Title I of the Labor-Management Reporting and Disclosure Act of
1959 (LMRDA) provides a "Bill of Rights" for labor union members,
including various protections for members involved in union
elections. Section 102 provides that any person whose Title I
rights have been violated may bring an action in federal district
court "for such relief (including injunctions) as may be
appropriate." Title IV of the Act provides an elaborate
post-election procedure aimed at protecting union democracy through
free and democratic elections. Section 402 provides that, if the
Secretary of Labor (Secretary), upon complaint by a union member,
finds probable cause to believe that a violation of Title IV
election proceedings has occurred, he shall bring an action against
the union in federal district court to set aside the election and
to order a new election under the supervision of the Secretary.
Section 403 provides that the remedy prescribed by Title IV for
challenging an election already conducted shall be exclusive.
Petitioner union, in preparation for an election scheduled for the
last two months of 1980, held a meeting to nominate candidates for
its executive board. Admission to the meeting was restricted to
those union members who could produce a computerized receipt
showing that their union dues had been paid. One of the respondents
was among those members who were prohibited from entering the
meeting for not possessing such a receipt. There was also a
disagreement at the meeting as to the office for which another
respondent had been nominated. These respondents and other
respondent union members then filed a protest with the union, but
it was denied. Election ballots were thereafter distributed with
instructions that they be returned by mail so as to arrive in a
designated post office box by 9 a.m. on December 13, 1980, at which
time they were to be counted. On December 1, 1980, after the
ballots had been distributed, respondents filed an action in
Federal District Court, alleging that the union and petitioner
union officers had violated Title I, and seeking a preliminary
injunction. On December 12, the court issued a temporary
restraining order halting the election. This was followed by
several months of negotiations between the parties and hearings
before the court. Ultimately, holding that Title I remedies
Page 467 U. S. 527
were not foreclosed when Title I violations occurred during the
course of an election and rejecting petitioners' argument that
respondents' exclusive remedy was to file a complaint with the
Secretary under Title IV, the court issued a preliminary injunction
and an order declaring the interrupted election invalid, setting
forth detailed procedures to be followed during a new election, and
appointing outside arbitrators to supervise implementation of the
procedures. The Court of Appeals affirmed.
Held: The District Court overstepped the bounds of
"appropriate" relief under Title I when it enjoined an ongoing
union election and ordered that a new election be held pursuant to
procedures imposed by the court. Pp.
467 U. S.
535-551.
(a) While § 102, standing by itself, suggests that
individual union members may properly maintain a Title I suit
whenever rights guaranteed by that Title have been violated, that
section explicitly limits relief that may be ordered by a district
court to that which is "appropriate" to any given situation.
Moreover, while Title IV protects many of the same rights as does
Title I, § 402 of Title IV sets up an exclusive method for
protecting Title IV rights, and under this method, individuals are
not permitted to block or delay union elections by filing suits for
violation of Title IV. Pp.
467 U. S. 536-540.
(b) Whether suits alleging violations of Title I may properly be
maintained during the course of a union election depends upon the
appropriateness of the remedy required to eliminate the claimed
violations. In the absence of legislative history suggesting that
Congress intended to require or allow courts to preempt the
Secretary's expertise and supervise their own elections, and given
the clear congressional preference expressed in Title IV for
supervision of new elections by the Secretary, the conclusion is
compelled that Congress did not consider court supervision of union
elections to be an "appropriate" remedy for a Title I suit filed
during the course of an election. Thus, if the remedy sought is
invalidation of an election already being conducted and court
supervision of a new election, union members must utilize the
remedies provided by Title IV. For less intrusive remedies sought
during an election, however, a district court retains authority to
order appropriate relief under Title I. Pp.
467 U. S.
540-550.
(c) The District Court's order here directly interfered with the
Secretary's exclusive responsibilities for supervising new
elections, and was inconsistent with the basic objectives of the
LMRDA enforcement scheme. Pp.
467 U. S.
550-551.
679 F.2d 978, reversed and remanded.
BRENNAN, J., delivered the opinion of the Court, in which
BURGER, C.J., and WHITE, MARSHALL, BLACKMUN, POWELL, REHNQUIST,
and
Page 467 U. S. 528
O'CONNOR, JJ., joined. STEVENS, J., filed a dissenting opinion,
post, p.
467 U. S.
552.
JUSTICE BRENNAN delivered the opinion of the Court.
The Labor-Management Reporting and Disclosure Act of 1959 (LMRDA
or Act), 73 Stat. 522, as amended, 29 U.S.C. § 401
et
seq., was Congress' first major attempt to regulate the
internal affairs of labor unions. Title I of the Act provides a
statutory "Bill of Rights" for union members, including various
protections for members involved in union elections, with
enforcement and appropriate remedies available in district court.
Title IV, in contrast, provides an elaborate post-election
procedure aimed solely at protecting union democracy through free
and democratic elections, with primary responsibility for
enforcement lodged with the Secretary of Labor. Resolution of the
question presented by this case requires that we address the
conflict that exists between the separate enforcement mechanisms
included in these two Titles. In particular, we must determine
whether suits alleging violations of Title I may properly be
maintained in district court during the course of a union
election.
The Court of Appeals approved a preliminary injunction issued by
the District Court that enjoined an ongoing union
Page 467 U. S. 529
election and ordered the staging of a new election pursuant to
procedures promulgated by the court. After reviewing the complex
statutory scheme created by Congress, we conclude that such
judicial interference in an ongoing union election is not
appropriate relief under § 102 of Title I, 29 U.S.C. §
412. We therefore reverse the Court of Appeals.
I
Local No. 82, Furniture and Piano Moving, Furniture Store
Drivers, Helpers, Warehousemen, and Packers (Local 82) represents
approximately 700 employees engaged in the furniture moving
business in the Boston, Mass., area. [
Footnote 1] The union is governed by a seven-member
executive board whose officers, pursuant to § 401(b) of the
LMRDA, 29 U.S.C. § 481(b), must be chosen by election no less
than once every three years. These elections, consistent with the
executive board's discretion under the union's bylaws and
constitution, have traditionally been conducted by mail referendum
balloting. The dispute giving rise to the present case stems from
the union election that was regularly scheduled for the last two
months of 1980.
On November 9, 1980, Local 82 held a meeting to nominate
candidates for positions on its executive board. The meeting
generated considerable interest, in part because dissident members
of the union were attempting to turn the incumbent union officials
out of office. Two aspects of the controversial meeting are
especially important for present purposes. First, admission to the
meeting was restricted to those members who could produce a
computerized receipt showing that their dues had been paid up to
date. Several union members, including respondent Jerome Crowley,
were prohibited from entering the meeting because they did not have
such dues receipts in their possession. Second, during the
actual
Page 467 U. S. 530
nominations process, there was disagreement relating to the
office for which respondent John Lynch had been nominated. At the
close of nominations, petitioner Bart Griffiths, the union's
incumbent secretary-treasurer, declared himself the only candidate
nominated for that office; at the same time, he included Lynch
among the candidates selected to run for union president.
Several dissatisfied members of the union, now respondents
before this Court, [
Footnote 2]
filed a protest with the union. On November 20, their protest was
denied by Local 82. [
Footnote
3] Election ballots were thereafter distributed to all members
of the union, who were instructed to mark and return the ballots by
mail so that they would arrive in a designated post office box by 9
a.m. on December 13, 1980, at which time they were scheduled to be
counted. Respondent Lynch's name appeared on the ballot as a
candidate for president, and not for secretary-treasurer.
On December 1, 1980, after the distribution of ballots had been
completed, the respondents filed this action in the United States
District Court for the District of Massachusetts. They alleged,
inter alia, that Local 82 and its officers had violated
several provisions of Title I of the LMRDA, and sought a
preliminary injunction. In particular, the respondents claimed that
restricting admission to the nominations meeting to those members
who could produce computerized dues receipts violated their "equal
rights . . . to nominate
Page 467 U. S. 531
candidates [and] to attend membership meetings" under §
101(a)(1) of the Act, [
Footnote
4] as well as their right freely to express views at meetings
of the union under § 101(a)(2) of the Act. [
Footnote 5] They also alleged that the union
and its officers had violated § 101(a)(1) by failing to
recognize respondent Lynch as a candidate for secretary-treasurer.
[
Footnote 6]
Page 467 U. S. 532
After preliminary papers were filed, on December 12, the
District Court issued a temporary restraining order to preserve the
status quo and to protect its own jurisdiction.
