Eric ROTHNER d/b/a Chicago Game Co., and d/b/a Bell Vending, Inc., Plaintiff-Appellee, v. CITY OF CHICAGO, a municipal Corporation, Defendant-Appellant.
Nos. 88-1999, 88-2690.
United States Court of Appeals, Seventh Circuit.
July 5, 1989
879 F.2d 1402
Before FLAUM, EASTERBROOK, and RIPPLE, Circuit Judges.
Argued Jan. 12, 1989.
Judson H. Miner, Corporation Counsel, Ruth M. Moscovitch, Asst. Corporation Counsel, William B. Mackin, Jeffrey P. Smith, Office of the Corporation Counsel, Chicago, Ill., for City of Chicago.
These consolidated appeals, both brought by the City of Chicago, raise two questions: (1) whether an order remanding a removed case to state court on the ground that the defendant waived the right to remove prior to the running of the thirty-day time period for removal by participating in state court proceedings is reviewable under Thermtron Products, Inc. v. Hermansdorfer, 423 U.S. 336, 96 S.Ct. 584, 46 L.Ed.2d 542 (1976); and (2) whether a temporary restraining order issued by the state court prior to removal is subject to the time limitations imposed by
I.
On March 20, 1988, Eric Rothner, a vendor and distributor of video-game machines and the owner of a video-game arcade, filed suit in state court against the City of Chicago, seeking to enjoin enforcement of the following ordinance, claiming that it violates his constitutional rights:
No person, firm, corporation, organization, or other legal entity shall permit, and it shall be unlawful for, any person under seventeen years of age to operate any automatic amusement device, except upon the premises of the city airports, between the hours of 8:00 a.m. and 3:00 p.m. on days in which the city‘s public schools are in session.
Chicago Municipal Code § 104.2-10.
On April 14, 1988, before the City had answered the complaint, Rothner filed an emergency motion for a temporary restraining order (“TRO“) which was heard on that day by Judge Green of the Circuit Court of Cook County. The City received less than two hours’ notice prior to the hearing. An attorney from the Corporation Counsel‘s office appeared in court, stating that he had received the papers “a few minutes ago.” Judge Green then stated that he had “never seen [this case] before.” After a few moments’ discussion concerning notice, Judge Green asked the City‘s attorney “why I shouldn‘t issue [a TRO].” The following colloquy ensued:
MR. MACKIN (the City‘s attorney): Well, your Honor, I think on its face the ordinance is a legitimate exercise of the city‘s police power to regulate a legitimate need.
THE COURT: Are you collecting fees on it, on the machines? Are you taking the full license fees?
MR. MACKIN: I personally don‘t know.
THE COURT: You sure do. Let the record reflect that you do. I don‘t live in a vacuum. You collect the fees. I know what the City Counsel is attempting to achieve.... Why don‘t
you stop the kids from taking the CTA out to O‘Hare Field and playing the machines out there between the hours of 8:00 a.m. and 3:00 p.m.?
Based on those comments—and without hearing any argument from Rothner‘s attorney, nor taking any evidence, nor making any findings—Judge Green immediately and summarily ruled that the ordinance was “facially defective,” “unenforceable,” and “vague,” and issued a handwritten order that, in effect, amounted to a grant of Rothner‘s motion for a TRO. The order stated “[t]hat all enforcement of this ordinance 104.2-10 are [sic] stayed until a hearing is held on May 12, 1988 at 2:15 PM.”
On April 20, 1988, the City removed the case to federal court. Shortly thereafter, the City twice moved to dissolve Judge Green‘s “stay” of enforcement, and Rothner moved to remand the case to state court. At a hearing on April 26, the district judge summarily denied the City‘s first motion and stated, without explanation or findings, that the stay would “remain in effect pending determination of the motion” to remand. With regard to that motion, the district judge commented, “Why can‘t state courts decide Constitutional questions?” On May 26, the City filed a second motion to dissolve the stay. The district judge refused to act on this motion and apparently considered the stay to remain in effect, even though it had expired by its own terms on May 12. The City filed appeal No. 88-1999 from the district court‘s refusal to dissolve the stay.
Four months later, the district judge filed a written opinion granting Rothner‘s motion to remand, finding that the City had waived its right to remove by appearing in state court to oppose the motion for a TRO. 692 F.Supp. 916. The district judge expansively characterized the hearing before Judge Green as follows:
Defendants City of Chicago, Mayor Eugene Sawyer, Superintendent of Police Leroy Martin, and their officers and agents (collectively the “City“), after receiving proper notice of this action, appeared in state court and vigorously opposed Rothner‘s motion for a temporary restraining order. After receiving argument from both sides, Judge Albert Green of the state court‘s Chancery Division declared [the ordinance] facially defective and unenforceable. (emphasis added).
