1. The Fair Labor Standards Act, as applied to the business of
publishing and distributing newspapers, does not violate the First
or Fifth Amendment or exceed the power of Congress under the
Commerce Clause. P.
327 U. S.
192.
2. The provisions of § 11(a) of the Fair Labor Standards
Act, authorizing the Administrator to investigate conditions and
practices of employment in any industry subject to the Act, and of
§ 9, incorporating the provisions of § 9 of the Federal
Trade Commission Act authorizing the issuance and judicial
enforcement of subpoenas, do not violate the prohibitions of the
Fourth Amendment against unreasonable searches and seizures or any
other provision of the Constitution. Pp.
327 U. S. 194,
327 U. S. 208,
327 U. S.
214.
3. A review of the cases applicable to the production of
corporate records and papers in response to a subpoena or order
authorized by law and safeguarded by judicial sanction discloses
that they hold, in effect, that:
(a) The Fifth Amendment affords no protection by virtue of the
self-incrimination provision, whether for the corporation or for
its officers. P.
327 U. S.
208.
Page 327 U. S. 187
(b) The Fourth Amendment, if applicable, guards against abuse
only by way of too much indefiniteness or breadth in the things
required to be "particularly described," if the inquiry is one the
demanding agency is authorized by law to make and the materials
specified are relevant, the gist of the protection being the
requirement that the disclosure sought shall not be unreasonable.
P.
327 U. S.
208.
(c) The requirement of "probable cause, supported by oath or
affirmation," literally applicable in the case of a warrant, is
satisfied, in the case of an order for production, by the court's
determination that the investigation is authorized by Congress and
is for a purpose Congress can order, and that the documents sought
are relevant to the inquiry. P.
327 U. S.
209.
(d) Beyond this, the requirement of reasonableness, including
particularity in "describing the place to be searched, and the
persons to be seized," also literally applicable to warrants, comes
down to specification of the documents to be produced, adequate but
not excessive, for the purposes of the relevant inquiry. P.
327 U. S.
209.
4. There was no violation of petitioners' rights in these cases,
since both petitioners were corporations; the only records or
documents sought were corporate ones; no element of
self-incrimination was presented or claimed; all the records sought
were relevant to an inquiry for the purpose of determining whether
petitioners were subject to the Act and, if so, whether they were
violating it; and such an inquiry was authorized by §11(a) of
the Fair Labor Standards Act. P.
327 U. S.
209.
5. The Administrator of the Wage and our Division of the
Department of Labor is entitled to judicial enforcement of a
subpoena
duces tecum issued by him pursuant to § 9 of
the Fair Labor Standards Act in the course of an investigation
conducted pursuant to §11(a) of the Act, without a prior
adjudication that the industry or activity sought to be
investigated is covered by the provisions of the Act. Pp.
327 U. S. 209,
327 U. S.
214.
(a) Congress has authorized the Administrator, rather than the
district courts in the first instance, to determine the question of
coverage in the preliminary investigation of possible violations of
the Fair Labor Standards Act; in doing so, to exercise his subpoena
power for securing evidence upon that question by obtaining the
production of relevant books, records and papers; and, in case of
refusal to obey his subpoena, to have the aid of the district
courts in enforcing it. P.
327 U. S. 214.
(b) The explicit language of §§ 9 and 11(a) of the Act
leaves no room to doubt that the intent of Congress, in authorizing
investigations
Page 327 U. S. 188
supported by subpoenas and enforcement orders, was to enable the
Administrator to discover and procure evidence, not to prove a
pending charge or complaint, but to enable him to make one if, in
his judgment, the facts thus discovered should justify doing so.
Pp.
327 U. S. 194,
327 U. S. 197,
327 U. S. 201,
327 U. S.
214.
(c) Since there has been no change in the language of the
statute, expressions in committee reports on subsequent
appropriations, coming largely from one house of Congress, can not
be held to change or qualify the plain and unambiguous wording of
the statute. P.
327 U. S. 197,
n. 20.
6. In § 9 of the Federal Trade Commission Act (incorporated
in § 9 of the Fair Labor Standards Act), which authorizes the
Administrator to invoke the aid of the court "in case of
disobedience of the subpoena" and authorizes the court to give
assistance "in case of contumacy or refusal to obey a subpoena,"
Congress made no express requirement of any showing of "probable
cause"; and any possible constitutional requirement of that sort
was satisfied when the Administrator, in invoking the aid of a
court to enforce a subpoena against a corporation, set forth that
it was a newspaper publisher, that the Administrator had reason to
believe it was violating the Act, that it was "engaged in commerce
and in the production of goods for commerce," that he was
proceeding with his investigation in accordance with the mandate of
Congress, and that the specified records sought were relevant for
that purpose. P.
327 U. S.
215.
7. The Administrator's investigative function, in searching out
violations with a view to enforcing the Act, is essentially the
same as the grand jury's or the court's in issuing other pretrial
orders for the discovery of evidence, and is governed by the same
limitations -- that he shall not act arbitrarily or in excess of hi
statutory authority. P.
327 U. S.
216.
147 F.2d 658; 148 F.2d 57, affirmed.
No. 61. Upon application of the Administrator of the Wage and
Hour Division of the Department of Labor, a district court issued
an order directing that he be given access to certain documents and
records of a newspaper publishing corporation, pursuant to
§§ 9 and 11(a) of the Fair Labor Standards Act. 7 Wage
Hour Rep. 656. The circuit court of appeals affirmed. 147 F.2d 658.
This Court granted certiorari. 325 U.S. 845.
Affirmed, p.
327 U. S.
218.
Page 327 U. S. 189
MR. JUSTICE RUTLEDGE delivered the opinion of the Court.
These cases bring for decision important questions concerning
the Administrator's right to judicial enforcement of subpoenas
duces tecum issued by him in the course of investigations
conducted pursuant to § 11(a) of the Fair Labor Standards Act,
52 Stat. 1060. His claim is founded directly upon § 9, which
incorporates the enforcement provisions of §§ 9 and 10 of
the Federal Trade Commission Act, 38 Stat. 717. [
Footnote 1] The subpoenas sought the
production of specified records to determine whether petitioners
were violating the Fair Labor Standards Act, including records
relating to coverage. Petitioners, newspaper publishing
corporations, maintain that the Act is not applicable to them, for
constitutional and other reasons, and insist that the question of
coverage must be adjudicated before the subpoenas may be
enforced.
Page 327 U. S. 190
In No. 61, involving the Oklahoma Press Publishing Company, the
Circuit Court of Appeals for the Tenth Circuit has rejected this
view, holding that the Administrator was entitled to enforcement
upon showing of "probable cause," which it found had been made. 147
F.2d 658. Accordingly it affirmed the District Court's order
directing that the Administrator be given access to the records and
documents specified. [
Footnote
2]
In No. 63, the Circuit Court of Appeals for the Third Circuit
likewise rejected the company's position, one judge dissenting on
the ground that probable cause had not been shown. 148 F.2d 57. It
accordingly reversed the District Court's order of dismissal in the
proceeding to show cause, which in effect denied enforcement for
want of a showing of coverage.
Application of Walling, 49
F. Supp. 659. [
Footnote 3]
The
Page 327 U. S. 191
Court of Appeals thought that requiring the Administrator
"to make proof of coverage would be to turn the proceeding into
a suit to decide a question which must be determined by the
Administrator in the course of his investigation"
(148 F.2d 60), and relied upon
Endicott Johnson Corp. v.
Perkins, 317 U. S. 501, as
being persuasive that this could not be done. Regarding the
subpoena as containing no unreasonable demand, it conceived the
return and affidavits filed by the company, together with the
Administrator's allegations of coverage, [
Footnote 4] as a showing sufficient to require
enforcement. Hence, it directed that the District Court's
discretion be exercised with that effect.
Because of the importance of the issues for administration of
the Act and also on account of the differences in the grounds for
the two decisions, as well as between them
Page 327 U. S. 192
and decisions from other circuits, [
Footnote 5] certiorari was granted in both cases. 325 U.S.