See App. 40-47. Given that the next morning (December 13)
was the preestablished deadline for voting, many, if not most, of
the ballots had already been returned by the union's voting
members. Nonetheless, the court noted that federal court
jurisdiction was available under § 102 of Title I, 29 U.S.C.
§ 412, for claims alleging discriminatory application of union
rules. Moreover, the court's order specifically required that the
ballots be sealed and delivered to the court, thereby preventing
the petitioners from counting the ballots until a final
determination could be made on the motion for a preliminary
injunction.
Several days of hearings on the preliminary injunction, and
several months of negotiations concerning an appropriate court
order to accompany that injunction, followed. Finally, on July 13,
1981, the District Court issued a preliminary injunction
accompanied by a memorandum opinion.
521 F.
Supp. 614 (1981). The court first addressed more fully the
petitioners' argument that, because the challenged conduct
concerned the procedures for conducting union elections, the
respondents' exclusive remedy was to file a complaint with the
Secretary of Labor under Title IV. The court rejected this
argument, noting that,
"at least with respect to actions challenging preelection
conduct, Title I of the LMRDA establishes an alternative
enforcement mechanism for remedying conduct interfering with a
member's right to engage in the activities associated with union
democracy."
Id. at 621 (footnote omitted). Therefore, the court
concluded, it could properly invoke its jurisdiction under Title I,
if only for those claims concerning dues receipts and the
nomination of respondent Lynch that are now before this Court.
Id. at 622-623. Because the suit concerned disputes
arising out of a nominations meeting conducted in preparation for a
union election, and given that the court had issued a temporary
Page 467 U. S. 533
restraining order barring actual completion of the election,
Title I jurisdiction could properly be asserted over this
"preelection conduct."
Id. at 621, n. 12.
After concluding that the respondents had demonstrated a
substantial likelihood of success on their claims, [
Footnote 7] the court issued its
comprehensive injunction. [
Footnote
8] The court explicitly intended to issue an order that
"interfere[d] as little as possible with the nomination and
election procedures" required by the union's constitution and
bylaws,
id. at 634; moreover, the terms of the preliminary
injunction were derived in large part from an ongoing process of
negotiations and hearings that the court had conducted with the
parties during the preceding six months. Nonetheless, the order
declared the ballots cast in December, 1980, to be "legally without
effect,"
id. at 636, n., and provided detailed procedures
to be followed by the union during a new nominations meeting and a
subsequent election. Among other things, the order selected an
outside group of arbitrators to conduct and supervise the election,
and set forth eligibility requirements for attending the
nominations meeting, being a candidate for office, and
Page 467 U. S. 534
voting. The order also provided that it would remain in effect
until further order of the District Court.
The petitioners appealed, and the Secretary of Labor, who until
then had not participated in the proceedings, intervened on their
behalf. They argued that the District Court lacked authority under
Title I to enjoin the tabulation of ballots and order new
nominations and elections under court supervision. The Court of
Appeals rejected these arguments, however, and affirmed in all
respects. 679 F.2d 978 (CA1 1982). It agreed with the District
Court that Title I remedies are not foreclosed when violations of
Title I occur during the course of an election. The court also held
that § 403 of the Act, which explicitly provides that Title
IV's remedies are exclusive for elections that are "already
conducted," 29 U.S.C. § 483, does not apply until all the
ballots have actually been tabulated. [
Footnote 9]
Writing in dissent, Judge Campbell was
"unable to read Title I as extending so far as to allow a
district court, once balloting has commenced, to invalidate an
election and order a new one under its supervision and under terms
and conditions extemporized by the courts and parties."
679 F.2d at 1004. He believed that
"the proper accommodation between Title I and Title IV requires
consideration not only of the stage which the election process has
reached, but [also] the nature of the relief"
requested and granted.
Id. at 1005.
Because of the confusion evident among the lower federal courts
that have tried to reconcile the remedial provisions
Page 467 U. S. 535
under Title I and Title IV of the Act, [
Footnote 10] we granted certiorari. 459 U.S.
1168 (1983). We now reverse. [
Footnote 11]
II
To examine fully the relationship between the respective
enforcement provisions of Title I and Title IV of the
Page 467 U. S. 536
LMRDA, it is necessary first to summarize the relevant statutory
provisions and Congress' principal purposes in their enactment. The
LMRDA was "the product of congressional concern with widespread
abuses of power by union leadership."
Finnnegan v. Leu,
456 U. S. 431,
456 U. S. 435
(1982). Although the Act "had a history tracing back more than two
decades,"
ibid., and was directly generated by several
years of congressional hearings,
see S.Rep. No. 187, 86th
Cong., 1st Sess., 2 (1959) (hereafter S.Rep. No. 187), many
specific provisions did not find their way into the Act until the
proposed legislation was fully considered on the floor of the
Senate, 456 U.S. at
456 U. S. 435,
n. 4. It should not be surprising, therefore, that the interaction
between various provisions that were finally included in the Act
has generated considerable uncertainty.
A
Chief among the causes for this confusion is Title I of the Act,
which provides union members with an exhaustive "Bill of Rights"
enforceable in federal court. §§ 101-105, 29 U.S.C.
§§ 411-415. In particular, Title I is designed to
guarantee every union member equal rights to vote and otherwise
participate in union decisions, freedom from unreasonable
Page 467 U. S. 537
restrictions on speech and assembly, and protection from
improper discipline.
See Finnegan v. Leu, supra, at
456 U. S.
435-436;
Steelworkers v. Sadlowski,
457 U. S. 102,
457 U. S.
109-110 (1982). Given these purposes, there can be no
doubt that the protections afforded by Title I extend to union
members while they participate in union elections. As we have
previously noted:
"Congress adopted the freedom of speech and assembly provision
[§ 101(a)(2), 29 U.S.C. § 411(a)(2)] in order to promote
union democracy. It recognized that democracy would be assured only
if union members are free to discuss union policies and criticize
the leadership without fear of reprisal. Congress also recognized
that this freedom is particularly critical, and deserves vigorous
protection, in the context of election campaigns. For it is in
elections that members can wield their power, and directly express
their approval or disapproval of the union leadership."
Sadlowski, supra, at
457 U. S. 112
(citations omitted).
As first introduced by Senator McClellan on the floor of the
Senate,
see 105 Cong.Rec. 6469-6476, 6492-6493 (1959),
Title I empowered the Secretary of Labor to seek injunctions and
other relief in federal district court to enforce the rights
guaranteed to union members. A few days later, however, the
McClellan amendment was replaced by a substitute amendment offered
by Senator Kuchel.
See id. at 6693-6694, 6717-6727. Among
the principal changes made by this substitute was to provide for
enforcement of Title I through suits by individual union members in
federal district court.
Id. at 6717, 6720. [
Footnote 12] As so amended, the
legislation
Page 467 U. S. 538
was endorsed in the Senate by a vote of 77-14,
id. at
6727, and was quickly accepted without substantive change by the
House,
see H.R. 8400, 86th Cong., 1st Sess., § 102
(1959); H.R.Conf.Rep. No. 1147, 86th Cong., 1st Sess., 31 (1959)
(hereafter H.R.Conf.Rep. No. 1147). In relevant part, therefore,
§ 102 of the Act now provides:
"Any person whose rights secured by the provisions of this title
have been infringed by any violation of this title may bring a
civil action in a district court of the United States for such
relief (including injunctions) as may be appropriate."
73 Stat. 523, 29 U.S.C. § 412.
Standing by itself, this jurisdictional provision suggests that
individual union members may properly maintain a Title I suit
whenever rights guaranteed by that Title have been violated.
[
Footnote 13] At the same
time, however, § 102 explicitly limits the relief that may be
ordered by a district court to that which is "appropriate" to any
given situation.
See Hall v. Cole, 412 U. S.
1,
412 U. S. 10-11
(1973).
B
Nor would it be appropriate to interpret the enforcement and
remedial provisions of Title I in isolation. In particular,
Page 467 U. S. 539
Title IV of the LMRDA specifically regulates the conduct of
elections for union officers, and therefore protects many of the
same rights as does Title I.
See §§ 401-403, 29
U.S.C. §§ 481-483. Title IV
"sets up a statutory scheme governing the election of union
officers, fixing the terms during which they hold office, requiring
that elections be by secret ballot, regulating the handling of
campaign literature, requiring a reasonable opportunity for the
nomination of candidates, authorizing unions to fix 'reasonable
qualifications uniformly imposed' for candidates, and attempting to
guarantee fair union elections in which all the members are allowed
to participate."