The district judge acknowledged that the City had complied with all of the statutory requirements for removal, including timely filing of its petition. The judge also acknowledged the long-settled common law rule that opposing a motion for a temporary restraining order does not waive the right to remove. Nevertheless, because the district judge believed that the City‘s motive for removing the case to federal court was improper, the court held that the City had waived its right to remove. The strong tone of the court‘s opinion evidences the district judge‘s animus toward the City‘s attempt to remove. The court wrote:
At all times prior to offering opposition to Rothner‘s motion, the City retained the right to remove the instant action to federal court.... Rather than following such a course, the City elected to defend Rothner‘s motion. It was only after receiving [an] adverse ruling and determining that Judge Green‘s opinion left little hope of ultimate success that the City filed its removal petition. The City asserts that its policy is to litigate all constitutional cases in federal court. One wonders, however, whether the city would be before this court had it succeeded in defeating Rothner‘s motion before Judge Green.
The thought that Congress could have intended litigants to use
§ 1441 to “test the waters” in state court before deciding whether to exercise their right to remove is simply absurd. Under such a system, a defendant, after electing to defend a removable matter in state court, is able to dissolve any adverse orders of preliminary relief by simply filing a petition to remove. Thereafter, to preserve the relief accorded by state court, a plaintiff is required to persuade a second judicial officer of his position. Thus, this practice allows a defendant to shop fromforum to forum until receiving a favorable result.
Although other courts have found that opposing a motion for preliminary relief does not effectuate waiver of the right to remove, the facts in the instant action dictate a different result. Here, the City‘s established policy is to “litigate all constitutional matters in federal court.” Pursuant to this policy, the City immediately removes cases involving constitutional issues to ensure all matters are litigated before federal rather than state judges. The City‘s actions in the present case reveal a marked departure from this practice. Instead of removing the instant action, the City elected to appear in state court and oppose the motion for preliminary relief. Viewed in light of its established policy, the City‘s willingness to litigate the challenged ordinance‘s constitutionality before Judge Green clearly demonstrates an intent to waive the right to remove. The City‘s recently filed petition to remove this case is nothing more than a poorly disguised attempt to undermine the power of the state court to enforce its order of preliminary relief. This attempted abuse of
The City filed appeal No. 88-2690 from the remand order, which the district court stayed pending our decision. Unless we reverse the order remanding the case, the appeal from the refusal to dissolve Judge Green‘s stay is moot, for the case would then be under the jurisdiction of the state court. Thus, we begin with the appeal from the remand, which raises the most difficult issue in the case: whether we have jurisdiction to review an order remanding a case to state court on the ground that the defendant waived the right to remove prior to the running of the thirty-day time period for removal.
II.
We initially note that the removal and remand in this case are governed by, and all citations are to, the provisions of the removal statutes as they appear in the 1982 edition of the United States Code.
Our decision as to the reviewability and propriety of the remand order is governed by the Supreme Court‘s decisions in Thermtron Products, Inc. v. Hermansdorfer, 423 U.S. 336, 96 S.Ct. 584, 46 L.Ed.2d 542 (1976), and Carnegie-Mellon University v. Cohill, 484 U.S. 343, 108 S.Ct. 614, 98 L.Ed.2d 720 (1988). In Thermtron, the defendants had removed a diversity case to federal court in full compliance with the jurisdictional and procedural requirements for removal set out in
The question before the Supreme Court was whether, in light of the prohibition on review of remand orders set out in
In the subsequent case of Carnegie-Mellon, the Court revised the first rule and affirmed a discretionary remand based on the doctrine of pendent jurisdiction. The Carnegie-Mellon Court held that where a case is properly removed on the basis of federal question jurisdiction, and the federal question claim drops out of the lawsuit early in the litigation, the district court may, in its discretion, dismiss or remand any remaining pendent state law claims, even though such a remand is not authorized by
In light of these two cases, we must decide whether the remand in the instant case was authorized by
The task then is to determine whether the district court remanded the instant case in accordance with
III.
In determining that the district court exceeded its authority under
While finding that ground to be invalid under
other hand, stressed that “Congress immunized from all forms of appellate review any remand order issued on the grounds specified in
One might wonder why the Court decided to open the door to review of the discretionary remand in Thermtron while adhering to the absolute ban on review of erroneous jurisdictional decisions in Gravitt and Volvo. For, as to the individual defendants, the remands were equally unfair whether based on an erroneous jurisdictional analysis or on a discretionary reason. In both situations, absent review, the defendants are denied a federal forum. While one may not be able to completely discern the underlying rationale for Thermtron, we can certainly understand the type of case it represented in light of the policy underlying the removal statutes.