845.
The issues have taken wide range. They are substantially the
same in the two causes, except in one respect to be noted.
[
Footnote 6] In addition to an
argument from Congress' intent, reliance falls upon various
constitutional provisions, including the First, Fourth and Fifth
Amendments, as well as the limited reach of the commerce clause, to
show that the Administrator's conduct and the relief he seeks are
forbidden.
I
Coloring almost all of petitioners' position, as we understand
them, is a primary misconception that the First Amendment knocks
out any possible application of the Fair Labor Standards Act to the
business of publishing and distributing newspapers. The argument
has two prongs.
The broadside assertion that petitioners "could not be covered
by the Act," for the reason that "application of this Act to its
newspaper publishing business would violate its rights as
guaranteed by the First Amendment," is
Page 327 U. S. 193
without merit.
Associated Press v. Labor Board,
301 U. S. 103, and
Associated Press v. United States, 326 U. S.
1;
Mabee v. White Plains Pub. Co., 327 U.
S. 178. [
Footnote 7]
If Congress can remove obstructions to commerce by requiring
publishers to bargain collectively with employees and refrain from
interfering with their rights of self-organization, matters closely
related to eliminating low wages and long hours, Congress likewise
may strike directly at those evils when they adversely affect
commerce.
United States v. Darby, 312 U.
S. 100,
312 U. S.
116-117. The Amendment does not forbid this or other
regulation which ends in no restraint upon expression or in any
other evil outlawed by its terms and purposes. [
Footnote 8]
Petitioners' narrower argument, of allegedly invalid
classification, [
Footnote 9]
arises from the statutory exemptions and may be shortly dismissed.
The intimation that the Act falls by reason of the exclusion of
seamen, farm workers and others by § 13(a) is hardly more than
a suggestion, and is dismissed accordingly.
Cf. Buck v.
Bell, 274 U. S. 200,
274 U. S. 208. The
contention drawn from the exemption of employees of small
newspapers by § 13(a)(8) deserves only slightly more
attention. [
Footnote 10] It
seems to be two-fold,
Page 327 U. S. 194
that the amendment forbids Congress to "regulate the press by
classifying it" at all and in any event that it cannot use volume
of circulation or size as a factor in the classification. [
Footnote 11]
Reliance upon
Grosjean v. American Press Co.,
297 U. S. 233, to
support these claims is misplaced. There the state statute singled
out newspapers for special taxation and was held in effect to
graduate the tax in accordance with volume of circulation. Here
there was no singling out of the press for treatment different from
that accorded other business in general. Rather the Act's purpose
was to place publishers of newspapers upon the same plane with
other businesses and the exemption for small newspapers had the
same object. 83 Cong.Rec. 7445. Nothing in the
Grosjean
case forbids Congress to exempt some publishers because of size
from either a tax or a regulation which would be valid if applied
to all.
What has been said also disposes of the contention drawn from
the scope of the commerce power and its applicability to the
publishing business considered independently of the Amendment's
influence.
Associated Press v. Labor Board, supra; Associated
Press v. United States, supra.
II
Other questions pertain to whether enforcement of the subpoenas
as directed by the Circuit Courts of Appeals will violate any of
petitioners' rights secured by the Fourth
Page 327 U. S. 195
Amendment and related issues concerning Congress' intent. It is
claimed that enforcement would permit the Administrator to conduct
general fishing expeditions into petitioners' books, records and
papers, in order to secure evidence that they have violated the
Act, without a prior charge or complaint and simply to secure
information upon which to base one, all allegedly in violation of
the Amendment's search and seizure provisions. Supporting this is
an argument that Congress did not intend such use to be made of the
delegated power, which rests in part upon asserted constitutional
implications, but primarily upon the reports of legislative
committees, particularly in the House of Representatives, made in
passing upon appropriations for years subsequent to the Act's
effective date. [
Footnote
12]
The short answer to the Fourth Amendment objections is that the
records in these cases present no question of actual search and
seizure, but raise only the question whether orders of court for
the production of specified records have been validly made; and no
sufficient showing appears to justify setting them aside. [
Footnote 13] No officer or other
person has sought to enter petitioners' premises against their
will, to search them, or to seize or examine their books, records
or papers without their assent, otherwise than pursuant to orders
of court authorized by law and made after adequate opportunity to
present objections, which in fact were made. [
Footnote 14] Nor has any objection been taken to
the breadth of the subpoenas or to any other specific defect which
would invalidate them. [
Footnote
15]
Page 327 U. S. 196
What petitioners seek is not to prevent an unlawful search and
seizure. It is, rather, a total immunity to the Act's provisions,
applicable to all others similarly situated, requiring them to
submit their pertinent records for the Administrator's inspection
under every judicial safeguard, after and only after an order of
court made pursuant to and in exact compliance with authority
granted by Congress. This broad claim of immunity no doubt is
induced by petitioners' First Amendment contentions. But, beyond
them, it is rested also upon conceptions of the Fourth Amendment
equally lacking in merit.
Petitioners' plea that the Fourth Amendment places them so far
above the law that they are beyond the reach of congressional and
judicial power as those powers have been exerted here only raises
the ghost of controversy long since settled adversely to their
claim. [
Footnote 16] They
have advanced no claim founded on the Fifth Amendment's somewhat
related guaranty against self-incrimination, whether or not for the
sufficient reason, among others, that this privilege gives no
protection to corporations or their officers against the production
of corporate records pursuant to lawful judicial order, which is
all these cases involve. [
Footnote 17]
The cited authorities would be sufficient to dispose of the
Fourth Amendment argument, and more recent decisions confirm their
ruling. [
Footnote 18]
Petitioners, however, are insistent, in their contrary views, both
upon the constitutional phases and in their asserted bearing upon
the intention of Congress. While we think those views reflect a
confusion not justified by the actual state of the decisions, the
confusion has acquired some currency, as the
Page 327 U. S. 197
divided state of opinion among the circuits shows. [
Footnote 19] Since the matter is of
some importance, in order to remove any possible basis for like
misunderstanding in the future, we give more detailed consideration
to the views advanced and to the authorities than would otherwise
be necessary.
There are two difficulties with petitioners' theory concerning
the intent of Congress. One is that the argument from the so-called
legislative history flies in the face of the powers expressly
granted to the Administrator and the courts by §§ 9 and
11(a), so flatly that to accept petitioners' view would largely
nullify them. [
Footnote 20]
Furthermore, the excerpted history from the later appropriation
matters does not give the full story, and, when that is considered,
the claimed interpretation is not made out, regardless of its
retrospective aspect. [
Footnote
21] Moreover, the
Page 327 U. S. 198
statute's language leaves no room to doubt that Congress
intended to authorize just what the Administrator did and sought to
have the courts do. [
Footnote
22]
Section 11(a) expressly
Page 327 U. S. 199
authorizes the Administrator to
"enter and inspect such places and such records (and make such
transcriptions thereof), question such employees, and investigate
such facts, conditions, practices, or matters as he may deem
appropriate to determine whether any person has violated any
provision of this Act, or which may aid in the enforcement of the
provisions of this Act. [
Footnote 23]"
The subpoena power conferred by § 9 (through adoption of
§ 9 of the Federal Trade Commission Act) is
Page 327 U. S. 200
given in aid of this investigation and, in case of disobedience,
the District Courts are called upon to enforce the subpoena through
their contempt powers, [
Footnote
24] without express condition requiring showing of coverage.
[
Footnote 25]
Page 327 U. S. 201
In view of these provisions, with which the Administrator's
action was in exact compliance, this case presents an instance of
"the most explicit language" [
Footnote 26] which leaves no room for questioning
Congress' intent. The very purpose of the subpoena and of the
order, as of the authorized investigation, is to discover and
procure evidence, not to prove a pending charge or complaint, but
upon which to make one if, in the Administrator's judgment, the
facts thus discovered should justify doing so.