Calhoon v. Harvey, 379 U. S. 134,
379 U. S. 140
(1964). [
Footnote 14] In
general terms, "Title IV's special function in furthering the
overall goals of the LMRDA is to insure
free and democratic'
elections," Wirtz v. Glass Bottle Blowers Assn.,
389 U. S. 463,
389 U. S. 470
(1968), an interest "vital" not only to union members but also to
the general public, id. at 389 U. S. 475.
See Wirtz v. Laborers, 389 U. S. 477,
389 U. S. 483
(1968).
Although Congress meant to further this basic policy with a
minimum of interference in the internal affairs of unions,
see
Calhoon, supra, at
379 U. S. 140,
§ 402 of Title IV contains its own comprehensive
administrative and judicial procedure for enforcing the standards
established in that Title of the Act, 29 U.S.C. § 482.
See
Dunlop v. Bachowski, 421 U. S. 560
(1975);
Trbovich v. Mine Workers, 404 U.
S. 528,
404 U. S. 531
(1972);
Calhoon, supra, at
379 U. S.
138-140.
"Any union member who alleges a violation [of Title IV] may
initiate the enforcement procedure. He must first exhaust any
internal remedies available under the constitution and bylaws of
his union. Then he may file a complaint with the Secretary of
Labor, who 'shall investigate' the complaint. Finally, if the
Secretary finds probable cause to believe a violation has occurred,
he 'shall . . . bring a civil action against the labor
organization'
Page 467 U. S. 540
in federal district court, to set aside the election if it has
already been held, and to direct and supervise a new election."
Trbovich, supra, at
404 U. S. 531
(quoting § 402, 29 U.S.C. § 482).
See Calhoon,
supra, at
379 U. S. 140.
Significantly, the court may invalidate an election already held,
and order the Secretary to supervise a new election, only if the
violation of Title IV "may have affected the outcome" of the
previous election. § 402(c), 29 U.S.C. § 482(c).
Congress also included in Title IV an exclusivity provision that
explains the relationship between the enforcement procedures
established for violations of Title IV and the remedies available
for violations of potentially overlapping state and federal laws.
In relevant part, § 403 of the LMRDA provides:
"Existing rights and remedies to enforce the constitution and
bylaws of a labor organization with respect to elections prior to
the conduct thereof shall not be affected by the provisions of this
title. The remedy provided by this title for challenging an
election already conducted shall be exclusive."
73 Stat. 534, 29 U.S.C. § 483. Relying on this provision,
and on the comprehensive nature of the enforcement scheme
established by § 402, we have held that Title IV "sets up an
exclusive method for protecting Title IV rights," and that Congress
"decided not to permit individuals to block or delay union
elections by filing federal court suits for violations of Title
IV."
Calhoon, supra, at
379 U. S. 140.
[
Footnote 15]
III
We have not previously determined exactly how the exclusivity of
Title IV's remedial scheme for enforcing rights guaranteed by that
Title might affect remedies available to enforce other rights, such
as those protected by Title I. Nor
Page 467 U. S. 541
has Congress provided any definitive answers in this area. This
case requires, however, that we decide whether Title I remedies are
available to aggrieved union members while a union election is
being conducted.
A
It is useful to begin by noting what the plain language of the
Act clearly establishes about the relationship between the remedies
provided under Title I and Title IV. First, the exclusivity
provision included in § 403 of Title IV plainly bars Title I
relief when an individual union member challenges the validity of
an election that has already been completed. [
Footnote 16] Second, the full panoply of Title I
rights is available to individual union members "prior to the
conduct" of a union election. As with the plain language of most
federal labor laws, however, this simplicity is more apparent than
real. Indeed, by its own terms, the provision offers no obvious
solution to what remedies are available during the course of a
union election, the issue presented by this case.
Even if the plain meaning of the "already conducted" language of
§ 403 could be read not to preclude other remedies until the
actual tabulation and certification of ballots have been completed,
we would hesitate to find such an interpretation determinative.
First, such an approach would ignore the limitation on judicial
remedies that Congress included in Title I, which allows a district
court to award only "appropriate" relief. Moreover, we have
previously "cautioned against a literal reading" of the LMRDA.
Wirtz v. Glass Bottle Blowers Assn., supra, at
389 U. S. 468.
Like much federal
Page 467 U. S. 542
labor legislation, the statute was
"the product of conflict and compromise between strongly held
and opposed views, and its proper construction frequently requires
consideration of its wording against the background of its
legislative history and in the light of the general objectives
Congress sought to achieve."
Ibid. (citing
National Woodwork Mfrs. Assn. v.
NLRB, 386 U. S. 612,
386 U. S. 619
(1967)).
See Sadlowski, 457 U.S. at
457 U. S. 111.
Indeed, in many ways, this admonition applies with its greatest
force to the interaction between Title I and Title IV of the LMRDA,
if only because of the unusual way in which the legislation was
enacted. [
Footnote 17]
Nor does the legislative history of the LMRDA provide any
definitive indication of how Congress intended § 403 to apply
to Title I suits while an election is being conducted. Throughout
the legislative debate on this provision, the exclusivity of Title
IV was predominantly, if not only, considered in the context of a
union election, such as one held at a union meeting, that would
take place for a discrete and limited period of time. [
Footnote 18] Thus, Congress did not
explicitly consider how the exclusivity provision might apply to an
election that takes several weeks or months to complete.
Moreover,
Page 467 U. S. 543
the legislative history that is available on the meaning of
§ 403 is largely derived from congressional action that
occurred prior to the time that Title I was added to the LMRDA.
See, e.g., S.Rep. No. 187, at 21;
id. at 104
(minority views); H.R.Rep. No. 741, 86th Cong., 1st Sess., 17
(1959). The interplay between the rights and remedies provided to
union members by Title I, and the exclusivity provision already
included in Title IV, therefore received little, if any, attention
from the Congress.
Cf. H.R.Conf.Rep. No. 1147, at 35
(Conference Report, written after both Titles were included in the
Act, but failing to explain what remedies are available during an
election).
B
Despite this absence of conclusive evidence in the legislative
history, the primary objectives that controlled congressional
enactment of the LMRDA provide important guidance for our
consideration of the availability of Title I remedies during a
union election. In particular, throughout the congressional
discussions preceding enactment of both Title I and Title IV,
Congress clearly indicated its intent to consolidate challenges to
union elections with the Secretary of Labor, and to have the
Secretary supervise any new elections necessitated by violations of
the Act. This strongly suggests that, even when Title I violations
are properly alleged and proved, Congress would not have considered
a court order requiring and judicially supervising a new election
to be "appropriate" relief under Title I. At the same time, there
is nothing in the legislative history suggesting that Congress
intended to foreclose all access to federal courts under Title I
during an election, especially when a statutory violation could be
corrected without any major delay or disruption to an ongoing
election. We therefore conclude that whether a Title I suit may
properly be maintained by individual union members during the
course of a union election depends upon the nature of the relief
sought by the Title I claimants.
Page 467 U. S. 544
Throughout its consideration of the LMRDA, Congress clearly
intended to lodge exclusive responsibility for post-election suits
challenging the validity of a union election with the Secretary of
Labor. The legislative history of Title IV consistently echoes this
theme. For example, the election provisions contained in the
Committee bill as originally reported to the full Senate gave the
Secretary exclusive authority to enforce Title IV and to supervise
whatever new elections might be needed because of violations of its
provisions. S. 1555, 86th Cong., 1st Sess., §§ 302-303
(1959). As the Report of the Senate Committee on Labor and Public
Welfare explained:
"[S]ince the bill provides an effective and expeditious remedy
for overthrowing an improperly held election and holding a new
election, the Federal remedy is made the sole remedy and private
litigation would be precluded."
S.Rep. No. 187, at 21. [
Footnote 19] The bill that was finally passed by the
Senate retained these procedures for violations of Title IV.
Page 467 U. S. 545
In the House, three separate bills were introduced, with all
three containing substantially similar enforcement procedures for
violations of Title IV. Unlike the Senate bill, the House bills
permitted an aggrieved union member to file suit in federal
district court to enforce his Title IV rights.
See, e.g.,
H.R. 8400, 86th Cong., 1st Sess., § 402 (1969)
(Landrum-Griffin bill). Significantly, however, even these bills
provided that the Secretary of Labor would supervise any new
elections ordered by the court.
See, e.g., H.R.Rep. No.
