1991-2 Trade Cases P 69,599
Michael A. FUENTES, M.D., Appellant,
v.
SOUTH HILLS CARDIOLOGY, St. Clair Hospital, Robert Coyle,
M.D., Frank Concilus, M.D., Harshad Mehta, M.D.,
Richard Russman, M.D. and Clara Jean Ersoz, M.D.
No. 90-3493.
United States Court of Appeals,
Third Circuit.
Submitted Under Third Circuit Rule 12(6)
Dec. 14, 1990.
Decided Oct. 1, 1991.
Byrd R. Brown, Law Offices of Byrd R. Brown, Pittsburgh, Pa., for appellant.
Walter A. Koegler, Koegler & Tomlinson, Dara A. DeCourcy, Zimmer Kunz Loughran Hart Lazaroff Trenor Banyas & Conaway, Pittsburgh, Pa., for appellees, South Hills Cardiology, Robert Coyle, M.D., Frank Concilus, M.D., Harshad Mehta, M.D.
Richard Russman, M.D., Ronald J. Rademacher, Thomson, Rhodes and Cowie, Pittsburgh, Pa., for appellees, St. Clair Hosp. and Clara Jean Ersoz, M.D.
Before SLOVITER, Chief Judge,* MANSMANN, Circuit Judge, and SAROKIN, District Judge.**
OPINION OF THE COURT
MANSMANN, Circuit Judge.
In this appeal from the dismissal of his antitrust claim under section 1 of the Sherman Antitrust Act, Dr. Michael Fuentes contends that he adequately pled the requisite jurisdictional element of interstate commerce. We revisit the question of the adequacy of the jurisdictional facts which must be pled for a Sherman Act claim, see, e.g., Miller v. Indiana Hospital,
I.
Because this action was dismissed for lack of jurisdiction before the filing of any responsive pleading, we accept as true the factual allegations in the complaint and all reasonable inferencеs that can be drawn from them. Ransom v. Marrazzo,
Dr. Michael Fuentes was employed as a cardiologist by South Hills Cardiology from July 1, 1986, until August 29, 1986, when he was terminated purportedly as a result of a disagreement concerning patient care. Fuentes's staff privileges at St. Clair Hospital, in Pittsburgh, Pennsylvania, were terminated on September 4, 1986. Fuentes's subsequent efforts to obtain employment in his field of spеcialty--cardiology--both within and outside of Pennsylvania proved fruitless. Fuentes then commenced this action in March of 1989, alleging in Count II that South Hills Cardiology, St. Clair Hospital and five individual physicians2 acted in concert to effect an interstate boycott of Fuentes in violation of section 1 of the Sherman Antitrust Act, 15 U.S.C. § 1, et. seq.3
The United States District Court for the Western District of Pennsylvania referred the matter to a United States Magistrate Judge, who, upon the defendants' motion to dismiss, granted Fuentes an opportunity to amend his complaint "to set[ ] forth with specificity those jurisdictional and factual issues upon which he relies."4 Fuentes's amended complaint contained the following additional allegations, under "Count III" entitled "Violation of Interstate Commerce":
40. At the time of Dr. Fuentes' termination of hospital privileges, a majоr portion of St. Clair Hospital's facilities had been financed by federal or out of state funds.
41. At the same time, a substantial portion of the hospital's revenue was generated from federal funds such as Medicare and Medicaid or third party payers located outside of the state.
42. Dr. Fuentes' practice, which included nuclear cardiology at St. Clair's department, generated a national rеputation and attracted a significant number of out of state patients.
43. Furthermore, the negative recommendations offered by the Defendants to other health providers to which Dr. Fuentes made application prohibited and/or restricted him free access to practice his profession.
The defendants moved a second time for dismissal under Rules 12(b)(1) and/or 12(b)(6) of the Federal Rules of Civil Proсedure. The Magistrate Judge recommended dismissal upon both grounds, finding that: first, "[the] amended complaint [does] not show that defendants' conduct affects interstate commerce or that defendants maintain an interstate practice," and second, Fuentes has "not shown the existence of a group boycott." By order of June 20, 1990, the district court granted the motion to dismiss, adopting the Magistrate Judge's Repоrt as its opinion.
II.
A.
