OPINION
The complaint in this action was brought by Freeman & Bass, P.A., a law firm, and by Samuel Bass and Samuel Freeman individually as plaintiffs against the New Jersey State Commission of Investigation (hereafter SCI), and John F. McCarthy, Jr., Charles L. Bertini, Wilfred P. Diana, Ronald S. Diana, Ronald Heymann, Charles Rosen, and Martin G. Holleran individually. This written opinion incorporates the substance of an oral opinion delivered from the bench on February 26, 1973 on plaintiffs’ application for a temporary restraining order pending a hearing for a preliminary injunction to enjoin defendants from:
(1) further investigating plaintiffs’ professional and personal activities ;
(2) further investigating, intimidating, or interviewing plaintiffs’ clients, employees and agents;
(3) enforcing all outstanding subpoenas. 1
Plaintiffs allege in their verified complaint that this court has jurisdiction by virtue of 42 U.S.C. §§ 1982, 1983 and 1985. 42 U.S.C. § 1982 deals with the right to convey personal and real property, and I do not see any relevance of this particular section to the claim asserted by plaintiffs. Sections 1983 and 1985 create federal causes of action for the deprivation under color of state law of the constitutional rights of citizens. By themselves, these sections are not jurisdiction conferring; they are cognizable as actions in federal court only by virtue of 28 U.S.C. §§ 1343(3) and (4), Howell v. Cataldi,
The complaint alleges that the SCI through its commissioners (Wilfred P. Diana, John F. McCarthy, Jr. and Charles L. Bertini), its Executive Director (Martin G. Holleran), and its special counsel (Ronald S. Diana) has carried on an investigation of plaintiffs instigated at the behest of and in conspiracy with the Commissioner of the State De *1056 partment of Labor and Industry, Ronald Heymann and his assistant, Charles Rosen, for the purpose of harassing and intimidating plaintiffs because of plaintiffs’ “long history of vigorous representation of poor and minority working class clients and their professional involvement in controversial causes.” The plaintiffs allege that the aforesaid conduct of defendants violates rights guaranteed by the First, Fourth, Sixth, Ninth, and Fourteenth Amendments, specifically, by depriving plaintiffs of the right to petition for redress of grievances and the right of unimpeded access to legal process and the courts on behalf of their clients; and the right “to advocate unpopular causes, the right to be secure from unreasonable searches, seizures, and interrogations, the right to provide clients with vigorous representation, the right of privacy, and the right to practice the profession of their choice.”
Plaintiffs further allege that the investigation was conceived and is being conducted against plaintiffs without standards, guidelines, or regulations, to control and determine its scope, and as such, is overbroad and vague in violation of the constitutional rights of plaintiffs. Specific instances of harassment are then cited that allegedly deprive plaintiffs and their clients of their rights. Plaintiffs point, in particular, to the deprivation of the rights of workmen’s compensation clients to be adequately represented by counsel in the prosecution of their claims by virtue of the harassment of plaintiffs.
Two additional counts of the complaint are pendent in nature. I shall defer discussion of them until I determine whether or not I have jurisdiction over the §§ 1983 and 1985 causes of action.
JURISDICTION
Defendants allege in their brief that there is no constitutional right to practice law and that therefore plaintiffs have not stated a cause of action under 42 U.S.C. §§ 1983 or 1985. To be sure there may be no constitutional right as such to “practice law.” But in opposing plaintiffs’ complaint on these grounds, defendants have entirely ignored the gist of the allegations contained therein, to wit that the SCI investigation is being conducted so as to harass and intimidate plaintiffs for their advocacy of unpopular causes. If proved, these allegations would constitute a violation of plaintiffs’ First Amendment rights secured to the plaintiffs from infringement by state action through the Fourteenth Amendment. Plaintiffs thus state a cause of action cognizable under 42 U.S.C. § 1983. Taylor v. Kentucky State Bar Ass’n,
Plaintiffs also allege a violation of the First Amendment rights of their workmen’s compensation clients, an allegation given no recognition in defendants’ opposing papers. There can be of course no question that plaintiffs have standing to allege the deprivation of their own rights. But whether or not plaintiffs’ clients possess First Amendment rights susceptible to protection, and if so, whether or not plaintiffs have standing to assert these rights on behalf of their clients presents a more delicate issue.