Accordingly, if §§ 9 and 11(a) are not to be construed
as authorizing enforcement of the orders, it must be, as
petitioners say, because this construction would make them so
dubious constitutionally as to compel resort to an interpretation
which saves, rather than to one which destroys or is likely to do
so. The Court has adopted this course at least once in this type of
case. [
Footnote 27] But, if
the same course is followed here, the judgments must be reversed
with the effect of cutting squarely into the power of Congress. For
to deny the validity of the orders would be in effect to deny not
only Congress' power to enact the provisions sustaining them, but
also its authority to delegate effective power to investigate
violations of its own laws, if not perhaps also its own power to
make such investigations.
Page 327 U. S. 202
III
The primary source of misconception concerning the Fourth
Amendment's function lies perhaps in the identification of cases
involving so-called "figurative" or "constructive" search with
cases of actual search and seizure. [
Footnote 28] Only in this analogical sense can any
question related to search and seizure be thought to arise in
situations which, like the present ones, involve only the validity
of authorized judicial orders.
The confusion is due in part to the fact that this is the very
kind of situation in which the decisions have moved with variant
direction, although without actual conflict when all of the facts
in each case are taken into account. Notwithstanding this, emphasis
and tone at times are highly contrasting, with consequent overtones
of doubt and confusion for validity of the statute or its
application. The subject matter perhaps too often has been
generative of heat, rather than light, for the border along which
the cases lie is one where government intrudes upon different areas
of privacy, and the history of such intrusions has brought forth
some of the stoutest and most effective
Page 327 U. S. 203
instances of resistance to excess of governmental authority.
[
Footnote 29]
The matter of requiring the production of books and records to
secure evidence is not as one-sided, in this kind of situation, as
the most extreme expressions of either emphasis would indicate.
With some obvious exceptions, there has always been a real problem
of balancing the public interest against private security. The
cases for protection of the opposing interests are stated as
clearly as anywhere, perhaps, in the summations, quoted in the
margin, [
Footnote 30] of two
former members of this Court, each of
Page 327 U. S. 204
whom was fully alive to the dual necessity of safeguarding
adequately the public and the private interest. But emphasis has
not always been so aptly placed.
The confusion, obscuring the basic distinction between actual
and so-called "constructive" search has been accentuated where the
records and papers sought are of corporate character, as in these
cases. Historically, private corporations have been subject to
broad visitorial power, both in England and in this country. And it
long has been established that Congress may exercise wide
investigative power over them, analogous to the visitorial power of
the incorporating state, [
Footnote 31] when their activities take place within or
affect interstate commerce. [
Footnote 32] Correspondingly,
Page 327 U. S. 205
it has been settled that corporations are not entitled to all of
the constitutional protections which private individuals have in
these and related matters. As has been noted, they are not at all
within the privilege against self-incrimination, although this
Court more than once has said that the privilege runs very closely
with the Fourth Amendment's search and seizure provisions.
[
Footnote 33] It is also
settled that an officer of the company cannot refuse to produce its
records in his possession upon the plea that they either will
incriminate him or may incriminate it. [
Footnote 34] And, although the Fourth Amendment has
been
Page 327 U. S. 206
held applicable to corporations [
Footnote 35] notwithstanding their exclusion from the
privilege against self-incrimination, the same leading case of
Wilson v. United States, 221 U. S. 361,
distinguishing the earlier quite different one of
Boyd v.
United States, 116 U. S. 616,
[
Footnote 36] held the
process not invalid under the Fourth Amendment, although it broadly
required the production of copies of letters and telegrams
"signed or purport[ed] to be signed by the president of said
company during the month[s] of May and June, 1909, in regard to an
alleged violation of the statutes of the United States by C. C.
Wilson."
221 U.S. at
221 U. S. 368,
221 U. S.
375.
The
Wilson case has set the pattern of later decisions
and has been followed without qualification of its ruling.
[
Footnote 37] Contrary
suggestions or implications may be explained as dicta; [
Footnote 38] or by virtue of the
presence of an actual illegal search and seizure, the effects of
which the Government sought later to overcome by applying the more
liberal doctrine
Page 327 U. S. 207
devolved in relation to "constructive search"; [
Footnote 39] or by the scope of the
subpoena in calling for documents so broadly or indefinitely that
it was thought to approach in this respect the character of a
general warrant or writ of assistance, odious in both English and
American history. [
Footnote
40] But no case has been cited or found in which,
Page 327 U. S. 208
upon similar facts, the
Wilson doctrine has not been
followed. Nor in any has Congress been adjudged to have exceeded
its authority, with the single exception of
Boyd v. United
States, supra, which differed from both the
Wilson
case and the present ones in providing a drastically incriminating
method of enforcement [
Footnote
41] which was applied to the production of partners' business
records. Whatever limits there may be to congressional power to
provide for the production of corporate or other business records,
therefore, they are not to be found, in view of the course of prior
decisions, in any such absolute or universal immunity as
petitioners seek.
Without attempt to summarize or accurately distinguish all of
the cases, the fair distillation, insofar as they apply merely to
the production of corporate records and papers in response to a
subpoena or order authorized by law and safeguarded by judicial
sanction, seems to be that the Fifth Amendment affords no
protection by virtue of the self-incrimination provision, whether
for the corporation or for its officers; and the Fourth, if
applicable, at the most guards against abuse only by way of too
much indefiniteness or breadth in the things required to be
"particularly described," if also the inquiry is one the demanding
agency is authorized by law to make and the materials specified are
relevant. The gist of the protection is in the requirement,
expressed in terms, that the disclosure sought shall not be
unreasonable.
As this has taken from in the decisions, the following specific
results have been worked out. It is not necessary,
Page 327 U. S. 209
as in the case of a warrant, that a specific charge or complaint
of violation of law be pending or that the order be made pursuant
to one. It is enough that the investigation be for a lawfully
authorized purpose, within the power of Congress to command. This
has been ruled most often perhaps in relation to grand jury
investigations, [
Footnote
42] but also frequently in respect to general or statistical
investigations authorized by Congress. [
Footnote 43] The requirement of "probable cause,
supported by oath or affirmation" literally applicable in the case
of a warrant is satisfied, in that of an order for production, by
the court's determination that the investigation is authorized by
Congress, is for a purpose Congress can order, and the documents
sought are relevant to the inquiry. [
Footnote 44] Beyond this, the requirement of
reasonableness, including particularity in "describing the place to
be searched, and the persons or things to be seized," also
literally applicable to warrants, comes down to specification of
the documents to be produced adequate, but not excessive, for the
purposes of the relevant inquiry. Necessarily, as has been said,
this cannot be reduced to formula, for relevancy and adequacy or
excess in the breadth of the subpoena are matters variable in
relation to the nature, purposes and scope of the inquiry.
[
Footnote 45]
When these principles are applied to the facts of the present
cases, it is impossible to conceive how a violation of petitioners'
rights could have been involved. Both
Page 327 U. S. 210
were corporations. The only records or documents sought were
corporate ones. No possible element of self-incrimination was
therefore presented, or in fact claimed. All the records sought
were relevant to the authorized inquiry, [
Footnote 46] the purpose of which was to determine two
issues, whether petitioners were subject to the Act and, if so,
whether they were violating it. These were subjects of
investigation authorized by § 11(a), the latter expressly, the
former by necessary implication. [
Footnote 47] It is not to be doubted that Congress could
authorize investigation of these matters. In all these respects,
[
Footnote 48] the
specifications
Page 327 U. S. 211
more than meet the requirements long established by many
precedents.
More recent confirmation of those rulings may be found in
Endicott Johnson Corp. v. Perkins, supra, and
Myers v.
Bethlehem Corp., 303 U. S. 41. It is
true that these cases involved different statutes substantially and
procedurally. But, notwithstanding the possible influence of the
doctrine of governmental immunity to suit in the
Endicott
Johnson case, it would be anomalous to hold that, under the
Walsh-Healy Act, 49 Stat. 2036, the District Court was not
authorized to decide the question of coverage or, on the basis of
its adverse decision, to deny enforcement to the Secretary's
subpoena seeking relevant evidence on that question, because
Congress had committed its initial determination to him; and at the
same time to rule that Congress could not confer the same power
upon the Administrator with reference to violations of the Fair
Labor Standards Act. [
Footnote
49] The question at issue is not in either case the nature of
the legal obligation violation of which the evidence is sought to
show. It is rather whether evidence relevant to the violation,
whatever the obligation's character, can be drawn forth by the
exercise of the subpoena power.