Three elements must be alleged to sustain a cause of action under section 1 of the Sherman Act, 15 U.S.C. § 1 (1982): a contract, combination or conspiracy; a restraint of trade; and an effect on interstate commerce. Weiss v. York Hospital,
The Magistrate Judge concluded, however, that Fuentes's "conclusory" allegations failed to plead sufficient facts to establish the jurisdiсtional element of commerce:
The plaintiff has failed to show, for instance, the percentage of out-of-state patients [a]ffected by the defendants' actions ..., or the percentage of the hospital's annual income derived from Medicare and/or amounts it receives from federal grants-in-aid ..., the amount of drugs and equipment purchased by the hospital in interstate commerce ..., or the percentage of patient bills paid by third-party payors.... (citations omitted).
The Report relied upon Miller v. Indiana Hospital,
In Weiss v. York Hospital, likewise relied upon by the Magistrate Judge, we did not address the quantum of evidence required for jurisdiction; rather, we reviewed the substantial evidence produced at trial to conclude that it is the defendant's activities, rather than the plaintiff's, that must satisfy the substantive interstate commerce element.
B.
Subsequent to the Magistrate Judge's Report and after this appeal was filed, the Supreme Court made clear in Summit Health, Ltd. v. Pinhas, that a quantification of interstate commerce is not necessary in order to satisfy this jurisdictional element. --- U.S. ----,
The Court rejected the defendant's argument for two reasons. First, "the proper analysis focuses not upon actual consequences, but rather upon the potential harm that would ensue if the conspiracy were successful." Because a Sherman Act violation can be established even absent proof of an anticompetitive effect where an unlawful purpose is proven, United States v. United States Gypsum Co.,
Second, the Court declined to adopt the restrictive view that any anticompetitive effect on trade was limited only to Dr. Pinhas. "[A] violation of the Sherman Act ... is necessarily more significant than the fate of 'just one merchant whose business is so small that his destruction makes little difference to the economy.' " Id. at 1848 (quoting Klor's, Inc. v. Broadway-Hale Stores, Inc.,
C.
The standard announced in Summit Health is consistent with the approach we set forth in Weiss and Cardio-Medical Assoc. v. Crozer-Chester Medical Ctr.,
The jurisdictional test, to be applied on a case-by-case basis, requires that the defendants' anticompetitive conduct "be shown 'as a matter of practical economics' to have a not insubstantial effect on the interstate commerce involved." McLain,
It was sufficient for jurisdictional purposes that Fuentes alleged that "[his] practice ... generated a national reputation and attraсted out of state patients." Drawing all reasonable inferences in favor of Fuentes, as we must when a case comes before us in this posture, we infer from this allegation the unexpressed assumption that those out of state patients would not travel interstate but for Dr. Fuentes's care. As Summit Health explained, "[t]he competitive significance of [Pinhas's] exclusion from the market must be measured, not just by a particularized evaluation of his own practice, but rather, by a generalized evaluation of the impact of the restraint on other participants and potential participants in the market from which he has been excluded." --- U.S. at ----,
We are сognizant of Fuentes's additional allegations of interstate commerce, i.e., that "a major portion of St. Clair Hospital's facilities had been financed by federal or out-of-state funds," and that "a substantial portion of the hospital's revenue was generated from federal funds." These certainly add to the allegations of impact on interstate commerce. We need not decide, howеver, whether the allegations concerning the effect on interstate commerce of activities of St. Clair Hospital apart from the alleged unlawful conduct directed at Fuentes would alone satisfy the jurisdiction requirement since that question is not squarely before us here. See Summit Health, --- U.S. at ----,
We conclude that Fuentes's allegations of an effect on interstate commerce amply mеet the test of Summit Health, satisfying the interstate commerce element necessary to establish federal jurisdiction in a section 1 action.
III.
There remains, however, the issue of whether Fuentes's complaint should be dismissed for failure to state a claim upon which relief can be granted. For this inquiry, we must also accept as true the factual allegations in the amended complaint and all reasonable inferences that can be drawn from them, and to refrain from granting a dismissal unless it is certain that no relief can be granted under any set of facts which could be proved. Ransom v. Marrazzo,
31. On or about August 29, 1986 through September 4, 1986, [South Hills Cardiology], Coyle, Concilus, Mehta, and Russman requested St. Clair Hospital and/or Ersoz, to terminate аnd deny staff privileges at St. Clair to [Fuentes].
32. The aforesaid termination by St. Clair and/or Ersoz of [Fuentes's] associate membership staff privileges at St. Clair was in direct response to the aforesaid request.