The removal statutes grant a right to a federal forum. The motivating concern for granting that statutory right was to protect litigants against local prejudice, influence, and discrimination. If a district court judge were permitted to order a case remanded on the discretionary ground that his docket is too crowded, he would be in a position to subvert the fairness concerns
Carnegie-Mellon is not inconsistent with that rationale. In that case, the district court was permitted to remand pendent state law claims after the federal claim dropped out of the lawsuit. Without a federal claim present, the concerns about fairness, prejudice, and discrimination lose their force. Should a court abuse its discretion with respect to exercising jurisdiction over remaining state law claims, the harm would go mainly to the interest of efficiency—an important interest, but not an interest upon which the removal statutes are based.
The facts of the instant case are very similar to the facts of Thermtron and invoke the same fairness concerns outlined above. As in Thermtron, the district judge acknowledged that the case had been removed in compliance with statutory requirements. As in Thermtron, the district court did not purport to rely on
At bottom, the district court used the common law doctrine of waiver as, in the district judge‘s words, “a poorly disguised” vehicle to effect a discretionary remand much like the discretionary remand in Thermtron. However, we must recognize that waiver itself is not, in a strict sense, a discretionary ground for remand. Rather, a waiver determination involves a factual and objective inquiry as to the defendant‘s intent to waive. At the same time, as evidenced in this case and as will be discussed at greater length in part IV., B., below, it is a doctrine of uncertain application, capable of great manipulation. Since Thermtron did not definitively explain the grounds for remand contained in
IV.
The second approach to our inquiry sheds the policy considerations discussed above and focuses on the relevant case law and legislative history. This broader approach views waiver in the abstract and analyzes the parameters of
A.
While Thermtron did not specify the universe of grounds for remand contained in
Here, respondent did not purport to proceed on the basis that this case had been removed “improvidently and without jurisdiction.” Neither the propriety of the removal nor the jurisdiction of the court was questioned by respondent in the slightest. [Footnote:] So far as the record reveals, it has not been questioned in this case that the cause is between citizens of different States, that it involves a claim of over $10,000 exclusive of interest and costs, that it is within the so-called diversity jurisdiction of the District Court and that it could have been initially filed in the District Court pursuant to
28 U.S.C. § 1331 . [These are the jurisdictional requirements contained in§ 1441 .] It also seems common ground that there is no express statutory provision forbidding the removal of this action and that the cause was timely removed in strict compliance with28 U.S.C. § 1446 .
423 U.S. at 343-44 and n. 8, 96 S.Ct. at 589-90 and n. 8 (emphasis added). While this statement does not purport to be a comprehensive or exclusive interpretation of the phrase “improvidently and without jurisdiction,” the implication is that the grounds for remand authorized by
This conclusion is confirmed by Justice White‘s (the author of Thermtron) dissenting opinion in Carnegie-Mellon. Disagreeing with the majority‘s conclusion that district courts have inherent power to remand cases under the pendent jurisdiction doctrine, Justice White emphasized that “[t]here is no statutory basis for this hold-ing.” 108 S.Ct. at 622. Justice White believed that the only grounds for remand were statutory grounds, not judge-made rules.
The majority opinion in Carnegie-Mellon is also consistent with the conclusion that the grounds for remand authorized by
Several courts of appeals, including this one, have similarly held that the grounds for remand under
[T]he district court remanded a properly removed action for a discretionary reason not authorized by
§ 1447(c) . The district court did not hold that it lacked jurisdiction. The only other permissible ground for remand is improvident removal. “[A] district court may remand a case as being ‘improvidently’ removed only if one of the statutory, non-juris-
dictional requirements for removal has not been satisfied.”
Id. at 1133 (footnote and citations omitted, emphasis added).
The Northern District of Illinois elaborated on the Ryan holding as follows, an elaboration with which we agree:
At the outset, we observe that the term “provident” in
§ 1447(c) is not a broad invitation to this Court to decline jurisdiction simply for reasons of economy. It simply refers to basic non-jurisdictional requirements such as the posting of a bond. It is now well established that a district court cannot remand an otherwise properly removed case for discretionary or policy reasons. [citing Thermtron and Ryan] Since this case satisfies the jurisdictional and non-jurisdictional requirements of§§ 1441 and1446 , respectively, there is no basis for remanding this case.
Elrand v. United Life and Accident Insurance Co., 624 F.Supp. 742, 743-44 (N.D. Ill.1985).