The
Myers case did not involve a subpoena
duces
tecum, but was a suit to enjoin the National Labor Relations
Board from holding a hearing upon a complaint against an employer
alleged to be engaged in unfair labor practices forbidden by the
Wagner Act, 49 Stat. 449. The hearing required an investigation and
determination of coverage, involving as in this case the question
whether the company was engaged in commerce. It denied this upon
allegations thought to sustain the denial, as well as
Page 327 U. S. 212
the futility, expensiveness and vexatious character of the
hearing to itself. [
Footnote
50] This Court held that the District Court was without
jurisdiction to enjoin the hearing. Regarding as appropriate the
procedure before the Board and as adequate the provisions for
judicial review of its action, including its determination of
coverage, the Court sustained the exclusive jurisdiction of the
Board, and of the Court of Appeals upon review, to determine that
question, with others committed to their judgment, in the statutory
proceeding for determining whether violations of the Act exist. The
opinion referred to the Board's subpoena power, also to its
authority to apply to a District Court for enforcement, and stated
that, "to such an application, appropriate defense may be made."
But the decision's necessary effect was to rule that it was not "an
appropriate defense" that coverage had not been determined prior to
the hearing or, it would seem necessarily to follow, prior to the
Board's preliminary investigation of violation. If this is true in
the case of the Board, it would seem to be equally true in that of
the Administrator. [
Footnote
51]
Page 327 U. S. 213
In these results under the later as well as the earlier
decisions, the basic compromise has been worked out in a manner to
secure the public interest and at the same time to guard the
private ones affected against the only abuses from which protection
rightfully may be claimed. The latter are not identical with those
protected against invasion by actual search and seizure, nor are
the threatened abuses the same. They are, rather, the interests of
men to be free from officious intermeddling, whether because
irrelevant to any lawful purpose or because unauthorized by law,
concerning matters which on proper occasion and within lawfully
conferred authority of broad limits are subject to public
examination in the public interest. Officious examination can be
expensive, so much so that it eats up men's substance. It can be
time-consuming, clogging the processes of business. It can become
persecution when carried beyond reason.
On the other hand, petitioners' view, if accepted, would stop
much if not all of investigation in the public interest at the
threshold of inquiry and, in the case of the Administrator, is
designed avowedly to do so. This would render substantially
impossible his effective discharge of the duties of investigation
and enforcement which Congress has placed upon him. And if his
functions could be thus blocked, so might many others of equal
importance.
Page 327 U. S. 214
We think, therefore, that the Courts of Appeals were correct in
the view that Congress has authorized the Administrator, rather
than the District Courts in the first instance, to determine the
question of coverage in the preliminary investigation of possibly
existing violations; in doing so to exercise his subpoena power for
securing evidence upon that question, by seeking the production of
petitioners' relevant books, records and papers; and, in case of
refusal to obey his subpoena, issued according to the statute's
authorization, to have the aid of the District Court in enforcing
it. No constitutional provision forbids Congress to do this. On the
contrary, its authority would seem clearly to be comprehended in
the "necessary and proper" clause, as incidental to both its
general legislative and its investigative powers.
IV
What has been said disposes of petitioners' principal contention
upon the sufficiency of the showing. Other assignments, however,
present the further questions whether any showing is required
beyond the Administrator's allegations of coverage and relevance of
the required materials to that question, and, if so, of what
character. Stated otherwise, they are whether the court may order
enforcement only upon a finding of "probable cause," that is,
probability in fact, of coverage, as was held by the Court of
Appeals for the Tenth Circuit in No. 61, following the lead of the
Eighth Circuit in
Walling v. Benson, 137 F.2d 501, or may
do so upon the narrower basis accepted by the Third Circuit in No.
63.
The showing in No. 61 was clearly sufficient to constitute
"probable cause" in this sense under conceptions of coverage
prevailing at the time of the hearing, [
Footnote 52] whether
Page 327 U. S. 215
or not that showing was necessary. Accordingly the judgment in
that case must be affirmed.
In No. 63, the showing was less extensive, and it is doubtful
that it would constitute "probable cause" of coverage as that term
was used in the decisions from the Tenth and Eighth Circuits.
[
Footnote 53] The Court of
Appeals for the Third Circuit did not so label it, but held the
showing sufficient.
Congress has made no requirements in terms of any showing of
"probable cause", [
Footnote
54] and, in view of what has already been said, any possible
constitutional requirement
Page 327 U. S. 216
of that sort was satisfied by the Administrator's showing in
this case, including not only the allegations concerning coverage,
but also that he was proceeding with his investigation in
accordance with the mandate of Congress and that the records sought
were relevant to that purpose. Actually, in view of today's ruling
in
Mabee v. White Plains Pub. Co., supra, the showing
here, including the facts supplied by the response, was sufficient
to establish coverage itself, though that was not required.
The result therefore sustains the Administrator's position that
his investigative function, in searching out violations with a view
to securing enforcement of the Act, is essentially the same as the
grand jury's, or the court's in issuing other pretrial orders for
the discovery of evidence, [
Footnote 55] and is governed by the same limitations.
These are that he shall not act arbitrarily or in excess of his
statutory authority, but this does not mean that his inquiry must
be "limited . . . by . . . forecasts of the probable result of the
investigation. . . ."
Blair v. United States, 250 U.
S. 273,
250 U. S. 282;
cf. Hale v. Henkel, 201 U. S. 43. Nor
is the judicial function either abused or abased, as has been
suggested, [
Footnote 56] by
leaving to it the determination of the
Page 327 U. S. 217
important questions which the Administrator's position concedes
the courts may decide. [
Footnote
57]
Petitioner stress that enforcement will subject them to
inconvenience, expense and harassment. That argument is answered
fully by what was said in
Myers v. Bethlehem Corp.
[
Footnote 58] There is no
harassment when the subpoena is issued and enforced according to
law. The Administrator is authorized to enter and inspect, but the
Act makes his right to do so subject in all cases to judicial
supervision. Persons from whom he seeks relevant information are
not required to submit to his demand, if in any respect it is
unreasonable or overreaches the authority Congress has given. To it
they may make "appropriate defense" surrounded by every safeguard
of judicial restraint. In view of these safeguards, the expressed
fears of unwarranted intrusions upon personal liberty are effective
only to recall Mr. Justice Cardozo's reply to the same exaggerated
forebodings in
Jones v. Securities & Exchange
Commission: "Historians may find hyperbole in the sanguinary
simile." [
Footnote 59]
Nor is there room for intimation that the Administrator has
proceeded in these cases in any manner contrary to
Page 327 U. S. 218
petitioners' fundamental rights or otherwise than strictly
according to law. It is to be remembered that petitioners' are not
the only rights which may be involved or threatened with possible
infringement. Their employees' rights and the public interest under
the declared policy of Congress also would be affected if
petitioners should enjoy the practically complete immunity they
seek.
No sufficient reason was set forth in the returns or the
accompanying affidavits for not enforcing the subpoenas, a burden
petitioners were required to assume in order to make "appropriate
defense."
Accordingly the judgments in both causes, No. 61 and No. 63,
are
Affirmed.
MR. JUSTICE JACKSON took no part in the consideration or
decision of these cases.
* Together with No. 63
News Printing Co., Inc. v. Wallin,
Wage and Hour Administrator, on certiorari to the Circuit
Court of Appeals for the Third Circuit. Argued and decided on the
same dates.
[
Footnote 1]
The pertinent portions of these various statutory provisions are
set forth in notes
23 and |
23 and S.
186fn24|>24.