33. At the time of the aforesaid request SCH, Coyle, Concilus, Mehta, and Russman were in competition with [Fuentes] whose privileges were terminated.
34. St. Clair would not have excluded or terminated [Fuentes's] staff privileges for reasons of its own, absent the request made by [South Hills Cardiology], Concilus, Mehta, and/or Russman.
35. Such conduct on behalf of the aforesaid Defendants, constitutes a group boycott creating an unreasonable restraint of trade in violation of Section One of the Sherman Anti-Trust Act, 15 U.S.C. §§ 1 et seq.
36. Said exclusion from St. Clair staff privileges deprives [Fuentes] of any feasible means of providing health care servicеs in competition with staff physicians.
The essence of this claim is that the named doctors, South Hills Cardiology and St. Clair Hospital engaged in a group boycott in violation of section 1 of the Sherman Act. Such a claim "requires proof of a contract, combination or conspiracy, a restraint of trade, and an effect on interstate commerce." Miller,
In support of his conspiracy allegation, Fuentes asserted that between August 29, 1986, and September 4, 1986, South Hills Cardiology, Coyle, Concilus, Mehta and Russman requested that St. Clair Hospital and/or Dr. Ersoz terminate and deny staff privileges to Fuentes. As a result of this request, Fuentes's staff privileges were terminated. In Black & Yates v. Mahogany Ass'n,
With respect to the restraint of trade requirement, Fuentes asserts that the defendants engaged in a group boycott. A classic boycott involves "concerted action with 'a purpose either to exclude a person or group from the market, or to accomplish some other anti-competitive object, or both.' " Pennsylvania ex rel. Zimmerman v. PepsiCo, Inc.,
The defendants point out, and indeed the Magistrate Judge recognized, that Fuentes undermines his antitrust claim by asserting elsewhere in the amended complaint an inconsistent motivation, namely that:
29. The actions of the Defendants, jointly and/or severally, described above were performed without any justification based upon a legitimate interest of the Plaintiff's previous employers, the Defendants, and were and continue to be performed maliciously and with the sole purpose of retaliating against the Plaintiff for his reasonable and justified treatment procedures and complaints concerning the judgment and incompetence of [South Hills Cardiology] and St. Clair staff.
Although this may create a competing inference as to why Fuentes's staff privileges were terminated, it does not, at this stage, suffice to permit the district court to dismiss the amended complaint for failure to state a claim. Certainly, in a lаter stage of the proceedings, Fuentes may encounter difficulty satisfying the Monsanto standard requiring that he present evidence "that tends to exclude the possibility that the [alleged conspirators] were acting independently." Monsanto Co. v. Spray-Rite Service Corp,
IV.
Accordingly, the district court's order granting the defendants' motion to dismiss will be reversed and the case remanded for further proceedings.
Notes
Honorable Dolores K. Sloviter became Chief Judge on February 1, 1991
Honorable H. Lee Sarokin of the United States District Court for the District of New Jersey, sitting by designation
We took this case under advisement on December 14, 1990, and held it c.a.v. pending the Supreme Court's decision in Summit Health
Four of the individual defendants/appellees--Robert Coyle, Frank Concilus, Harshad Mehta and Richard Russman--are cardiologists and рartners of South Hills Cardiology; the fifth--Clara Jean Ersoz--an anesthesiologist and vice-president of medical affairs at St. Clair Hospital, "was in charge of the determination as to whether medical doctors obtained staff privileges at St. Clair" (Complaint at p 16)
The first pendent state law claim, entitled Intentional Interference with Employment Relationship, alleged that all of the defendants had acted to prevent Fuentes from practicing cardiology. Three other pendent claims, brought against St. Clair Hospital and Dr. Ersoz, alleged breach of contract, denial of common law fair procedure rights, and a violation of substantive due process rights. These pendent claims were ultimately dismissed pursuant to the finding of lack of subject matter jurisdiction over the federal claim. See United Mine Workers of America v. Gibbs,
Other procedural skirmishes occurred that are irrelevant to this appeal except for the fact that they significantly delayed the filing of Fuentes's Amended Complaint. The parties dispute whether, during this delay of approximately five months, Fuentes should have commenced discovery in order to develop more factual support for his allegations relating to the element of interstate commerce. We need not resolve this question since Summit Health requires reversal on the allegations as stated in the Amended Complaint