Further, in Cook v. Weber, 698 F.2d 907 (7th Cir.1983), a post-Thermtron, pre-Carnegie-Mellon case, we interpreted
Two other circuit court cases are in accord. In Corcoran v. Ardra Insurance Co., 842 F.2d 31 (2d Cir.1988), the district court had remanded on the ground of abstention. Finding the order to be reviewable, the Second Circuit stated, “the district court did not suggest that it lacked jurisdiction or that the action had not been removed in accordance with the prescribed procedures.” Id. at 34 (emphasis added). In In re Merrimack Mutual Fire Insurance Co., 587 F.2d 642 (5th Cir.1978), the Fifth Circuit could not determine from the district court‘s order whether the district judge had relied on non-1447(c) grounds. The circuit court seemed to conclude that the remand had indeed been on jurisdictional grounds, but that in any event it would not use mandamus to compel a district court to state unambiguous reasons. Most importantly, however, the Fifth Circuit stated, “[r]emoval cannot have been improvident if all procedural requirements, e.g., timely filing, have been satisfied.” Id. at 645 n. 3. The court concluded “that a district court may remand a case as being ‘improvidently’ removed only if one of the statutory, non-jurisdictional requirements for removal has not been satisfied.” Id. at 647 n. 8.
This reading of
The recent amendments to the removal statutes effected by the Judicial Improvements and Access to Justice Act are also instructive. Congress has revised
In sum, we find that the phrase “improvidently and without jurisdiction” means noncompliance with the procedural and jurisdictional requirements for removal stated by Congress. This interpretation is indicated by Thermtron, is consistent with Carnegie-Mellon, is in accord with prior court of appeals cases, and is reasonably and logically expressive of congressional intent. Accordingly, we need only separate out those requirements which relate to jurisdiction and the remaining requirements fall within the ambit of “improvidently.” The non-jurisdictional requirements for removal are contained in
Subsection (c) amends
28 U.S.C. 1447(c) and adds a new subsection (e). Section 1447(c) now appears to require remand to state court if at any time before final judgment it appears that the removal was improvident. So long as the defect in removal procedure does not involve a lack of federal subject matter jurisdiction, there is no reason why either State or Federal courts, or the parties, should be subject to the burdens of shuttling a case between two courts that each have subject matter jurisdiction.
H.R.Rep. No. 100-889 at 72 (emphasis added), U.S.Code Cong. & Admin.News 1988, p. 6033. This statement appears to include within the term “improvident” both defect in removal procedure and lack of jurisdiction, which under our disjunctive reading of the phrase “improvidently and without jurisdiction” is unnecessary. The important point is that Congress specifically links the term “improvident” to procedural defects. We note that the dissent also claims support from the 1988 amendment, reasoning that a motion to remand on the ground of waiver “ought to be raised ASAP,” and unless we fit waiver into “defect in the removal procedure,” post at 1421, no time limit will apply for bringing the motion. The Supreme Court long ago addressed and disposed of that problem. In Ayers v. Watson, 113 U.S. 594, 5 S.Ct. 641, 28 L.Ed. 1093 (1885), the Court held that non-jurisdictional objections to removal must be made promptly or they are waived.
B.
Interpreting the term “improvidently” to mean noncompliance with the procedural requirements of
The Judiciary Act of 1875 required a petition for removal to be filed in the state court “before or at the term at which said cause could be first tried and before the trial thereof.” Mar. 3, 1875, ch. 137, § 3, 18 Stat. 471. One of the earliest cases interpreting this provision was Removal Cases, 100 U.S. 457, 25 L.Ed. 593 (1879), where the question was whether the plaintiff‘s offer of evidence during preliminary motions in state court, and out of the ordinary course of proceedings, had started the trial. The Court stated that Congress “did not intend, by the expression ‘before the trial,’ to allow a party to experiment on his case in the State court, and, if he met with unexpected difficulties, stop the proceedings, and take his suit to another tribunal.” The Court held, however, that an attempt by one party to get himself on the record was insufficient to start the trial. Rather, “before the trial” meant “before the trial is in good faith entered upon.” Id. at 473.
As such, the removal petition was held to be timely filed. The quoted language regarding experimenting in state court has been often cited by subsequent courts in support of the doctrine that a party may waive the right to remove. One should keep in mind, however, that the Supreme Court was not by these words creating a judicial doctrine of waiver, but was merely interpreting the then applicable statutory time requirements for removal.
Subsequent cases further defined the parameters of the 1875 Act‘s time requirements. For example, in Alley v. Nott, 111 U.S. 472, 4 S.Ct. 495, 23 L.Ed. 491 (1884), the Court held that because a ruling on a demurrer can result in a final judgment it is considered a trial on the merits and, thus, the filing of a demurrer in state court renders a subsequent petition for removal untimely. See also Scharff v. Levy, 112 U.S. 711, 5 S.Ct. 360, 28 L.Ed. 825 (1884) and Laidly v. Huntington, 121 U.S. 179, 7 S.Ct. 855, 30 L.Ed. 883 (1887) (both holding that a demurrer in state court cuts off the time for removal under the 1875 Act). And in Gregory v. Hartley, 113 U.S. 742, 5 S.Ct. 743, 28 L.Ed. 1150 (1885), the Court interpreted the requirement that the petition be filed “before or at the term at which said cause could be first tried,” to mean “at the first term in which the cause would stand for trial if the parties had taked [sic] the usual steps as to pleadings and other preparations.” Id. at 746, 5 S.Ct. at 745.