In a series of cases — NAACP v. Button,
Plaintiffs’ contention that the SCI investigation is deterring its clients from exercising their right of access to legal action by the subpoenaing of confidential attorney client files and by various other means thus alleges a deprivation under color of state law of constitutional rights as would appear to state a cause of action under 42 U.S.C. § 1983 over which the court has jurisdiction by virtue of 28 U.S.C. § 1343(3). Defendants’ assertion that plaintiffs’ claim constitutes one for infringement of property rights not subject to protection under § 1983 as in National Land & Investment Co. v. Specter,
Thus plaintiffs state a good cause of action under both §§ 1983 and 1985, cognizable in the district court by virtue of 28 U.S.C. §§ 1343(3) and (4).
3
*1058
Contrary to the contention of defendants, this court has jurisdiction notwithstanding plaintiffs’ possible failure to exhaust their state remedies. Randell v. Newark Housing Authority,
STANDING
I have determined that plaintiffs allege a cause of action under 42 U.S.C. §§ 1983 and 1985 by virtue of the infringement of
their clients’
First Amendment rights. A question remains, however, as to whether plaintiffs have standing to assert the constitutional rights of their clients. It is well established that a claimant asserting the violation of a constitutional right of another need not necessarily ground his claim to standing on an allegation that
his
constitutional rights have been infringed. Thus in Griswold v. Connecticut,
“despite the fact that the record does not disclose that any one of them [the doctors] has been prosecuted, or threatened with prosecution, for violation of the State’s abortion statutes.”
The fact that “[t]he physician is the one against whom these criminal statutes directly operate in the event he procures an abortion” was sufficient to afford the doctors the requisite adversity of interest in the litigation to assure that they would litigate concrete and not abstract issues of law. United Public Workers v. Mitchell,
The same issue was presented in Eisenstadt v. Baird,
The situation in the case at hand is analogous. Should the defendants be prohibited from asserting the constitutional rights of their clients, the impact on those clients would be great. Their access to legal redress may be seriously impaired or impeded. Moreover, although there is no present threat of criminal prosecution, the actual economic harm that is allegedly resulting from the present SCI investigation to plaintiffs by virtue of their possible loss of clientele and injury to their professional reputation assures the court that they will vigorously prosecute the litigation.
See
Jenkins v. McKeithen,
MERITS
I now turn to the merits. I first note that although defendants’ brief purports to be in support of a motion to dismiss the complaint, I see no such notice of motion in the official file, and therefore shall not consider it. I shall consider, however, the motion by defendants Heymann and Rosen to dismiss the complaint as against them since they were acting under proper authority in requesting the SCI to undertake a workmen’s compensation investigation. It would appear from the papers before ■me that there is very little evidence tying in these two defendant to the conspiracy charge, but the lack of such evidence at this point does not mean that the allegations of the plaintiffs are not sufficient to state a cause of action under § 1985. However, unless plaintiffs can produce substantial evidence by March 26, 1973 (or any such other date as may be set by the court), of the complicity of these two defendants in a conspiracy to deprive plaintiffs or their clients of their constitutional rights, I shall sign an Order dismissing them from the suit.
See
Robinson v. Mc-Corkle,
The contention by defendants that the § 1985 allegations of conspiracy must fall because § 1985 does not provide for injunctive relief is without merit. Although § 1985 does not on its face provide for injunctive relief, I cannot believe that a federal court is without jurisdiction to issue injunctive relief to preserve the status quo or to provide permanent relief where damages do not provide an adequate remedy in a § 1985 action.
See
Mizell v. North Broward Hospital Distr.,
As to plaintiffs’ request in chief for relief pending a hearing for a preliminary injunction, I find on the affidavits submitted, no cause at this time to enjoin the investigation as requested. Plaintiffs have not established a prima, facie case of bad or illicit motive on the part of the defendants. The facts in this regard are much in dispute, and indeed I do not foresee on the basis of the papers now before me that plaintiffs will succeed in proving that the investigation was undertaken for harassment purposes. Since material facts are in dispute, and since I find that plaintiffs appear to have little likelihood of success on the merits, an overall injunction would be improvident and unwarranted.