[
Footnote 2]
[
Footnote 3]
In No. 63, as in No. 61, an order to show cause issued on filing
of the application. Upon return made, which included affidavits
attached as exhibits, the Court rendered its opinion and entered
its order dismissing the proceedings, stating, however, that, since
the Administrator "has not had opportunity sufficiently to argue
the question of coverage, that matter is left to such further
proceedings as may be appropriate. . . ." 49 F. Supp. 659, 661. The
opinion, noting that to deny enforcement "would be to divide
proceedings into two distinct stages," one "concerning the presence
of "Commerce" and the other to determine other elements of
violation," went on to say:
"There would seem to be no compelling reason why such should not
be the case, for if the act does not apply to a certain business or
part of an industry, it would seem to follow that the provisions of
the Act should not be applied thereto. . . ."
49 F.Supp. at page 660.
[
Footnote 4]
See note 53 The
allegations of coverage in both applications were made upon
information and belief, and were general, rather than specific or
evidentiary, in character. Each application set forth that the
respondent was engaged in the business of publishing a newspaper or
newspapers, and, by virtue of that activity, was engaged in
interstate commerce or in the production of goods for such commerce
within the meaning of the Act.
In No. 61, the further allegations appeared that, in the course
of its business, the company
"receives and sends daily news, intelligence, and communications
in interstate commerce, and transports, ships and delivers goods
produced by it from points within"
to points outside Oklahoma; and that the Administrator, "having
reasonable grounds to believe that the company" was violating
specified sections of the Act, entered to make an investigation as
provided in § 11(a), was refused permission to inspect
records, etc.
Apart from one affidavit filed by the Administrator in No. 61
setting forth the circumstances of the company's failure to appear
in response to the subpoena, no other facts, beyond the allegations
of the application, were submitted by him in either case. The
companies, however, filed affidavits in both proceedings, which
supplied additional facts, as well as the affiants' conclusions,
concerning coverage.
See text,
327 U.
S. at notes
52
53
[
Footnote 5]
[
Footnote 6]
See 327 U. S.
[
Footnote 7]
See also Sun Publishing Co. v. Walling, 140 F.2d 445;
Fleming v. Lowell Sun Co., 36 F.
Supp. 320,
reversed on other grounds, 120 F.2d 213,
affirmed, 315 U.S. 784.
[
Footnote 8]
No question is presented whether Congress could enforce its
mandate by excluding from commerce the circulation of a publisher
refusing to conform.
Cf. Sun Publishing Co. v. Walling,
140 F.2d 445, 449.
[
Footnote 9]
Since the Fifth Amendment, unlike the Fourteenth, contains no
"equal protection" clause petitioners burden due process with this
duty here.
[
Footnote 10]
The provision is as follows:
"Sec. 13(a). The provisions of sections 6 and 7 shall not apply
with respect to . . . (8) any employee employed in connection with
the publication of any weekly or semiweekly newspaper with a
circulation of less than three thousand the major part of which
circulation is within the county where printed or published."
The exemption shows conclusively that Congress intended the Act
to apply to employees of publishers not within the terms of the
exemption.
[
Footnote 11]
To support these views, petitioners give interesting statistics
concerning the total number of papers in the country, the number
published daily, daily and Sunday, weekly, semiweekly and
triweekly, and the number in each group having more or less than
3,000 circulation.
[
Footnote 12]
See note 21 The
Act became effective June 25, 1938.
[
Footnote 13]
As to the sufficiency of the showing,
see 327 U.
S.
[
Footnote 14]
Cf. notes
2
3 4 The facts in both cases show that petitioners, when
served with the subpoenas, declined to honor them upon the advice
of counsel, and thereafter the Administrator applied to the court
for enforcement in each case.
[
Footnote 15]
[
Footnote 16]
See the authorities cited in notes
31 and |
31
and S. 186fn32|>32.
[
Footnote 17]
Hale v. Henkel, 201 U. S. 43;
Wilson v. United States, 221 U. S. 361;
Essgee Co. v. United States, 262 U.
S. 151;
United States v. Bausch & Lomb Optical
Co., 321 U. S. 707,
321 U. S. 726;
cf. United States v. White, 322 U.
S. 694.
[
Footnote 18]
Endicott Johnson Corp. v. Perkins, 317 U.
S. 501;
Myers v. Bethlehem Corp., 303 U. S.
41, discussed
infra, 327 U.
S. at notes
49-51
[
Footnote 19]
Cf. note 5 and
text
[
Footnote 20]
In such a situation, without an accompanying change in the
statute's language, an expression in committee reports on
subsequent appropriations, coming largely from one house, hardly
can be held to change or qualify the plain and unambiguous wording
of the statute. Such a result would amount to retroactive amendment
by committee report, a step in construction by reference to
"prospective legislative history" not heretofore taken.
[
Footnote 21]
The controversy as to appropriations arose over the
Administrator's request for sufficient funds to allow a periodic
routine inspection of every plant that might be covered by the Act.
See Hearings before the Subcommittee of the Committee on
Appropriations of the House of Representatives on the Department of
Labor-Federal Security Agency Appropriation Bill for 1942, 77th
Cong., 1st Sess., Pt. 1, 347-350. The Senate had acceded to this
request. But the House Appropriations Committee thought the cost
unjustifiable, and therefore recommended that only enough funds be
made available to permit the Administrator to make "spot
inspections" of twenty-five percent of the plants, and also to
permit him to inspect all plants against which complaints had
actually been registered. H.R.Rep.No. 688, 77th Cong., 1st Sess.,
13, 14;
see also 87 Cong.Rec. 4629, 5682, 5683. After the
conferees had been unable to come to an agreement and the House had
instructed its conferees to insist on the smaller appropriation, 87
Cong.Rec. 5682-5686, the Senate accepted the House version of the
appropriation bill. 87 Cong.Rec. 5703.
In the following year, 1942, the House Appropriations Committee
noted with disapproval that "the spot-checking system approved by
the Congress" had not been adopted, and reiterated its desire that
the recommended procedure be followed. H.Rep.No.2200, 77th Cong.,
2d Sess., 8.
See also Hearings before the Subcommittee of
the Committee on Appropriations of the House of Representatives on
the Department of Labor-Federal Security Agency Appropriation Bill
for 1943, 77th Cong., 2d Sess., Pt. 1, 281-284;
cf.
Hearings before the Subcommittee of the Committee on Appropriations
of the House of Representatives on the Department of Labor-Federal
Security Agency Appropriation Bill for 1945, 78th Cong., 2d Sess.,
Pt. 1, 403-405.
This history falls far short of sustaining the view that
Congress had no intent, either when the statute was enacted or
later, that the Administrator should have the powers of
investigation expressly and clearly conferred upon him.
[
Footnote 22]
The sparse legislative history bearing on the question contains
nothing to the contrary. The bills originally introduced did not
incorporate §§ 9 and 10 of the Federal Trade Commission
Act, but contained substantially similar provisions. S. 2475, 75th
Cong., 1st Sess., § 15, 81 Cong.Rec. 4961; H.R.7200, 75th
Cong., 1st Sess., § 15, 81 Cong.Rec. 4998. The House Committee
on Labor reported of this section (then § 12) that it
"contains the usual administrative provisions authorizing the Board
to conduct investigations, subpoena witnesses, and compel
testimony." H.Rep.No.1452, 75th Cong., 1st Sess., 18, also page 10.
The Senate Committee used the same language. Sen.Rep.No.884, 75th
Cong., 1st Sess., 8. The House bill having been recommitted to the
Committee, 82 Cong.Rec. 1834, 1835, it drafted the subpoena section
(then § 7) into essentially its present form.
See
H.R.Rep.No.2182, 75th Cong., 2d Sess., 3. 11. The only
substantially difference was that the subpoena power was given for
the purpose of any "hearing," but not for the purpose of any
"investigation." However, § 15(b) of the bills introduced in
both houses,
supra, granted the subpoena power "for the
purpose of any investigation or any other proceeding under this
Act. . . ."
And compare § 15(a). The difference was
remedied by the Senate and House conferees; for out of conference
came § 9 as it is now written. 83 Cong.Rec. 9160; 83 Cong.Rec.