The Act of March 3, 1887, revised the removal provisions in two significant re-
The uncertainty caused by the first of these provisions is illustrated in Fisk v. Henarie, 142 U.S. 459, 12 S.Ct. 207, 35 L.Ed. 1080 (1892). The suit in Fisk had been pending in the state courts for nearly four years, had been tried three times before a jury, and was about to be tried again when the defendants filed a petition for removal on a plea of failure to obtain justice. The defendants claimed that the petition was timely because filed “before the [new] trial.” The Court reviewed the history of the provision at issue as follows. The Judiciary Act of 1789 required the petition for removal to be filed “at the time of entering his appearance in such state court.” The Act of July 27, 1866, provided that a non-resident defendant could remove a separable controversy “at any time before the trial or final hearing of the cause.” The Act of March 2, 1867, allowed removal on the ground of prejudice or local influence “at any time before the final hearing or trial of the suit.” The Act of March 3, 1875, eliminated the ground of prejudice or local influence, but allowed removal in diversity cases “before or at the term at which said cause could be first tried and before the trial thereof.” Finally, as shown above, the 1887 Act reinstated the ground of prejudice or local influence and allowed removal “at any time before the trial.” After analyzing these various provisions to determine congressional intent—the details of which are unimportant here—the Court held that the 1887 provision meant before the first trial, and the petition was therefore filed too late.
Two cases illustrate the difficulties that arose from the second provision, which required the removal petition to be filed at or before the time the defendant must answer or plead in state court. In Gerling v. Baltimore & Ohio R.R., 151 U.S. 673, 14 S.Ct. 533, 38 L.Ed. 311 (1894), the petition for removal was filed at a time which was, according to the complex rules of the state court, at or before the time required for answering or pleading to the merits but after the time required for making a plea in abatement attacking the jurisdiction of the state court. The Supreme Court, relying in part on the intent of Congress to contract the jurisdiction of the federal courts, held that the petition was filed too late. And in Remington v. Central Pacific R.R., 198 U.S. 95, 25 S.Ct. 577, 49 L.Ed. 959 (1905), it appears that the local rules required the defendant to appear within twenty days of the service of summons, but did not require the plaintiff to file or serve its complaint within that time. The defendant timely appeared, and several months later—but still before the complaint had been served—received an affidavit from the plaintiff which showed that the amount in controversy was more than $2,000, thus making the case removable. On the next day, a motion in the case came up for hearing and was argued by defendant. Two days later the defendant filed a petition for removal. The plaintiff objected to removal on the grounds that the petition was untimely and that the defendant was estopped from removing by the fact that he had argued a motion after he became aware that the case was removable. The Court disposed of the two objections quickly, pointing out that the defendant filed the petition for removal as soon as the case became removable and that plaintiff‘s estoppel argument was “too technical.” Id. at 98, 25 S.Ct. at 578.
While the specific holdings in the above cases are relatively unimportant to our inquiry, the cases illustrate the difficulties that courts encountered in interpreting the ambiguous and indefinite time requirements of the early removal statutes. The questions seemed endless. What if the de-
To remedy the situation, Congress finally, in 1948 and 1949, revised the statutory scheme. By the Act of June 25, 1948, Congress provided that the removal petition shall be filed in the federal district court rather than in the state court, that a copy be promptly filed in the state court, and that all proceedings in state court cease unless and until the case is remanded.
that even these revisions did not create enough certainty. Difficulties arose in states where suit was commenced by service of process but the plaintiff‘s complaint was not required to be filed or served until later, and in states where suit was commenced by service of summons plus filing of the complaint but with no requirement that the defendant receive a copy of the complaint. Id. In 1949, Congress cured the problem by requiring the removal petition to be filed within twenty days (now thirty) after receipt of the complaint or within twenty days (now thirty) after the service of summons if the complaint has been filed in court, whichever period is shorter.
Despite these extensive revisions, which seemed to obviate the need of courts to resort to judicial rules concerning waiver, those rules had by 1948 become so entrenched in the lower courts that post-1948 decisions continued to use them. Indeed, the waiver rules were accepted as black letter law by some authorities, see, e.g., 14A C. Wright, A. Miller & E. Cooper, Federal Practice and Procedure § 3721 at 223-25 (1985). And at least one court went so far as to ignore the 1948-49 provisions in favor of applying the pre-1948 rules. In Waldron v. Skelly Oil Co., 101 F.Supp. 425 (E.D.Mo.1951), the plaintiff began its opening statement by dismissing as to the resident defendants, thereby making the case removable. The defendant waited to seek
Other authorities, however, recognize that the 1948 revisions set definite time limits which for the most part mooted the question of waiver. See 1A Moore‘s Federal Practice ¶ 0.157[9] at 151 (2d ed.1987). In addition, Moore‘s specifically notes a signal from Congress contained in Federal Rule of Civil Procedure 81(c). Rule 81(c) states the time periods for answering after removal if the defendant has not already answered. According to Moore‘s:
Amended Rule 81(c) implies that, if a removal petition is timely, the right of removal is not lost by the defendant answering or taking related steps in the state court prior to the filing of the removal petition. Such an implication is, of course consistent with the broad purpose of the statute that a defendant have a definite, ascertainable time within which to remove.
