JACKSON TRANSIT AUTHORITY et al. v. LOCAL DIVISION 1285, AMALGAMATED TRANSIT UNION, AFL-CIO-CLC
No. 81-411
Supreme Court of the United States
Argued April 21, 1982—Decided June 7, 1982
457 U.S. 15
Linda R. Hirshman argued the cause for respondent. With her on the brief was Earle Putnam.*
JUSTICE BLACKMUN delivered the opinion of the Court.
Under
I
A
When the Act was under consideration in the Congress, that body was aware of the increasingly precarious financial condition of a number of private transportation companies across the country, and it feared that communities might be left without adequate mass transportation. See S. Rep. No. 82, 88th Cong., 1st Sess., 4-5, 19-20 (1963). The Act was designed in part to provide federal aid for local governments in acquiring failing private transit сompanies so that communities could continue to receive the benefits of mass transportation despite the collapse of the private operations. See
At the same time, however, Congress was aware that public ownership might threaten existing collective-bargaining rights of unionized transit workers employed by private companies. If, for example, state law forbade collective bargaining by state and local government employees, the workers might lose their collective-bargaining rights when a private company was aсquired by a local government. See Urban Mass Transportation—1963, Hearings on S. 6 and S. 917 before a Subcommittee of the Senate Committee on Banking and Currency, 88th Cong., 1st Sess., 318-323 (1963) (Senate Hearings) (statement of Andrew J. Biemiller, Director, Department of Legislation, AFL-CIO). To prevent federal funds from being used to destroy the collective-bargaining rights of organized workers, Congress included
Section 13(c) requires, as a condition of federal assistance under the Act, that the Secretary of Labor certify that “fair and equitable arrangements” have been made “to protect the interests of employees affected by [the] assistance.” The statute lists several protective steps that must be taken before a local government may receive federal aid; among these
B
In 1966, petitioner city of Jackson, Tenn., applied for federal aid to convert a failing private bus company into a public entity, petitioner Jackson Transit Authority. See App. 12a-16a. In order to satisfy
Ultimately, the union filed suit in the United States District Court for the Western District of Tennessee. It sought damages and injunctive relief, alleging that petitioners had breached the
The United States Court of Appeals for the Sixth Circuit reversed. 650 F. 2d 1379 (1981). Relying on Bell v. Hood, 327 U. S. 678 (1946), that court first determined that it had subject-matter jurisdiction under
Because of the importance of the interpretation of
II
While the Court of Appeals treated this as a private right of action case, see, e. g., Merrill Lynch, Pierce, Fenner & Smith, Inc. v. Curran, 456 U. S. 353 (1982), it does not fit comfortably in that mold. Indeed, since
The issue, then, is not whеther Congress intended the union to be able to bring contract actions for breaches of the two contracts, but whether Congress intended such contract actions to set forth federal, rather than state, claims. Admittedly, since the private right of action decisions address the related question whether Congress intended that a particular party be able to bring suit under a federal statute, those decisions may provide assistance in resolving this case. But the precise question before us is whether the union‘s contract actions are federal causes of action, not whether the union can bring suit at all to enforce its contracts. See Local Div. 732, Amalgamated Transit Union v. Metropolitan Atlanta Rapid Transit Authority, 667 F. 2d 1327, 1329-1334 (CA11 1982).6
These decisions demonstrate that suits to enforce contracts contemplated by federal statutes may set forth federal claims and that private parties in appropriate cases may sue in federal court to enforce contractual rights created by federal statutes. But they do not dictate the result in this case. Whenever we determine the scope of rights and remedies under a federal statute, the critical factor is the congressional intent behind the particular provision at issue. See, e. g.,
III
We begin with the language of the statute itself. See, e. g., Universities Research Assn., Inc. v. Coutu, 450 U. S. 754, 771 (1981). The bare language of
While the statutory language supplies no definitive answer, the legislative history is conclusive. A consistent themе runs throughout the consideration of
In 1963, Secretary of Labor Wirtz presented the original version of
The House and Senate Reports took the Secretary at his word. The House Report advised that
During the debates, the role of state law under
In an important exchange, Senator Goldwater noted that local government employеrs were excluded from the coverage of the National Labor Relations Act, see
A similar, but more abbreviated, interchange took place on the House floor. When some Congressmen questioned the effect of
Thus, Congress made it absolutely clear that it did not intend to create a body of federal law applicable to labor relations between local governmental entities and transit workers.9 Section 13(c) would not supersede state law, it would leave intact the exclusion of local government employers from the National Labor Relations Act, and state courts would retain jurisdiction to determine the application of state policy to local government transit labor relations. Congress intended that
There remains the possibility that Congress might have intended a federal court to hear the union‘s claims, but to apply state law. Such an anomalous result would be inconsistent with the emphasis in the legislative history that
IV
Given this explicit legislative history, we cannot read
Accordingly, the judgment of the Court of Appeals is reversed, and the case is remanded for further proceedings consistent with this opinion.
It is so ordered.
JUSTICE POWELL, with whom JUSTICE O‘CONNOR joins, concurring.
As the Court notes, this case “does not fit comfortably in
There are other parallels between this case and those in the more familiar implied right of action “mold.” Most significantly to me, both kinds of cases involve the same fundamental issues of congressional and judicial power. By enforcing contract rights not within the jurisdictional grant conferred by Congress, as much as by improperly “inferring” a right of action, “a court of limited jurisdiction necessarily extends its authority to embrace a dispute Congress has not assigned it to resolve. . . . This runs contrary to the established principle that ‘[t]he jurisdiction of the federal courts is carefully guarded against expansion by judicial interpretation. . . ,’ American Fire & Cas. Co. v. Finn, 341 U. S. 6, 17 (1951), and conflicts with the authority of Congress under Art. III to set the limits of federal jurisdiction.” Cannon v. University of Chicago, 441 U. S. 677, 746-747 (1979) (POWELL, J., dissenting).
Because a federal court should exercise extreme caution before assuming jurisdiction not clearly conferred by Congress, we should not condone the implication of federal jurisdiction over contract claims in the absence of an unambiguous expression of congressional intent. As I do not view this position as inconsistent with the reasoning of the Court, I join its opinion.