9248, 9254.
See also Cudahy Packing Co. v. Holland,
315 U. S. 357,
315 U. S. 362,
note 3.
Nothing in the reports or the discussion suggests that the power
was not to be exercised, or that subpoenas issued in compliance
with the terms of the statute were not to be enforced, exactly in
accordance with the authority given.
[
Footnote 23]
Section 11(a) is as follows:
"The Administrator or his designated representatives may
investigate and gather data regarding the wages, hours, and other
conditions and practices of employment in any industry subject to
this Act, and may enter and inspect such places and such records
(and make such transcriptions thereof), question such employees,
and investigate such facts, conditions, practices, or matters as he
may deem necessary or appropriate to determine whether any person
has violated any provision of this Act, or which may aid in the
enforcement of the provisions of this Act. Except as provided in
section 12 and in subsection (b) of this section, the Administrator
shall utilize the bureaus and divisions of the Department of Labor
for all the investigations and inspections necessary under this
section. Except as provided in section 12, the Administrator shall
bring all actions under section 17 to restrain violations of this
Act."
The section thus authorizes both general and specific
investigations, one for gathering statistical information
concerning entire industries,
cf. Walling v. American Rolbal
Corp., 135 F.2d 1003, the other to discover specific
violations. The pattern has become common since its introduction
into federal law by the Interstate Commerce Commission legislation.
See the summary given as to both federal and state
instances in Handler, The Constitutionality of Investigations by
the Federal Trade Commission (1928) 28 Col.L.Rev. 708, 905, at
905-909;
see also 925-929.
[
Footnote 24]
Section 9 of the Fair Labor Standards Act reads:
"For the purpose of any hearing or investigation provided for in
this Act, the provisions of sections 9 and 10 (relating to the
attendance of witnesses and the production of books, papers, and
documents) of the Federal Trade Commission Act of September 16,
1914, as amended (U.S.C., 1934 edition, title 15, secs. 49 and 50),
are hereby made applicable to the jurisdiction, powers and duties
of the Administrator, the Chief of the Children's bureau, and the
industry committees."
Section 9 of the Federal Trade Commission Act, 38 Stat. 717,
provides that, for the purposes of the authorized investigations,
the Commission or its agents shall have access to and the right to
copy "any documentary evidence of any corporation being . . .
proceeded against," with the power to require by subpoena "the
attendance and testimony of witnesses and the production of all
such documentary evidence relating to any matter under
investigation."
The section then proceeds:
". . . in case of disobedience to a subpoena, the commission may
invoke the aid of any court of the United States in requiring the
attendance and testimony of witnesses and the production of
documentary evidence."
"Any of the district courts of the United States within the
jurisdiction of which such inquiry is carried on may, in case of
contumacy or refusal to obey a subpoena issued to any corporation
or other person, issue an order requiring such corporation or other
person to appear before the commission, or to produce documentary
evidence if so ordered, or to give evidence touching the matter in
question; and any failure to obey such order of the court may be
punished by such court as a contempt thereof."
Section 9 also contains a provision for immunity of individuals
from prosecution, penalty or forfeiture on account of testimony or
evidence produced in response to the subpoena.
Section 10 imposes criminal penalties upon
"any person who shall refuse or neglect to attend and testify,
or to answer any lawful inquiry or to produce documentary evidence,
if in his power to do so, in obedience to the subpoena or lawful
requirement of the commission."
No question is presented in these cases concerning this
provision.
[
Footnote 25]
See note 54;
also S. 214|>Part IV, at
note 54; also |
note
54; also S. 186fn24|>note 24.
[
Footnote 26]
See note 27
[
Footnote 27]
See Federal Trade Commission v. American Tobacco Co.,
264 U. S. 298,
264 U. S.
305-306, in which Mr. Justice Holmes, speaking for the
Court, said:
"Anyone who respects the spirit as well as the letter of the
Fourth Amendment would be loath to believe that Congress intended
to authorize one of its subordinate agencies to sweep all our
traditions into the fire (
Interstate Commerce Commission v.
Brimson, 154 U. S. 447,
154 U. S.
479), and to direct fishing expeditions into private
papers on the possibility that they may disclose evidence of crime.
We do not discuss the question whether it could do so if it tried,
as nothing short of the most explicit language would induce as to
attribute to congress that intent."
See also note 40
Cf. Boyd v. United States, 116 U.
S. 616;
Hale v. Henkel, 201 U.S;
Harriman
v. Interstate Commerce Commission, 211 U.
S. 407.
[
Footnote 28]
"In other words, the subpoena is equivalent to a search and
seizure and to be constitutional it must be a reasonable exercise
of the power." Lasson, Development of the Fourth Amendment to the
United States Constitution 137, citing
Interstate Commerce
Commission v. Brimson, 154 U. S. 447;
Hale v. Henkel, 201 U. S. 43,
201 U. S. 76.
Cf. Boyd v. United States, 116 U.S. at
116 U. S.
634-635 U.S. (as to which
see also notes
33 and |
33 and S. 186fn36|>36):
". . . We are further of opinion that a compulsory production of
the private books and papers of the owner of goods sought to be
forfeited . . . is the equivalent of a search and seizure -- and an
unreasonable search and seizure -- within the meaning of the Fourth
Amendment."
See also Handler, Constitutionality of Investigation of
the Federal Trade Commission (1928) 28 Col.L.Rev. 708, 905, at 909
ff., and authorities cited, characterizing the identification of an
order for production with an actual search or seizure as "the
figurative interpretation." P. 917, n. 56.
[
Footnote 29]
See, in addition to the better known accounts of writs
of assistance cited in
Goldman v. United States,
dissenting opinion, 316 U.S. at
316 U. S. 139,
note 5, Lasson, Development of the Fourth Amendment to the United
States Constitution (1937).
[
Footnote 30]
The case for protection of the public interest was stated as
follows:
"The opinion of the court reminds us of the dangers that wait
upon the abuse of power by officialdom unchained. The warning is so
fraught with truth that it can never be untimely. But timely too is
the reminder, as a host of impoverished investors will be ready to
attest, that there are dangers in untruths and half truths when
certificates masquerading as securities pass current in the market.
There are dangers in spreading a belief that untruths and half
truths, designed to be passed on for the guidance of confiding
buyers, are to be ranked as peccadillos, or even perhaps as part of
the amenities of business. . . . A Commission which is without
coercive powers, which cannot arrest or amerce or imprison though a
crime has been uncovered or even punish for contempt, but can only
inquire and report, the propriety of every question in the course
of the inquiry being subject to the supervision of the ordinary
courts of justice, is likened with denunciatory fervor to the Star
Chamber of the Stuarts. Historians may find hyperbole in the
sanguinary simile."
Mr. Justice Cardozo, with whom joined the present CHIEF JUSTICE
and Mr. Justice Brandeis, dissenting in
Jones v. Securities and
Exchange Commission, 298 U. S. 1,
298 U. S. 32-33.
See also Handler, Constitutionality of Investigations of
the Federal Trade Commission (1928) 28 Col.L.Rev. 708, 905,
particularly at 933 ff.
On the other hand, the case for protected privacy was put by Mr.
Justice Brandeis, dissenting, in
Olmstead v. United
States, 277 U. S. 438,
277 U. S.
478-479:
"The makers of our Constitution undertook to secure conditions
favorable to the pursuit of happiness. They recognized the
significance of man's spiritual nature, of his feelings and of his
intellect. They knew that only a part of the pain, pleasure and
satisfactions of life are to be found in material things. They
sought to protect Americans in their beliefs, their thoughts, their
emotions and their sensations. They conferred, as against the
government, the right to be let alone -- the most comprehensive
right and the right most valued by civilized men. To protect that
right, every unjustifiable intrusion by the government upon the
privacy of the individual, whatever the means employed, must be
deemed a violation of the Fourth Amendment. And the use, as
evidence in a criminal proceeding, of facts ascertained by such
intrusion must be deemed a violation of the Fifth."