Id. (emphasis added).15 On the other hand, Moore‘s also states that waiver of the right to remove “is still possible,” but that the intent to waive must be “clear and unequivocal,” id. at 152, and the right “is not lost by action in the state court short of proceeding to an adjudication on the merits.” Id. at 153. Although Moore‘s states that waiver is still possible, its support for that proposition does not come from the statute. The treatise cites to district court cases which simply cite to pre-1948 cases, or back to the treatise, or to no authority at all. None of the cases contains an analysis of
whether
In sum, it appears that the doctrine of waiver developed out of the necessity to interpret the pre-1948 removal statutes. The 1948-49 revisions addressed the problems that created the need for the doctrine, set definite time limits, and strove to make the removal process uniform throughout the federal jurisdiction. Because of the statutory ban on review, post-1948 cases that were remanded on the basis of waiver were not subjected to scrutiny. Occasionally an appeal was heard involving a refusal to remand on the ground of waiver, but there was no need prior to Thermtron and Carnegie-Mellon for these courts to question whether
This is not to say, however, that district courts are without power to remand in extreme situations. One can imagine a case in which the suit is fully tried before the statutory period has elapsed and the defendant then files a petition for removal. Finding that the removal statute does not authorize a remand on the ground of waiver, and that such a remand is therefore reviewable, does not mean that the appellate court must automatically reverse the order. As we know from Carnegie-Mellon,
tory grounds, Clorox Co. v. United States District Court, 779 F.2d 517 (9th Cir.1985); Pelleport Investors v. Budco Quality Theatres, Inc., 741 F.2d 273 (9th Cir.1984); and have applied the doctrines of pendent jurisdiction and abstention to allow remands where all of the statutory requirements for removal have been satisfied, Carnegie-Mellon; Corcoran v. Ardra Insurance Co., 842 F.2d 31 (2d Cir.1988). The authority for such remands derives not from the removal statutes but from the common law. As indicated by Carnegie-Mellon and Corcoran, the values of judicial economy, fairness, convenience and comity justify supplementation of statutory rules with common law doctrines. Carnegie-Mellon, 108 S.Ct. at 619-20 and n. 7; Corcoran, 842 F.2d at 36. The same values may justify the application of the common law doctrine of waiver. Thus, while the instances of waiver are now rare and, as Moore‘s states, occur only where the parties have fully litigated the merits, an appellate court is not precluded from reviewing a remand based on waiver.
C.
While no other case has directly addressed the issue we have decided—whether a remand on the ground that the defendant waived the right to remove prior to the expiration of thirty days by participating in state court proceedings renders the removal improvident under
Both the Second and Ninth Circuits have held that remands based on contractual waivers contained in pre-litigation documents are not within the ambit of
On the other hand, there are two cases, one from the Fifth Circuit and one from the Ninth Circuit, that seem to look in the opposite direction. We find both cases to be unpersuasive. In In re Weaver, 610 F.2d 335 (5th Cir.1980), the district court had appeared to remand on the ground that the defendants had waived the right to remove by seeking dissolution of an injunction in state court. Oddly, the Fifth Circuit found the district court‘s order to be ambiguous. Relying on In re Merrimack Mutual Fire Insurance Co., 587 F.2d 642 (5th Cir.1978), the court found that it could not review an ambiguous order and, without explanation, stated that the district court must have “felt jurisdiction was lacking.” The opinion is illogical and sheds no light on the meaning of “improvidently.” More importantly, the opinion purports to rely on Merrimack which, as noted above in part IV., A., had unambiguously stated that “improvidently” means noncompliance with non-jurisdictional, statutory requirements.
In Schmitt v. Insurance Company of North America, 845 F.2d 1546 (9th Cir. 1988), the defendants had delayed filing for removal for two and a half years until it was established that there were no non-diverse “Doe” defendants. The district court remanded the case to state court on two grounds. First, the district court held that removal had not been precluded by the plaintiffs’ naming of Doe defendants, and therefore the defendant had failed to file its petition within the thirty-day time period of
It appears that Congress, too, was troubled by the situation presented in Schmitt.