741,
supra, at 17 (if district court finds relevant
statutory violation, the court should "declare the election, if
any, to be void, and direct the conduct of a new election under the
supervision of the Secretary of Labor"). Thus, even before the
Conference Committee adopted the Title IV enforcement procedures
included in the Senate bill,
see H.R.Conf.Rep. No. 1147,
at 35, both Houses of Congress had consistently indicated their
intent to have the Secretary of Labor supervise any new union
elections necessitated by the Act. [
Footnote 20]
Moreover, nothing in the flurry of activity that surrounded
enactment of Title I,
see supra at
467 U. S.
537-538, and n. 12, indicates that Congress intended
that Title to reverse this consistent opposition to court
supervision of union elections. Although the enactment of Title I
offered additional protection to union members, including the
establishment of various statutory safeguards effective during the
course of a union election, there is no direct evidence to suggest
that Congress believed that enforcement of Title I would either
require or allow courts to preempt the expertise of the Secretary
and
Page 467 U. S. 546
supervise their own elections. In the absence of such
legislative history, and given the clear congressional preference
expressed in Title IV for supervision of new elections by the
Secretary of Labor, we are compelled to conclude that Congress did
not consider court supervision of union elections to be an
"appropriate" remedy for a Title I suit filed during the course of
a union election. § 102, 29 U.S.C. § 412.
That is not to say that a court has no jurisdiction over
otherwise proper Title I claims that are filed during the course of
a lengthy union election. The important congressional policies
underlying enactment of Title I,
see supra at
467 U. S.
536-537, likewise compel us to conclude that appropriate
relief under Title I may be awarded by a court while an election is
being conducted. Individual union members may properly allege
violations of Title I that are easily remediable under that Title
without substantially delaying or invalidating an ongoing election.
For example, union members might claim that they did not receive
election ballots distributed by the union because of their
opposition to the incumbent officers running for reelection.
Assuming that such union members prove a statutory violation under
Title I, a court might appropriately order the union to forward
ballots to the claimants before completion of the election. To
foreclose a court from ordering such Title I remedies during an
election would not only be inefficient, but would also frustrate
the purposes that Congress sought to serve by including Title I in
the LMRDA. Indeed, eliminating all Title I relief in this context
might preclude aggrieved union members from ever obtaining relief
for statutory violations, since the more drastic remedies under
Title IV are ultimately dependent upon a showing that a violation
"may have affected the outcome" of the election, § 402(c), 29
U.S.C. § 482(c). [
Footnote
21]
Page 467 U. S. 547
C
Our conclusion that appropriate Title I relief during the course
of a union election does not include the invalidation of
Page 467 U. S. 548
an ongoing election or court supervision of a new election finds
further support in our prior cases interpreting the LMRDA, and in
the underlying policies of the Act that have controlled those
decisions. In
Calhoon v. Harvey, 379 U.
S. 134 (1964), for example, we were faced with a
preelection challenge to several union rules that controlled
eligibility to run and nominate others for union office. The
claimants in that case asked the court to enjoin the union from
preparing for or conducting any election until the rules were
revised. We first concluded that, in substance, the claims alleged
violations of Title IV, rather than Title I, because the latter
only protects union members against the discriminatory application
of union rules. Then, given that "Congress . . . decided not to
permit individuals to block or delay union elections by filing
federal court suits for violations of Title IV,"
id. at
379 U. S. 140;
see supra at
467 U. S. 540,
we held that the District Court could not invoke its jurisdiction
under Title I to hear Title IV claims. We relied for our conclusion
in part on Congress' intent
"to allow unions great latitude in resolving their own internal
controversies, and, where that fails, to utilize the agencies of
Government most familiar with union problems to aid in bringing
about a settlement through discussion before resort to the
courts."
379 U.S. at
379 U. S. 140.
See also ibid. ("It is apparent that Congress decided to
utilize the special knowledge and discretion of the Secretary of
Labor in order best to serve the public interest").
In several subsequent decisions, we also relied on the important
role played by the Secretary in enforcing Title IV
Page 467 U. S. 549
violations and in supervising new union elections.
See,
e.g., Wirtz v. Glass Bottle Blowers Assn., 389 U.S. at
389 U. S.
473-475;
Wirtz v. Laborers, 389 U.S. at
389 U. S.
482-484;
Wirtz v. Hotel Employees, 391 U.
S. 492 (1968). At the same time, we noted that another
primary goal of Congress was to maximize the "
amount of
independence and self-government'" granted to unions. See Glass
Bottle Blowers Assn., supra, at 389 U. S.
472-473 (quoting S.Rep. No. 187, at 21); Hodgson v.
Steelworkers, 403 U. S. 333
(1971). As we more fully explained in Trbovich v. Mine
Workers, 404 U. S. 528
(1972), Congress made suit by the Secretary under Title IV the
exclusive post-election remedy for challenges to an
election
"(1) to protect unions from frivolous litigation and unnecessary
judicial interference with their elections, and (2) to centralize
in a single proceeding such litigation as might be warranted with
respect to a single election."
Id. at
404 U. S. 532.
Thus, exclusive post-election enforcement by the Secretary serves
"as a device for eliminating frivolous complaints and consolidating
meritorious ones."
Id. at
404 U. S.
535.
Consistent with these policies,
Trbovich cited
Calhoon, supra, at
379 U. S. 140,
for the proposition that "§ 403 prohibits union members from
initiating a private suit to set aside an election." 404 U.S. at
404 U. S. 531.
Although this somewhat overstated our holding in
Calhoon,
which was limited to the exclusivity of post-election suits by the
Secretary for violations of Title IV, we believe that the policies
supporting Congress' decision to consolidate Title IV suits with
the Secretary are equally applicable to Title I suits that seek to
"set aside an election." [
Footnote 22] Although the important protections
Page 467 U. S. 550
provided to union members by Title I should not easily be
precluded, the equally strong policies vesting the Secretary with
exclusive supervisory authority over new union elections require
that Title I remedies during the course of an election be limited
to this extent.
In sum, whether suits alleging violations of Title I of the
LMRDA may properly be maintained during the course of a union
election depends upon the appropriateness of the remedy required to
eliminate the claimed statutory violation. If the remedy sought is
invalidation of the election already being conducted with court
supervision of a new election, then union members must utilize the
remedies provided by Title IV. For less intrusive remedies sought
during an election, however, a district court retains authority to
order appropriate relief under Title I.
IV
The procedural history of this case clearly demonstrates the
undesirable consequences that follow from judicial supervision of a
union election. The respondents filed suit after Local 82 had
distributed election ballots to its members, but before some of the
ballots had been returned or any of the ballots had been counted.
Then, less than 24 hours before the election would have been
completed and the ballots tabulated, the District Court issued a
temporary restraining order that brought the election to a halt.
This was followed by several months of negotiations between the
parties and hearings before the District Court. Finally, the court
issued
Page 467 U. S. 551
an order declaring the interrupted election invalid, and setting
forth elaborate procedures to be followed during a new
election.
Several aspects of these proceedings demonstrate why they are
inconsistent with the policies underlying the LMRDA. For example,
the temporary restraining order and preliminary injunction issued
by the court delayed the union election that was originally
scheduled for December, 1980, for one full year. Among other
consequences, this left the incumbent union officers in power
beyond the scheduled expiration of their terms.
Cf. §
401(b), 29 U.S.C. § 481(b) (officers shall be elected not less
than once every three years). If the procedures under Title IV had
been properly followed, the December, 1980, election would have
been presumed valid,
see § 402(a), 29 U.S.C. §
482(a), and new officers would have replaced the incumbents.
Moreover, the expertise of the Secretary in supervising elections
was completely ignored. Not only did the court acting alone decide
that a new election was required, but its order established
procedures for that election and appointed outside arbitrators to
supervise their implementation. This action by the District Court
directly interfered with the Secretary's exclusive responsibilities
for supervising new elections, and was inconsistent with the basic
objectives of the LMRDA enforcement scheme.
V
We conclude that the District Court overstepped the bounds of
"appropriate" relief under Title I of the LMRDA when it enjoined an
ongoing union election and ordered that a new election be held
pursuant to court-ordered procedures. Accordingly, the judgment of
the Court of Appeals is reversed, and the case is remanded for
further proceedings consistent with this opinion. [
Footnote 23]
It is so ordered.
Page 467 U. S. 552
[
Footnote 1]
Also appearing as petitioners before this Court are George
Harris, former president of Local 82, Bart Griffiths,
secretary-treasurer of Local 82, Phillip Piemontese, chairman of
the election committee of Local 82, and several unidentified
members of that election committee.
[
Footnote 2]
In addition to Jerome Crowley and John Lynch, respondents before
this Court include Anthony Coyne, Joseph Fahey, Robert Lunnin,
James Hayes, Gerald Owens, Joseph Trask, Joseph Montagna, and
Dennis Bates.