Moreover, as to plaintiffs allegations that the SCI is illegal since its grant of power is vague and overbroad, I deem that question settled by the interpretative gloss placed on the SCI’s powers by the New Jersey Supreme Court in Zicarelli v. New Jersey State Commission of Investigation,
As to plaintiffs’ challenge of the authority of the SCI and its Commissioners and agents to act as they
have, and as to the charge that the current investigation violates the doctrine of the separation of legislative and judicial powers, these questions arise under state law but can be asserted as pendent claims.
See
Dreyer v. Illinois,
I also see no constitutional infirmity arising from plaintiffs’ allegation that they were not advised of the purpose of the investigation and thus were deprived of their due process rights.
See
Watkins v. United States,
On the basis of the papers submitted, I have no reason at this time to doubt the validity and importance of the current SCI investigation. It is my understanding, that where investigating committees infringe upon or chill First Amendment rights, the courts must balance the rights of the individuals affected against those of the state. Uphaus v. Wyman,
I do find, however, that in one narrow area, relief would be appropriate ■ — that is with respect to the rights of clients to have unimpeded access to the courts and with respect to the closely-related state created attorney-client privilege — one that “though not yet given express constitutional security, is yet essentially interrelated with the specific constitutional guarantees of the individual’s right to counsel.” State v. Kociolek,
Although federal courts should be hesitant to issue injunctive relief against state action for reasons of comity, that policy has been abrogated in § 1983 actions. Thus, for example, actions brought pursuant to § 1983 present a specific exception to the anti-injunction statute. 28 U.S.C. § 2283. Mitchum v. Foster,
The parties shall submit an Order consistent with this opinion.
SUPPLEMENTAL OPINION
On February 26, 1973, the Court continued the motion of defendants Heymann and Rosen, which motion sought their dismissal from the within action. After depositions of defendants had been taken, and following several adjournments, argument was heard, and I delivered an oral opinion granting the defendants’ motion on June 11, 1973. This Memorandum Opinion incorporates my Opinion delivered orally on that day.
Plaintiffs’ verified complaint charges in Count I that defendants Charles Rosen and Ronald Heymann, the Commissioner of the New Jersey State Department of Labor and Industry and his assistant, respectively, instigated an investigation of the plaintiffs in bad faith Paragraphs 17 and 18 of the complaint. As a result of the investigation, plaintiffs demand an injunction against the investigation (which thus far has been denied), and other relief, all of which applies to the New Jersey State Commission of Investigation (SCI) and its members, but not to defendants Heymann and Rosen. I find no relief sought in the First Count as to the defendants Heymann and Rosen. Count I of the complaint as to these two defendants shall be dismissed with prejudice and without costs.
Count II repeats the allegations of Count I but charges a conspiracy under 42 U.S.C. § 1985. In my Opinion of April 6, 1973, I had determined that a conspiracy to deprive plaintiffs of First Amendment rights properly stated a cause of action under 42 U.S.C. § 1985. Subsequent to that time I reviewed the' cases of Griffin v. Breckenridge,
Counts III and IV charge that the SCI investigation goes beyond the scope of its authority. These Counts do not involve defendants Heymann and Rosen who are not members or agents of the SCI, and thus they shall be dismissed as to these defendants with prejudice and without costs.
The parties shall submit an appropriate order reflecting these latter dispositions.
Notes
. The plaintiffs also seek declaratory relief under 28 U.S.C. § 2201 and 2202, but the propriety of that declaratory relief is not presently before me.
. Previous to
Lynch,
the First and Second Circuits as well as the Third had maintained that the Civil Rights Act of 1871 did not give rise to actions for infringement of “property” as opposed to “personal” constitutional rights. Tichon v. Harder,
. Although not raised by the defendants, a serious question arises as to the propriety of Civil Rights actions against the defendant SCI. The Court of Appeals of this Circuit has held that such a state body is not a “person” in Civil Rights actions for
damages
and therefore not subject to suit thereunder. Via v. Cliff,
In the Fifth, Seventh and Tenth Circuits, although state bodies are not subject to damages in Civil Rights actions, such bodies can be enjoined from violating the constitutional rights of citizens. Harkless v. Sweeny Independent School Dist.,
. The inapplicability of the exhaustion of remedies doctrine applies equally as well to § 1985 actions.
See
Ransom v. City of Philadelphia,
. The doctors, of course, did not assert that they themselves possessed a constitutional right to perform abortions.
. Defendants’ citation of Collins v. Hardyman,
.
See
New Jersey Rules of Evidence, Rule 26; In re Richardson,