Subsection (a) amends
28 U.S.C. 1441(a) to permit the citizenship of fictitious defendants to be disregarded. This amendment addresses a problem that arises in a number of states that permit suits against “Doe” defendants.... The general rule has been that a joinder of Doe defendants defeats diversity jurisdiction unless their citizenship can be established.... This rule in turn creates special difficulties in defining the time for removal.... At worse, the result may be ... forfeiture of the removal opportunity by delay after the point that in retrospect seems to have made clear the right to remove. These problems can be avoided by the disregard of fictitious defendants for purposes of removal.
H.R.Rep. No. 100-889 at 71, U.S.Code Cong. & Admin. News 1988, p. 6032.
Just as Congress responded in 1948-49 to the ambiguities of the early removal statutes in an effort to make the time for removal uniform and certain, the 1988 House Report evidences the same concerns. The report undercuts the waiver rationale in Schmitt. Rather than resorting to a rule of waiver, Congress remedied the situation presented in Schmitt by specifically providing that Doe defendants were to be disregarded, thereby eliminating any uncertainty as to the proper time for removal. In this regard, one additional point can be drawn from the 1988 House Report. Congress has amended the statute to place a one-year limit on removal of diversity cases in situations where a case is not initially removable but becomes removable at a later stage in the proceedings. The accompanying House Report states:
Subsection (b)(2) amends
28 U.S.C. § 1446(b) to establish a one-year limit on removal based on diversity jurisdiction as a means of reducing the opportunity for removal after substantial progress has been made in state court. The result is a modest curtailment in access to diversity jurisdiction. The amendment addresses problems that arise from a change of parties as an action progresses toward trial in state court. The elimination of parties may create for the first time a party alignment that supports diversity jurisdiction. Under section 1446(b), removal is possible whenever this event occurs, so long as the change of parties was voluntary as to the plaintiff. Settlement with a diversity-destroying defendant on the eve of trial, for example, may permit the remaining defendants to remove. Removal late in the proceedings may result in substantial delay and disruption.
H.R.Rep. No. 100-889 at 72, U.S.Code Cong. & Admin.News 1988, pp. 6032, 6033. The situations envisioned by the report (after “substantial progress in state court“; “on the eve of trial“; “late in the proceedings“; “substantial disruption“) are the exact types of situations in which district courts have found waiver. If Congress had already, through the word “improvidently” in
V.
The remaining questions require less discussion. First, in accordance with Thermtron, we may treat the City‘s appeal from the remand order as a petition for a writ of mandamus. Second, having found the order to be reviewable we also find it to be in error. The district court‘s decision was, by the court‘s own admission, against the long-settled rule that opposing a motion for a temporary restraining order in state court does not waive the right to remove. See Atlanta, Knoxville & Northern Ry. v. Southern Ry., 131 F. 657, 660-63 (6th Cir. 1904). Therefore, a writ of mandamus will
Finally, we return to the matter of Judge Green‘s “stay,” which we will refer to as a TRO. At the latest, the TRO would have expired by its own terms on May 12, 1988. However, under
An ex parte temporary restraining order issued by a state court prior to removal remains in force after removal no longer than it would have remained in effect under state law, but in no event does the order remain in force longer than the time limitations imposed by Rule 65(b), measured from the date of removal.
415 U.S. at 439-40, 94 S.Ct. at 1124.
Rothner argues that Granny Goose does not apply because the TRO in this case was not entered ex parte. The argument is without merit. The City in this case received the same type of informal notice as had the defendants in Granny Goose. See id. at 432-33 n. 8, 96 S.Ct. at 1121 n. 8. This case was removed on April 20, 1988. Therefore, the state court‘s TRO expired on April 30, 1988.
VI.
Accordingly, a writ of mandamus shall issue directing the district court to entertain the action and to conduct further proceedings consistent with this opinion.
EASTERBROOK, Circuit Judge, dissenting.
Two other appellate courts have considered whether a district judge‘s order remanding a case to state court on account of waiver implied from the course of litigation may be reviewed by the court of appeals. Both have answered “no“. In re Weaver, 610 F.2d 335 (5th Cir.1980); Schmitt v. Insurance Co. of North America, 845 F.2d 1546 (9th Cir.1988). Today we create a conflict. Circuits should not strike off on their own on jurisdictional questions without powerful reasons. Newman-Green, Inc. v. Alfonzo-Larrain, 490 U.S. 826, 109 S.Ct. 2218, 104 L.Ed.2d 893 (1989); FDIC v. Elefant, 790 F.2d 661, 665-66 (7th Cir.1986). We don‘t have one, for
Section 1147(d) fortifies principles that defer review of orders allocating cases among forums. Orders transferring cases from one court to another or declining to do so, orders compelling arbitration, and the like are not appealable because they do not conclude the litigation. E.g., Lauro Lines s.r.l. v. Chasser, 490 U.S. 495, 109 S.Ct. 1976, 104 L.Ed.2d 548 (1989); Van Cauwenberghe v. Biard, 486 U.S. 517, 108 S.Ct. 1945, 1952-54, 100 L.Ed.2d 517 (1988); Gulfstream Aerospace Corp. v. Mayacamas Corp., 485 U.S. 271, 108 S.Ct. 1133, 1136-38, 99 L.Ed.2d 296 (1988). That remand orders in particular are not appealable has been settled since 1872. See Insurance Co. v. Comstock, 83 U.S. (16 Wall.) 258, 270, 21 L.Ed. 493 (1872); Railroad Co. v. Wiswall, 90 U.S. (23 Wall.) 507, 23 L.Ed. 103 (1874), neither of which depended on the predecessors to
My colleagues lack a powerful argument driven by a statute; they have instead an ingenious argument to avoid a statute. Novel as well as ingenious: neither party to this case nor any other judge has advanced it. The argument goes in four steps.