[
Footnote 3]
The respondents also filed protests with the International
Brotherhood of Teamsters, Chauffeurs, Warehousemen and Helpers of
America, the international union with which Local 82 is affiliated,
and with Teamsters Joint Council 10, the regional body containing
Local 82. No action was ever taken by the international union, and
a hearing scheduled by the regional body for December 23, 1980, was
canceled after the present lawsuit was filed.
[
Footnote 4]
Section 101(a)(1) of the LMRDA provides in full:
"EQUAL RIGHTS. -- Every member of a labor organization shall
have equal rights and privileges within such organization to
nominate candidates, to vote in elections or referendums of the
labor organization, to attend membership meetings and to
participate in the deliberations and voting upon the business of
such meetings, subject to reasonable rules and regulations in such
organization's constitution and bylaws."
73 Stat. 522, 29 U.S.C. § 411(a)(1).
[
Footnote 5]
Section 101(a)(2) of the LMRDA provides in full:
"FREEDOM OF SPEECH AND ASSEMBLY. -- Every member of any labor
organization shall have the right to meet and assemble freely with
other members; and to express any views, arguments, or opinions;
and to express at meetings of the labor organization his views,
upon candidates in an election of the labor organization or upon
any business properly before the meeting, subject to the
organization's established and reasonable rules pertaining to the
conduct of meetings:
Provided, That nothing herein shall
be construed to impair the right of a labor organization to adopt
and enforce reasonable rules as to the responsibility of every
member toward the organization as an institution and to his
refraining from conduct that would interfere with its performance
of its legal or contractual obligations."
73 Stat. 522, 29 U.S.C. § 411(a)(2).
[
Footnote 6]
Several other claims under both Title I and Title IV of the
LMRDA were asserted in the respondents' original complaint. These
included allegations that the union failed to notify members about
the nominations meeting, that the union unlawfully limited
candidate eligibility to members who had timely paid their dues
during the preceding 24 months, and that the union's disciplinary
proceedings against respondent Lunnin were an unlawful reprisal for
the exercise of rights guaranteed by the Act. A later amendment to
the complaint added,
inter alia, a claim that the union
had increased dues several times since September, 1976, without
complying with the requirements set forth in § 101(a)(3) of
the Act, 73 Stat. 522, 29 U.S.C. § 411(a)(3). For a variety of
reasons, however, the District Court refused to grant preliminary
relief on any of these claims, and they are not now before the
Court.
[
Footnote 7]
In particular, the court found that the dues receipt requirement
for entry into the nominations meeting was "suddenly announced,"
was applied "in a discriminatory fashion," and was
"imposed in retaliation for [the respondents'] expressed
intention to nominate candidates to oppose the incumbent Local
officers and with the objective of suppressing dissent within the
Local."
521 F. Supp. at 627. The court also found that, despite being
listed as a candidate for union president, respondent Lynch had
actually been nominated for secretary-treasurer.
Ibid.
Finally, the court found that irreparable harm to the respondents
would result if a new nominations meeting and election were not
held, that the burdens imposed on the petitioners by preliminary
relief were sufficiently mitigated by the full hearing accorded
their arguments, and that the public interest in union democracy
would be served by granting such relief.
Id. at 627-628.
None of these findings is being challenged before this Court.
See n 9,
infra.
[
Footnote 8]
The complete terms of the preliminary injunction are reported at
the end of the District Court's decision,
see 521 F. Supp.
at 636-638, n., and as an appendix to the decision issued by the
Court of Appeals,
see 679 F.2d 978, 1001-1004 (CA1
1982).
[
Footnote 9]
The Court of Appeals further concluded that "the district court
committed no clear error" when finding that there existed
substantial proof that the petitioners violated the provisions of
Title I by imposing the dues receipt requirement and by mishandling
the nomination of respondent Lynch. 679 F.2d at 995.
See
n 7,
supra. The
petitioners have not challenged that ruling in this Court. Our
decision therefore assumes that the respondents have demonstrated a
substantial likelihood of success on their two Title I claims.
[
Footnote 10]
See, e.g., Kupau v. Yamamoto, 622 F.2d 449 (CA9 1980);
Driscoll v. International Union of Operating Engineers,
484 F.2d 682 (CA7 1973);
Schonfeld v. Penza, 477 F.2d 899
(CA2 1973);
McDonough v. Local 825, International Union of
Operating Engineers, 470 F.2d 261 (CA3 1972).
See also
e.g., James, Union Democracy and the LMRDA: Autocracy and
Insurgency in National Union Elections, 13
Harv.Civ.Rights-Civ.Lib.L.Rev. 247 (1978); Comment, Titles I and IV
of the LMRDA: A Resolution of the Conflict of Remedies, 42
U.Chi.L.Rev. 166 (1974); Note, Pre-election Remedies Under the
Landrum-Griffin Act: The "Twilight Zone" Between Election Rights
Under Title IV and the Guarantees of Titles I and V, 74
Colum.L.Rev. 1105 (1974).
[
Footnote 11]
For two separate reasons, the respondents seek to have the writ
of certiorari dismissed as improvidently granted or, in the
alternative, the case dismissed because it no longer presents a
live controversy. We decline, however, to follow either course.
First, the respondents claim that, by filing certain
"stipulations" with the District Court, Local 82 effectively
consented to the running of a new election, thereby foreclosing any
challenge to that court's order requiring a new election.
See,
e.g., App. 55 ("Local 82 is prepared to and will conduct a
second nomination and mail ballot election for the election of
officers under the following terms, provided the Court permits a
change in the
status quo preserved by its Order of
December 12, 1980"). Neither the District Court nor the Court of
Appeals, however, considered these conditional stipulations to be
binding on Local 82. The District Court, for example, consistently
recognized that, although agreeing to rerun the election under its
own procedures, Local 82 had not waived its challenge to the
authority or jurisdiction of the District Court to order a new
election pursuant to court-imposed terms and conditions.
See
id. at 110-112. And the Court of Appeals explicitly found
that
"these were not true factual stipulations narrowing the factual
dispute, but offers of settlement to which [Local 82] agreed to be
bound, if [respondents] so agreed."
679 F.2d at 996, n. 22. We see no reason to disturb these
conclusions.
Second, the respondents claim that the entire case is moot
because not only has the election ordered by the District Court
taken place, but also the term to be served by the officers chosen
in that election has now elapsed. We have previously held, however,
that the intervention of another election does not terminate the
Secretary of Labor's authority under Title IV of the LMRDA to seek
invalidation of the preceding election.
Wirtz v Glass Bottle
Blowers Assn., 389 U. S. 463
(1968);
Wirtz v. Laborers, 389 U.
S. 477 (1968). If the District Court acted beyond its
authority in ordering and supervising a new election, then the
ballots that were never counted in December, 1980, but were sealed
pursuant to the District Court's order could be tabulated, and the
Secretary's remedies under Title IV would come into play. Moreover,
we note that there are still pending several important collateral
matters, including claims for damages, attorney's fees, and costs,
that are dependent upon the propriety of the District Court's
preliminary injunction.
See Reply Brief for Petitioners
7-9. We have no doubt, therefore, that the present controversy has
not been mooted by intervening circumstances.
[
Footnote 12]
Senator Kuchel explained that this was
"one of the major changes in the proposal. The [McClellan]
amendment . . . provided that the Secretary of Labor might, on
behalf of the injured or aggrieved member, have the right to
litigate the alleged grievance and to seek an injunction or other
relief. We believe that giving this type of right to the aggrieved
employee member himself is in the interest of justice, and
therefore we propose to eliminate from the bill the right of the
Secretary of Labor to sue in his behalf."
105 Cong.Rec. 6720 (1959).
This aspect of the Kuchel amendment apparently received
widespread support, not only from Senators who feared that the
McClellan amendment's enforcement procedures would set a precedent
for federal intervention in all civil rights matters,
see,
e.g., id. at 6696 (statement of Sen. Johnston), but also from
Senators who wished to limit federal interference with the internal
affairs of labor unions,
see, e.g., id. at 6726 (statement
of Sen. Kefauver).
See Aaron, The Labor-Management
Reporting and Disclosure Act of 1959, 73 Harv.L.Rev. 851, 859, 875
(1960).
[
Footnote 13]
Allowance for actions under Title I is only narrowly
circumscribed by procedural requirements such as exhaustion.
Compare § 101(a)(4), 29 U.S.C. § 411(a)(4),
with NLRB v. Marine Workers, 391 U.
S. 418,
391 U. S.
426-428 (1968).
[
Footnote 14]
The Secretary of Labor, who has primary responsibility for the
enforcement of Title IV, has summarized the requirements of that
Title in 29 CFR § 452.1 (1983).
