.D.C. 12, 110 F.2d 703, 710, 711.
[
Footnote 4]
American Medical Association v. United States, App.D.C.
130 F.2d 233.
[
Footnote 5]
Compare, Associated Press v. Labor Board, 301 U.
S. 103,
301 U. S.
128-129;
In re Duty on Estate of Incorporated
Council, 22 Q.B. 279, 293;
Maryland and Virginia Milk
Producers' Assn. v. District of Columbia, 73 App.D.C. 399, 119
F.2d 787, 790;
La Belle v. Hennepin County Bar Assn., 206
Minn. 290, 294, 288 N.W. 788.
[
Footnote 6]
110 F.2d 711.
[
Footnote 7]
Compare Fashion Originators' Guild v. Federal Trade
Commission, 312 U. S. 457,
312 U. S.
465-467.
[
Footnote 8]
110 F.2d 711.
[
Footnote 9]
38 Stat. 730, §§ 6 and 20, 15 U.S.C. § 17, 29
U.S.C. § 52.
[
Footnote 10]
47 Stat. 70, §§ 4, 5, 6, 8 and 13, 29 U.S.C.
§§ 104, 105, 106, 108 and 113.