First, the Supreme Court held in Thermtron Products, Inc. v. Hermansdorfer, 423 U.S. 336, 96 S.Ct. 584, 46 L.Ed.2d 542 (1976), that
Step Two. In Carnegie-Mellon University v. Cohill, 484 U.S. 343, 108 S.Ct. 614, 98 L.Ed.2d 720 (1988), over the dissent of the author of Thermtron, the Court broke the link between “lawful remands” and “remands authorized by
Step Three. When is removal “improvident” within the meaning of
Step Four is identifying the requirements of
Steps One and Two follow higher authority. Steps Three and Four are of our own choosing. They are not demonstrably wrong—but they are not demonstrably right, either. Step Three, equating “improvident” with “failure to do what
Without pretending assurance, I think we err in adopting Steps Three and Four. “Improvident” implies more than “procedurally defective“; in ordinary usage something is “improvident” if it ought not have been done. A case removed at a time when either substantive or procedural rules block that step has been removed “improvidently“. If so, Step Three is incorrect. More than just ordinary language undermines Step Three. Section 1446(d) requires a bond to accompany the petition for removal. If “improvident” means “out of compliance with
My colleagues rely on the 1988 revision of
No matter what one makes of the majority‘s arguments for Steps Three and Four, however, the question remains: why struggle against
and Four. Although courts strain against the limits of their authority when the reasons seem pressing (here, because the majority is convinced that the remand was mistaken and the judge wrong to allow the interim relief to continue in force), jurisdictional rules apply to future cases too. District judges rarely remand cases in error. After today‘s decision, however, many cases must come to a halt pending appellate review, although the great majority will not be afflicted with error. Disputation over the identity of the right forum will stall litigation that ought to proceed to decision.
Even with
Unreviewable remands may deprive defendants of a federal forum to which they are entitled. Review of remands certainly delays the completion of litigation and increases its expense. How to accommodate these two kinds of costs? One way is to say “tough luck, but the decision of a single judge is all the subject calls for“. Four judges may be too many, or too slow, for particular decisions. Think of the “right” not to undergo expensive discovery—or for
Another approach is to allocate the risk of error according to the value attached to the claim, a legislative task on which Congress embarked. Section 1447(d) contains an exception. If the removal is based on
Although my colleagues hint darkly that the district judge may have remanded the case because of hostility to removal by governmental defendants, rather than for the stated reason, Chicago disclaimed at oral argument any contention that the judge‘s reasons were other than those he gave. I am unaware of a pattern of ques-tionable remands by Judge Bua; we have no basis on which to doubt the candor of his description of reasons for remanding. The case presented by the parties and the record is one of remand because of waiver, nothing else.3
Thermtron and Carnegie-Mellon do not launch the federal courts on a trajectory producing ever-more appellate review. Gravity brings legal trends back to ground, just as it ends the flight of a knuckle ball. Even after a surprising and “liberating” construction of a law, decisions still must be founded on the statute rather than on projections from the first case. The problem is familiar:
[T]he Court, having already sanctioned a point of departure that is genuinely not to be found within the language of the statute, finds itself cut off from that authoritative source of the law, and ends up construing not the statute but its own construction. Applied to an erroneous point of departure, the logical reasoning that is ordinarily the mechanism of judicial adherence to the rule of law perversely carries the Court further and further from the meaning of the statute. Some distance down that path, however, there comes a point at which a later incremental step, again rational in itself, leads to a result so far removed from the statute that obedience to the text must overcome fidelity to logic.
NLRB v. Electrical Workers, 481 U.S. 573, 597-98, 107 S.Ct. 2002, 2016-17, 95 L.Ed.2d 557 (1987) (Scalia, J., concurring). See also Hickey v. Duffy, 827 F.2d 234, 242-43 (7th Cir.1987). Neither precedent nor logic compels us to move farther and farther from the text of