See generally 29 CFR
pt. 452 (1983).
[
Footnote 15]
An exception to this general rule is provided in § 401(c)
of the Act for enforcing a candidate's right to distribution of
campaign literature and equal access to membership lists. 29 U.S.C.
§ 481(c).
See 379 U.S. at
379 U. S. 140,
n. 13.
[
Footnote 16]
This does not necessarily mean that § 403 forecloses the
availability of all post-election relief under Title I. The
exclusivity provision of Title IV may not bar post-election relief
for Title I claims or other actions that do not directly challenge
the validity of an election already conducted.
See, e.g., Ross
v. International Brotherhood of Electrical Workers, 513 F.2d
840 (CA9 1975) (common law tort claim);
Amalgamated Clothing
Workers Rank and File Committee v. Amalgamated Clothing Workers of
America, Philadelphia, Joint Board, 473 F.2d 1303 (CA3 1973)
(Title I claim).
[
Footnote 17]
The remarks of a commentator who actively participated in
shaping much of the LMRDA are especially pertinent:
"The legislation contains more than its share of problems for
judicial interpretation, because much of the bill was written on
the floor of the Senate or House of Representatives and because
many sections contain calculated ambiguities or political
compromises essential to secure a majority. Consequently, in
resolving them, the courts would be well advised to seek out the
underlying rationale without placing great emphasis upon close
construction of the words."
Cox, Internal Affairs of Labor Unions Under the Labor Reform Act
of 1959, 58 Mich.L.Rev. 819, 852 (1960).
See Sadlowski,
457 U.S. at
457 U. S. 111;
Glass Bottle Blowers Assn., 389 U.S. at
389 U. S. 468,
n. 6.
[
Footnote 18]
For example, speaking before Title I was added to the LMRDA, at
which time state law provided the principal protection for union
members before an election, Senator John F. Kennedy noted:
"Prior to the day of an election, an individual can sue in a
State. The day after an election, the Secretary of Labor assumes
jurisdiction."
105 Cong.Rec. 6485 (1959).
[
Footnote 19]
A major reason for creating federal standards to govern union
elections, and for lodging primary responsibility for enforcement
of those standards with the Secretary of Labor, was the inadequacy
of state court remedies. Professor Archibald Cox, testifying before
the Senate Subcommittee on Labor, explained in detail the inherent
inability of courts to supervise elections:
"A court is also a clumsy instrument for supervising an
election. The judicial process may be suitable for determining the
validity of an election which has already been held; but if it is
found invalid, or if no election has been held, judges have few
facilities for providing an effective remedy. Merely to order an
election might turn the authority to conduct the balloting over to
the very same officers whose misconduct gave rise to the
litigation. The court has no tellers, watchers, or similar
officials. It would become mired in the details of the electoral
process. To appoint a master to supervise the election would
delegate the responsibility, but the master would face many of the
same problems as the judge. Probably it is the consciousness of
these weaknesses that has made judges so reluctant to interfere
with union elections, though apparently a few court-conducted
elections have been held."
Labor-Management Reform Legislation: Hearings on S. 505
et
al. before the Subcommittee on Labor of the Senate Committee
on Labor and Public Welfare, 86th Cong., 1st Sess., 133-134 (1959)
(hereinafter Hearings).
[
Footnote 20]
This view is confirmed by the elaborate procedures eventually
included in Title IV to ensure that the Secretary supervises any
new elections and to minimize any other outside interference in
union elections.
See, e.g., 29 U.S.C. § 482(a)
(requiring exhaustion of internal remedies before member may file
complaint with the Secretary; also providing that challenged
elections shall be presumed valid pending final decision on Title
IV violation); § 482(c) (requiring that any new elections be
conducted under the Secretary's supervision).
[
Footnote 21]
Again, Professor Cox' testimony before the Senate Subcommittee
on Labor suggested a similar analysis. Although he was speaking
before Title I was added to the Senate bill, Professor Cox objected
to a broad exclusivity provision,
see S. 505, 86th Cong.,
1st Sess., § 303 (1959) ("The duties imposed and the rights
and remedies provided by this title shall be exclusive"), that
would have preempted all state law concerning union elections:
"[T]he provision exclude[s] suits in the State courts
challenging the validity of union elections. An election is an
integer. Its validity should be adjudicated once and for all in one
forum. To permit State court actions would open the way to
unnecessary harassment of the union, on one side, and to friendly
suits aimed at foreclosing the Secretary's action, on the
other."
"I still believe that these purposes deserve to be accomplished,
but I have been persuaded that the language used in [S. 505] to
accomplish them [is] much too broad. In a few States, actions have
been successfully maintained in advance of a union election to
compel the officers to comply with provisions of the constitution
and bylaws such as putting a candidate's name on the ballot,
permitting a classification of members to vote, or giving adequate
notice of the elections. These remedies are often more effective
than a challenge to the validity of an election after it has been
held. They present the evil before it is accomplished. It is not
impossible that other State courts will find it possible to give
similar relief enforcing the union constitution and bylaws in
advance of the election. Such proceedings would not interfere with
the Federal policy, because they do no more than compel the union
officers to comply with the rules voluntarily adopted by the
members."
"It may also become necessary for an individual member to resort
to the courts to secure redress against his expulsion from the
union or against other discipline imposed upon him because he dared
to assert his rights in connection with an election. To enact that
the provisions of the . . . bill should exclude all other rights
and remedies might interfere with the bringing of such an action
even though the Federal law gave no relief."
"I am not contending that [the exclusivity provision] would be
held to exclude the last two forms of State intervention. I would
hope that the Supreme Court would confine [the] section . . . to
substantive State regulation and Federal or State actions
challenging the validity of an election already conducted."
Hearings at 135.
In light of these suggestions, Professor Cox proposed amending
the exclusivity provision so that it would not affect
"the right of any member of a labor union to maintain an action
to compel the observance of the constitution and bylaws of a labor
organization in a forthcoming election of officers, to challenge
his expulsion or the imposition of other discipline,
or to
assert any right of individual membership other than to challenge
the validity of an election."
Id. at 136 (emphasis added). Although Professor Cox
apparently assumed that union elections would occur during a
discrete period of time, we believe that his analysis is consistent
with the approach to Title I remedies available during a union
election that we adopt today. Indeed, the broad exclusivity
provision to which he was objecting was removed by the Senate
Subcommittee and replaced with the language that now appears in
§ 403, 29 U.S.C. § 483.
[
Footnote 22]
Most recently, in
Dunlop v. Bachowski, 421 U.
S. 560 (1975), we held that a decision by the Secretary
not to pursue court action under Title IV is subject to limited
review in the district court. At the same time, we reaffirmed the
Secretary's exclusive authority to challenge and, if successful, to
supervise union elections.
Id. at
421 U. S.
568-571.
We also note that, in a paragraph summarizing remedies under the
LMRDA, our opinion in
Bachowski briefly touched upon the
interplay between the enforcement provisions under Title I and
Title IV:
"Certain LMRDA provisions concerning preelection conduct, 29
U.S.C. §§ 411-413 and 481(c), are enforceable in suits
brought by individual union members.
Provisions concerning the
conduct of the election itself, however, may be enforced only
according to the post-election procedures specified in 29 U.S.C.
§ 482. Section 483 is thus not a prohibition against
judicial review, but simply underscores the exclusivity of the
§ 482 procedures in post-election cases."
Id. at 566-567 (emphasis added). To the extent that our
decision today holds that district courts may award certain Title I
relief during the course of a union election, that holding prevails
over any inconsistency with the italicized sentence.
[
Footnote 23]
On remand, the preliminary injunction issued by the District
Court should be vacated, and the ballots from the December 1980
election that were sealed and delivered to the court should be
returned to the custody of the petitioners. After those ballots
have been counted, and the election completed, the respondents will
have access to the remedies available under Title IV. We note that
the Solicitor General has represented to this Court that "the
Secretary would himself have sought a new election for a
nominations violation like the one alleged here." Brief for Federal
Respondent 11; Tr. of Oral Arg. 27.
JUSTICE STEVENS, dissenting.