[
Footnote 31]
Wilson v. United States, 221 U.
S. 361,
221 U. S. 382;
Hale v. Henkel, 201 U. S. 43,
201 U. S. 74-75;
The Fourth and Fifth Amendments and the Visitorial Power of
Congress over State Corporations, Note (1930) 30 Col.L.Rev.
103.
[
Footnote 32]
Ibid.; Interstate Commerce Commission v. Brimson,
154 U. S. 447;
Interstate Commerce Commission v. Baird, 194 U. S.
25;
Baltimore & Ohio R.R. v. Interstate Commerce
Commission, 221 U. S. 612;
Interstate Commerce Commission v. Goodrich Transit Co.,
224 U. S. 194;
United States v. Louisville & N. R.R., 236 U.
S. 318;
Smith v. Interstate Commerce
Commission, 245 U. S. 33;
United States v. New York Central R.R., 272 U.
S. 457;
cf., however, Harrison v. Interstate
Commerce Commission, 211 U. S. 407;
Federal Trade Commission v. Claire Furnace Co.,
274 U. S. 160.
And see Handler, Constitutionality of Investigations by
the Federal Trade Commission (1928) 28 Col.L.Rev. 708, 903.
The power is not limited to inquiring concerning matters which
Congress may regulate otherwise than by requiring the production of
information, at any rate when it is made to appear that some phase
of the activity is in commerce or affects it.
See United States
v. New York Central R.R., 272 U. S. 457,
272 U. S. 464,
and authorities cited;
Federal Trade Commission v. Claire
Furnace Co., 274 U. S. 160. Nor
must the "jurisdictional" line be drawn in such cases before the
information is called for.
Cf. Myers v. Bethlehem Corp.,
303 U. S. 41;
Handler,
op. cit. supra, at 918 ff., and authorities
cited.
[
Footnote 33]
In the leading case of
Boyd v. United States,
116 U. S. 616,
116 U. S. 630,
Mr. Justice Bradley, speaking for the Court in relation to the
compelled production of "a man's own testimony, or of his private
papers [specifically, a business invoice] to be used as evidence to
convict him of crime, or to forfeit his goods," said in a much
quoted statement: "In this regard, the fourth and fifth amendments
run almost into each other." The opinion, quoting at length from
Lord Camden's discussion in the historic case of
Entick v.
Carrington, 19 Howell's State Trials, 1029, relies strongly in
this phase upon his conjunction of the right to freedom from search
and seizure "where the law forceth evidence out of the owner's
custody by process" and the privilege against self-incrimination.
116 U.S. at
116 U. S. 629.
Cf. also the statement of Mr. Justice Brandeis quoted
supra, note 30
[
Footnote 34]
Wilson v. United States, 221 U.
S. 361;
Hale v. Henkel, 201 U. S.
43;
Interstate Commerce Commission v. Baird,
194 U. S. 25.
[
Footnote 35]
Silverthorne Lumber Co. v. United States, 251 U.
S. 385;
Hale v. Henkel, 201 U. S.
43;
Interstate Commerce Commission v. Brimson,
154 U. S. 447, 448
ff.
See also Consolidated Rendering Co. v. Vermont,
207 U. S. 541.
[
Footnote 36]
See note 33 The
ruling was limited, in view of the facts, to criminal proceedings
and proceedings for forfeiture of property. Only a single document
was called for. The vitiating element lay in the incriminating
character of the unusual provision for enforcement. The statute
provided that failure to produce might be taken as a confession of
whatever might be alleged in the motion for production.
[
Footnote 37]
See notes
31
32 40 Thus far, Congress has not seen fit to leave to
administrative officials authority to enforce subpoenas. The
pattern adopted in §§ 9 and 10 of the Federal Trade
Commission Act, of referring enforcement to the courts, has become
accepted, whether by virtue of reflections of the opinion in
Interstate Commerce Commission v. Brimson, 154 U.
S. 447, or for other reasons. The extent to which the
pattern has been adopted is summarized, partially at least, in
Handler,
op. cit. supra, at 925 ff.
[
Footnote 38]
See, for example, Essgee Co. v. United States,
262 U. S. 151.
[
Footnote 39]
E.g., in Silverthorne Lumber Co. v. United States,
251 U. S. 385,
government officers, after arresting corporate officials at their
homes, "without a shadow of authority went to the office of their
company and made a clean sweep of all the books, papers and
documents found there," taking them to the district attorney's
office, where they were photographed. After an order of court to
return the originals, but impounding the copies, subpoenas to
produce the originals were enforced by an order, the refusal to
obey which was held a contempt. The Court's strong language in
reversing this decision undoubtedly was called forth by the
Government's effort, not to say subterfuge, thus to avoid the
effects of its initial wrong.
Cf. Weeks v. United States,
232 U. S. 383;
Gouled v. United States, 255 U. S. 298.
[
Footnote 40]
Thus, the aggravating circumstance in
Federal Trade
Commission v. American Tobacco Co., 264 U.
S. 298,
cf. note 27 seems to have been the Commission's claim of "an
unlimited right of access to the respondents' papers with reference
to the possible existence of practices in violation of section 5."
264 U.S. at
264 U. S. 305.
The Court said:
"It is contrary to the first principles of justice to allow a
search through all the respondents' records,
relevant or
irrelevant, in the hope that something will turn up."
P.
264 U. S. 306.
(Emphasis added.)
Cf. Silverthorne Lumber Co. v. United States,
supra, note 39
However in
Wheeler v. United States, 226 U.
S. 478, where no element of actual search and seizure
was present, a subpoena was enforced which called for copies of all
letters and telegrams, all cash books, ledgers, journals and other
account books of the corporation covering a period of fifteen
months;
cf. Interstate Commerce Commission v. Brimson,
154 U. S. 447. And
in
Brown v. United States, 276 U.
S. 134, the subpoena called for all letters, telegrams
or copies thereof passing between a national trade association and
its members, including their officers and agents, over a period of
two and one-half years, with reference to eighteen different items.
The Court, by Mr. Justice Sutherland, said:
"The subpoena . . . specifies a reasonable period of time, and
with reasonable particularity the subjects to which the documents
called for relate. The question is ruled not by
Hale v.
Henkel, but by
Consolidated Rendering Co. v. Vermont,
207 U. S.
541,
207 U. S. 553-554, and
Wheeler v. United States,"
supra.
With reference to the breadth of the subpoena or order for
production in the scope of what is called for, in addition to the
authorities cited in this note and
note 45 see Hammond Packing Co. v. Arkansas,
212 U. S. 322;
United States v. Bausch & Lomb Optical Co.,
321 U. S. 707;
Handler,
op. cit. supra, at 913 ff.
[
Footnote 41]
See note 36
[
Footnote 42]
E.g., Hale v. Henkel, 201 U. S. 43;
Wilson v. United States, 221 U. S. 361,
221 U. S.
372.
[
Footnote 43]
Smith v. Interstate Commerce Commission, 245 U. S.
33;
Baltimore & Ohio R.R. v. Interstate Commerce
Commission, 221 U. S. 612;
cf. Interstate Commerce Commission v. Goodrich Transit
Co., 224 U. S. 194;
Harriman v. Interstate Commerce Commission, 211 U.
S. 407,
211 U. S. 419.
And see Handler,
op. cit. supra, 918 ff.
[
Footnote 44]
Cf. the authorities cited in notes
42 and |
42
and S. 186fn43|>43.
[
Footnote 45]
[
Footnote 46]
The subpoena in No. 61 called for production of:
"All of your books, papers and documents showing the hours
worked by and wages paid to each of your employees between October
28, 1938, and the date hereof, including all payroll ledgers, time
sheets, time cards and time clock records, and all your books,
papers and documents showing the distribution of papers outside the
State of Oklahoma, the dissemination of news outside the State of
Oklahoma, the source and receipt of news from outside the State of
Oklahoma, and the source and receipt of advertisements of
nationally advertised goods."
The specification in No. 63 was substantially identical except
for the period of time covered by the demand.