In the course of an election, Local 82 violated a number of the
rights of respondent union members secured by Title I of the
Labor-Management Reporting and Disclosure Act of 1959 (LMRDA), 73
Stat. 522, 29 U.S.C. § 401
et seq. Specifically,
Local 82 restricted respondents' ability to nominate candidates of
their choice for union office in violation of § 101(a)(1) of
the Act, 29 U.S.C. § 411(a)(1), and prevented respondents from
freely expressing their views at a union nominations meeting in
violation of § 101(a)(2) of the Act, 29 U.S.C. §
411(a)(2). After the suit was filed, the union indicated that it
was willing to rerun the election, which had been conducted
subsequent to the tainted nominations meeting. The District Court
preliminarily enjoined the union to do exactly that, exercising its
authority under § 102 of the Act, which provides in pertinent
part:
"Any person whose rights secured by the provisions of this
subchapter have been infringed by any violation of this subchapter
may bring a civil action in a district court of the United States
for such relief (including injunctions) as may be
appropriate."
29 U.S.C. § 412 (emphasis supplied).
Today, the Court agrees that respondents have established
violations of Title I, and that the District Court had jurisdiction
to fashion a remedy under § 102. However, the Court reverses
the issuance of the preliminary injunction, holding that it did not
constitute "appropriate relief" within the meaning of § 102.
The Court so holds not because of anything in § 102 or its
legislative history, but rather because of a provision in Title IV
of the Act which was written long before § 102 was added to
the LMRDA, and which was designed to
Page 467 U. S. 553
limit the remedies available in state courts, rather than the
remedy a federal court may provide for a violation of Title I.
It must be conceded that there is an inconsistency between
Titles I and IV of the LMRDA. While § 102 in Title I grants
district courts seemingly unqualified power to grant "such relief
(including injunctions), as may be appropriate," § 403 of
Title IV provides: "The remedy provided by this title for
challenging an election already conducted shall be exclusive." 73
Stat. 534, 29 U.S.C. § 483. As the Court points out, the
legislative history contains nothing that directly addresses this
apparent inconsistency.
Ante at
467 U. S.
542-543. I agree with the Court that the question
presented by this case can be answered only by reference to the
underlying purposes of the Act.
Ante at
467 U. S.
541-542. However, I do not agree that those purposes
support today's holding.
Title I was "aimed at enlarged protection for members of unions
paralleling certain rights guaranteed by the Federal Constitution,"
Finnegan v. Leu, 456 U. S. 431,
456 U. S. 435
(1982). By securing these rights, Congress hoped to ensure unions
would function in a more democratic manner. [
Footnote 2/1] We have previously construed § 102 of
Title I to have a broad sweep, consistent with its broad remedial
purposes. In
Hall v. Cole, 412 U. S.
1 (1973), we wrote:
"§ 102 was intended to afford the courts 'a wide latitude
to grant relief according to the necessities of the case,' and 'to
give such relief as [the court] deems equitable under all the
circumstances.'"
Id. at
412 U. S. 13
(footnotes omitted) (quoting 105 Cong.Rec. 15548 (1959) (remarks of
Rep. Elliott), and
id. at 6717 (remarks of Sen. Kuchel)).
Employing this broad construction of the power conferred by §
102, we then held that an award of attorney's fees was consistent
with the statute. [
Footnote
2/2]
Page 467 U. S. 554
The Court concedes that § 102 authorizes the issuance of
limited injunctions that would not substantially delay or
invalidate an election,
ante at
467 U. S. 546.
The anomaly that results is that only the most serious violations
of Title I go unremedied as a result of today's holding. It is only
when a violation takes place in the midst of an election, produces
the kind of irreparable injury that only an injunction can remedy,
and is of a magnitude such that it taints the entire election and
the results thereof, that the Court's holding precludes a remedy.
Such an approach is plainly inconsistent with the fundamental
purposes of Title I.
There is no instance in which Title I rights are of greater
importance, and hence the need for their effective vindication a
more compelling necessity, than in the midst of an election. We
wrote in
Hall that "Title I of the LMRDA was specifically
designed to protect the union member's right to seek higher office
within the union." 412 U.S. at
412 U. S. 14. The
reason for this is clear enough:
"Congress adopted the freedom of speech and assembly provision
in order to promote union democracy. It recognized that democracy
would be assured only if union members are free to discuss union
policies and criticize the leadership without fear of reprisal.
Congress also recognized that this freedom is particularly
critical, and deserves vigorous protection, in the context of
[union] election campaigns. For it is in elections that members can
wield their power, and directly express their approval or
disapproval of the union leadership."
Steelworkers v. Sadlowski, 457 U.
S. 102,
457 U. S. 112
(1982) (citations omitted). By ensuring that Title I violations
which go to the heart of the electoral process will not be
effectively remedied, the majority seriously undermines the core
purpose of Title I.
Page 467 U. S. 555
The underlying purposes of § 403, in contrast, provide no
justification for limiting the relief available under § 102.
Section 403 was written before Title I was added to the LMRDA on
the floor of the Senate. Thus, as the majority acknowledges
ante at
467 U. S.
542-543, there is little in Title IV's history or
purpose to suggest that it was directed at limiting the relief
available under Title I. At the time § 403 was drafted and
discussed, its only effect was to limit the ability of state courts
to invalidate union elections; that is certainly the only purpose
or policy identified in the legislative history. For example, the
Senate Report states:
"Section [4]03 of the bill specifically preserves rights and
remedies which union members have under existing law to insure
compliance with provisions of a union's constitution and bylaws
relating to elections prior to the conduct of an election. However,
since the bill provides an effective and expeditious remedy for
overthrowing an improperly held election and holding a new
election, the Federal remedy is made the sole remedy, and private
litigation would be precluded."
S.Rep. No. 187, 86th Cong., 1st Sess., 21 (1959). [
Footnote 2/3]
Page 467 U. S. 556
In fact, this Court has previously acknowledged this very
point:
"The debates reflect great concern with the proper relationship
between state and federal remedies, and much less concern with the
relationship between private and public enforcement."
Trbovich v. Mine Workers, 404 U.
S. 528,
404 U. S. 534,
n. 6 (1972). Thus, the policies underlying § 403 are a slender
reed on which to support today's holding.
Moreover, what limited relevance the original intent and purpose
of Title IV has is undermined by the subsequent addition of Title I
on the floor of the Senate. The precise reason Title I was added to
the LMRDA was because Congress concluded that Title IV did not go
far enough in protecting the rights of individual union members.
[
Footnote 2/4] In particular,
Congress added § 102 because it felt that these rights had to
be enforced through a private right of action.
Finnegan,
456 U.S. at
456 U. S. 440,
n. 10.
The original version of Title I, offered as an amendment to the
LMRDA by Senator McClellan, provided that the rights contained
therein would be enforced through suits brought by the Secretary of
Labor.
See 105 Cong.Rec. 6469-6492 (1959). The amendment
passed only narrowly, with the Vice President casting the
tie-breaking vote.
See id. at 6493. One of the arguments
made against this version of Title I by a number of Senators was
that the rights it created were individual
Page 467 U. S. 557
in nature and should be enforced through a private right of
action, rather than by the Secretary of Labor. [
Footnote 2/5]
Three days later, Senator Kuchel offered a compromise version of
Title I. He explained:
"[I]n several major points, the McClellan amendment would be
changed by our amendment. In one case, our amendment provides for
deleting from the McClellan amendment the provision for the right
of the Secretary of Labor to seek an injunction when any of the
rights enumerated are alleged to have been violated. In such
circumstances, our amendment gives a union member who alleges such
a grievance the right to go into the Federal court for appropriate
relief."
Id. at 6717. This change resulted from dissatisfaction
with leaving Title I rights in the hands of the Secretary of Labor.
Senator Kuchel explained:
"[H]ere is one of the major changes in the proposal. The
amendment of the Senator from Arkansas provided that the Secretary
of Labor might, on behalf of the injured or aggrieved member, have
the right to litigate the alleged grievance and to seek an
injunction or other relief. We believe that giving this type of
right to the aggrieved employee member himself is in the interest
of justice, and therefore we propose to eliminate from the bill the
right of the Secretary of Labor to sue in his behalf."
Id. at 6720. Senator Kefauver congratulated Senator
Kuchel on removing the Secretary of Labor from "the middle of the
actions of every labor union in the United States,"
id. at
6726, and Senator Clark noted that the new version of Title I
"takes the Federal bureaucracy out of this bill of rights and
leaves
Page 467 U. S. 558
its enforcement to union members, aided by courts,"
id.
at 6721. Senator Curtis said that according the individual union
member a private right of action "represents the finest means by
which his rights may be protected."
Id. at 6723. There are
numerous other statements in the legislative history to similar
effect. [
Footnote 2/6] Thus,
whatever may have been its belief when Title IV was originally
drafted, the legislative history of Title I demonstrates that
Congress rejected reliance on the Secretary of Labor to vindicate
Title I rights. Yet that is the precise effect of today's holding
-- in those cases where the seriousness of the violation and the
irreparability of the remedy would justify an injunction
overturning the results of an election, the Court has decreed that
union members' ability to obtain a remedy for violations of their
Title I rights is left to the discretion of the Secretary, a result
at odds with the fundamental reason § 102 was added to the
statute. [
Footnote 2/7]
Calhoon v. Harvey, 379 U. S. 134
(1964), the case on which the majority principally relies, does not
require the Court to adopt its parsimonious construction of §
102. In
Calhoon, the Court began its analysis with a
simple proposition:
"Jurisdiction of the District Court under § 102 of Title I
depends entirely upon whether this complaint showed a violation of
rights guaranteed by § 101(a)(1),"
id. at
379 U. S. 138.
In stating its
Page 467 U. S. 559
holding, the Court never mentioned § 403, much less hold
that it limited the scope of relief available under § 102. The
Court simply held that the complaint in that case did not fall
under § 102 because it challenged the eligibility requirements
for union office, and "Title IV, not Title I, sets standards for
eligibility and qualifications of candidates and officials,"
ibid. In this case, since the Court concedes that
respondents established the probable existence of violations of
§ 101, it follows that, under
Calhoon, there is
jurisdiction to issue an "appropriate" remedy for those violations.
[
Footnote 2/8]
In sum, the Court's conclusion that § 403 is a limitation
on the power granted district courts in § 102 turns the
statute and its legislative history on their head. The majority
reads the statute as if Title IV had been added to the statute to
limit the scope of Title I, when in reality the reverse is true.
Congress wanted union members to be able to protect their own Title
I rights, rather than to rely on the Secretary of Labor. Because
the Court's holding means that the most serious violations of Title
I cannot be adequately remedied except in the discretion of the
Secretary, I cannot join the Court's holding or judgment.
I recognize that, in practice, the question whether a new
election is an appropriate remedy will not be free from difficulty.
In shaping a remedy, the exercise of the district court's
discretion should be informed by the national labor policies
discussed by the Court
ante at
467 U. S. 544,
n.19,
467 U. S.
548-549:
Page 467 U. S. 560
courts should be wary of unjustified or excessive interference
in union elections and of the difficulties inherent in supervising
an election; they should also accord due deference to the views of
the Secretary of Labor. [
Footnote
2/9] However, it is unnecessary to confront any question
concerning the meaning of "appropriate" relief in this case, for
two reasons. First, petitioners themselves do not press the point.
The questions presented in their petition for certiorari, and the
thrust of their briefs, are that § 403 precluded the District
Court from acting as it did. Petitioners do not argue that the
District Court abused its discretion even if § 403 were not
applicable here. Second, in large part, petitioners stipulated to
the appropriateness of the relief in the District Court by filing
stipulations indicating that they were willing to rerun the
allegedly tainted election.
See 521 F.
Supp. 614, 618, 623 (Mass.1981); App. 55-60, 108-110. I agree
with the Court of Appeals that, since the relief the District Court
ultimately issued was substantially similar to what petitioners had
indicated they were willing to do anyway, Judge Keeton did not
abuse his discretion in fashioning a remedy.
See 679 F.2d
978, 996-999 (CA1 1982).
Accordingly, I do not believe that the District Court failed to
fashion "appropriate" relief or otherwise abused its discretion. I
respectfully dissent.
[
Footnote 2/1]
See Steelworkers v. Sadlowski, 457 U.
S. 102,
457 U. S. 112
(1982);
Finnegan, 456 U.S. at
456 U. S.
435-436;
Hall v. Cole, 412 U. S.
1,
412 U. S. 7-8
(1973);
Wirtz v. Hotel Employees, 391 U.
S. 492,
391 U. S.
497-498 (1968).
[
Footnote 2/2]
"[Section] 102 of the LMRDA broadly authorizes the courts to
grant 'such relief (including injunctions) as may be appropriate.'
29 U.S.C. § 412. Thus, § 102 does not 'meticulously
detail the remedies available to a plaintiff,' and we cannot fairly
infer from the language . . . an intent to deny to the courts the
traditional equitable power to grant counsel fees in 'appropriate'
situations.'"
412 U.S. at
412 U. S. 10.
[
Footnote 2/3]
The other relevant statements in the legislative history
concerning § 403 also focus on its preemptive effect with
respect to state courts,
see 105 Cong.Rec. 14274 (analysis
of the U.S. Chamber of Commerce);
id. at 7632 (remarks of
Sen. Goldwater); S.Rep. No. 187, 86th Cong., 1st Sess., 101 (1959)
(minority views); S.Rep. No. 1684, 85th Cong., 2d Sess., 12-15
(1958) (report on predecessor version of the LMRDA). The majority
concludes that § 403 represents a congressional recognition
that judicial intervention through suits brought by private
litigants is an inappropriate way to remedy unfair elections, but
the only legislative history cited by the majority in support of
that conclusion is the testimony of Professor Cox, and even he
refers only to preemption of suits in state courts.
See
ante at
467 U. S.
546-548, n. 21.
See also ante at
467 U. S. 542,
n.19. The version of the LMRDA passed by the House provides little
support for the Court's position that Congress was opposed to
private suits to overturn union elections, since not only did the
House version contain a Title I which was enforced by private
suits, but also, under that version, Title IV itself was enforced
by private suits, which could result in the overturning of an
election.
See H.R. 8342, §§ 101-102, 402, 86th
Cong., 1st Sess. (1959), reprinted in 105 Cong.Rec. 15884, 15887
(1959).
See also H.R.Rep. No. 741, 86th Cong., 1st Sess.,
16-17 (1959) ("A member of a labor organization who is aggrieved by
any violation of these provisions . . . may bring a civil action
against such labor organization in the U.S. district court for the
district in which the principal office of such labor organization
is located. Such action may be for the purpose of preventing and
restraining such violation and for such other relief as may be
appropriate, including the holding of a new election under the
supervision of the Secretary of Labor and in accordance with this
title").
[
Footnote 2/4]
See Sadlowski, 457 U.S. at
457 U. S. 109;
105 Cong.Rec. 6470-6474 (1959) (remarks of Sen. McClellan);
id. at 6476-6478;
id. at 6488 (remarks of Sens.
Allott and Goldwater);
id. at 6490 (remarks of Sen.
Dirksen).
[
Footnote 2/5]
See id. at 6696 (remarks of Sen. Johnston);
id. at 6486 (remarks of Sen. Kennedy);
id. at
6485 (remarks of Sen. Morse);
id. at 6483 (remarks of Sen.
Kennedy).
[
Footnote 2/6]
See id. at 15836 (remarks of Rep. McCormack);
id. at 15689 (remarks of Rep. O'Hara);
id. at
15670-15671 (remarks of Rep. Loser);
id. at 15564-15565
(analysis of Rep. Foley);
id. at 14989 (remarks of Sen.
Morse);
id. at 14345 (remarks of Rep. Landrum);
id. at 1090210903 (remarks of Sen. McClellan);
id. at 7023 (section-by-section analysis).
[
Footnote 2/7]
See generally Calhoon v. Harvey, 379 U.
S. 134,
379 U. S.
144-145 (1964) (Stewart, J., concurring). As I have
previously observed, this result leaves the individual union
member's statutory rights subject to the Secretary of Labor's
willingness to proceed against what may be an entrenched and
politically powerful union leadership.
See Hodgson v. Lodge
851, International Assn. of Machinists & Aerospace
Workers, AFL-CIO, 454 F.2d 545, 564 (CA7 1971) (dissenting
opinion).
[
Footnote 2/8]
The majority itself explains why two of our other cases are not
controlling. Statements in
Dunlop v. Bachowski,
421 U. S. 560,
421 U. S.
566-567 (1975), concerning the preemptive effect of
§ 403 are correctly characterized by the majority as dicta
which the majority itself repudiates as too broad.
Ante at
467 U. S.
549-550, n. 22. Similarly, the Court recognizes that
Trbovich's citation of
Calhoon as standing for
the proposition that "§ 403 prohibits union members from
initiating a private suit to set aside an election," 404 U.S. at
404 U. S. 531,
was an overstatement of the holding of
Calhoon.
Ante at
467 U. S. 549.
Moreover,
Trbovich, like
Calhoon and
Bachowski, involved claims properly brought under Title
IV; no issue concerning the scope of § 102 was presented.
[
Footnote 2/9]
Under Federal Rule of Civil Procedure 24(b), the Secretary of
Labor can intervene in Title I litigation, as he has in this case.
Cf. Trbovich, 404 U.S. at
404 U. S.
536-539 (union members may intervene in Title IV actions
brought by the Secretary).