[
Footnote 47]
[
Footnote 48]
The description was made with all of the particularity the
nature of the inquiry and the Administrator's situation would
permit.
See note 46
The subpoenas were limited to the books, papers and documents of
the respective corporations, to which alone they were addressed.
They required production at specified times and places in the
cities of publication and stated the purpose of the investigation
to be one affecting the respondent, pursuant to the provisions of
§§ 9 and 11(c), "regarding complaints of violations by
said company of Sections 6, 7, 11(c), 15(a), 15(a)(2) and 15(a)(5)
of the Act."
Cf. the authorities cited in notes
32 and |
32 and S. 186fn45|>45.
[
Footnote 49]
This Court, in granting certiorari in the
Endicott
Johnson case, did so, among other reasons, "because of
probable conflict with"
General Tobacco & Grocery Co. v.
Fleming, 125 F.2d 596, a case arising under the Fair Labor
Standards Act. 317 U.S. at 502.
[
Footnote 50]
To the argument of "irreparable damage," the Court said:
"The contention is at war with the long-settled rule of judicial
administration that no one is entitled to judicial relief for a
supposed or threatened injury until the prescribed administrative
remedy has been exhausted. . . . Obviously, the rule . . . cannot
be circumvented by asserting that the charge on which the complaint
rests is groundless and that the mere holding of the prescribed
administrative hearing would result in irreparable damage. Lawsuits
also often prove to have been groundless; but no way has been
discovered of relieving a defendant from the necessity of a trial
to establish the fact."
303 U.S. at
303 U. S.
50.
[
Footnote 51]
It is true that, in the
Myers situation, the Board's
determination is
quasi-judicial, is given finality as to
the facts if there is evidence to sustain its findings, National
Labor Relations Act, § 10(e), (49 Stat. 454), and is expressly
made exclusive,
ibid., § 10(a), whereas, in the
situations now presented, the Administrator's investigation is only
preliminary to instituting proceedings in court, and thus has none
of the finality or
quasi-judicial character given to the
Board's determination. But, as the Court noted, the Board also had
preliminary investigative authority, incidental to preparation for
the hearing, to which its subpoena power applies, National Labor
Relations Act, § 11 (49 Stat. 455, 456); and, as we have said,
if the courts are forbidden to determine coverage prior to the
Board's
quasi-judicial proceeding for deciding that
question, it would seem necessarily to follow that they are
forbidden also to decide it prior to the Board's preliminary
investigation to determine whether the proceeding shall be
instituted.
The mere fact that the first stage of formal adjudication is
administrative in the one case and judicial in the other would seem
to make no difference with the power of Congress to authorize
either the preliminary investigation or the use of the subpoena
power in aid of it.
[
Footnote 52]
The evidence that the company or its employees were engaged the
commerce, etc., was supplied largely by it in the return to the
rule to show cause and the supporting affidavits, consisting of
admissions and statements of fact concerning its modes of doing
business. The admissions obviously were made upon petitioner's
broad theory that the publishing business is not subject to the Act
or to the commerce power. But those conclusions do not nullify the
factual character of the admissions, and, so taken, they adequately
sustain the appellate court's conclusion of "probable cause" of
coverage.
[
Footnote 53]
See notes
3
4 The Administrator's
allegations, more general than in No. 61, merely set forth that the
company was a newspaper publisher, that the Administrator had
reason to believe it was violating the Act, and that it was
"engaged in commerce and in the production of goods for commerce."
This conclusion was denied. The admissions of the return, including
the affidavits, supplied only the pertinent facts in relation to
coverage that the respondent, News Printing Co., was engaged in the
business of publishing and distributing the "Paterson Evening
News," a daily paper, that less than one per cent of its
circulation of more than 23,000 copies, or a daily average of 278
copies, was distributed outside New Jersey, where the paper was
published, and that the business was conducted in the same manner
as other "local" papers according to the methods shown by the
affidavits. These disclosed nothing material concerning interstate
phases of such businesses generally, except as might be inferred
from statements that they publish national and international as
well as local news, and must do so as quickly as possible after the
events occur.
[
Footnote 54]
Section 9 of the Federal Trade Commission Act authorizes the
Administrator to invoke the aid of the court "in case of
disobedience to a subpoena," and the court is authorized to give
assistance "in case of contumacy or refusal to obey a subpoena
issued to any corporation or other person."
Cf. note 24
[
Footnote 55]
The bill of discovery in equity would seem to furnish an
instance.
Cf. Sinclair Refining Co. v. Jenkins Petroleum
Co., 289 U. S. 689,
289 U. S.
696-697.
See also the provisions for pretrial
examination and the taking of depositions. Federal Rules of Civil
Procedure, Rules 26(b), 30(d), 45;
Union Central Life Ins. Co.
v. Burger, 27 F. Supp.
556;
Bloomer v. Sirian Lamp Co., 4 F.R.D. 167;
Lewis v. United Air Lines Transport Corp., 27 F. Supp.
946, 947. The power of Congress itself to call for information
presents a related illustration.
McGrain v. Daugherty,
273 U. S. 135,
273 U. S.
156-158.
[
Footnote 56]
In
General Tobacco & Grocery Co. v. Fleming, 125
F.2d 596, 599, the court said:
"In the exercise of the judicial power to review questions of
law, as conferred by an Act of Congress, the seal of a United
States court should not become a mere rubber stamp for the approval
of arbitrary action by an administrative agency."
In this case, No. 63, the District Court said: " . . . the
functions of the Courts remain, and those functions are not merely
to act as an adjunct of administrative bodies. . . ." 49 F. Supp.
659, 661.
[
Footnote 57]
The issues of authority to conduct the investigation, relevancy
of the materials sought, and breadth of the demand are neither
minor nor ministerial matters. Nor would there be any failure to
satisfy fully the discretionary power implied in the statute's use
of the word "may," rather than "shall,"
see note 24 in authorizing the court to enforce
the subpoenas. It would be going far to say that Congress could not
proceed upon this basis, but could go forward only by requiring a
showing of probable cause of coverage in the sense of probability
in fact of coverage.
Cf. note 44 and text Coverage is but one element in
violation, and if probable cause, in that sense, must be shown
concerning it, is difficult to understand why probable cause must
not be shown also concerning exemptions,
see Martin Typewriter
Co. v. Walling, 135 F.2d 918;
Walling v. LaBelle S.S.
Co., 148 F.2d 198, or any other essential element in
violation.
[
Footnote 58]
[
Footnote 59]
See note 30
MR. JUSTICE MURPHY, dissenting.
It is not without difficulty that I dissent from a procedure the
constitutionality of which has been established for many years. But
I am unable to approve the use of nonjudicial subpoenas issued by
administrative agents.
Administrative law has increased greatly in the past few years,
and seems destined to be augmented even further in the future. But
attending this growth should be a new and broader sense of
responsibility on the part of administrative agencies and
officials. Excessive use or abuse of authority can not only destroy
man's instinct for liberty, but will eventually undo the
administrative processes themselves. Our history is not without a
precedent of a successful revolt against a ruler who "sent hither
swarms of officers to harass our people."
Perhaps we are too far removed from the experiences of the past
to appreciate fully the consequences that may result from an
irresponsible though well meaning use of
Page 327 U. S. 219
the subpoena power. To allow a nonjudicial officer, unarmed with
judicial process, to demand the books and papers of an individual
is an open invitation to abuse of that power. It is no answer that
the individual may refuse to produce the material demanded. Many
persons have yielded solely because of the air of authority with
which the demand is made, a demand that cannot be enforced without
subsequent judicial aid. Many invasions of private rights thus
occur without the restraining hand of the judiciary ever
intervening.
Only by confining the subpoena power exclusively to the
judiciary can there be any insurance against this corrosion of
liberty. Statutory enforcement would not thereby be made
impossible. Indeed, it would be made easier. A people's desire to
cooperate with the enforcement of a statute is in direct proportion
to the respect for individual rights shown in the enforcement
process. Liberty is too priceless to be forfeited through the zeal
of an administrative agent.