Leonard R. WOODS, et al., Plaintiffs-Appellees, v. NEW YORK LIFE INSURANCE COMPANY, Defendant-Appellant.
No. 82-1827.
United States Court of Appeals, Seventh Circuit.
Argued June 14, 1982. Decided Aug. 16, 1982.
689 F.2d 1272
Clay R. Williams, Gibbs, Roper, Loots & Williams, Milwaukee, Wis., for plaintiffs-appellees.
Before ESCHBACH, POSNER, and COFFEY, Circuit Judges.
POSNER, Circuit Judge.
We are asked in this case to decide whether in a so-called “spurious” class action under
Leonard Woods was general manager of New York Life Insurance Company‘s general office in Green Bay, Wisconsin, one of some 300 such offices throughout the country. He alleges that as he approached age 55, an age at which the company retirement benefits to which he was entitled would have taken a big jump, the company began to harass him, eventually demoted him, and when he complained fired him—all this (he alleges) pursuant to a company-wide policy of getting rid of general managers (and perhaps other employees) before they earned substantial pension rights.
Woods wrote a book designed to expose the company‘s scheme. Among other efforts to advertise the book, he sent a mailer to a number of former general managers of New York Life inviting them to buy the book and informing them that he had “an
Woods has asked the district court to mail notice of the suit to prospective members of the plaintiff class, which consists of general managers of New York Life who have been discriminated against on account of their age. The proposed notice, drafted of course by Woods’ counsel, and approved with a few changes by the district judge, summarizes the relevant provisions of the Age Discrimination in Employment Act and of the complaint, states that the court has authorized the sending of the notice to potential plaintiffs in the lawsuit, instructs the recipient how to join the suit, warns him of the possible expiration of the statute of limitations, and offers him the option of retaining Woods’ counsel, but makes clear that the decision whether to join and, if so, by whom to be represented is the recipient‘s. The notice is on the letterhead of the district court and is signed by the clerk of the court, and is to be sent to all current and former general managers of New York Life except those whose age-discrimination claims against the company are already time-barred. New York Life contends that the district court had no power to issue such a notice and the district court has certified this as a controlling question of law for immediate appeal to this court under
If this were a class action under
But we think the issue of power is a nonissue that has arisen from a failure to consider concretely what it means to say that a court has or has not the “power to notify” class members of the pendency of a section 16(b) suit. If the question meant to be asked is whether the plaintiff in a section 16(b) action may communicate, under terms and conditions prescribed by the court, with other members of the class, we think the answer is yes. But if the question meant to be asked is whether the notice should go out on court letterhead over the signature of a court official, we think the answer is no.
Before this suit was filed, Woods had sent invitations to other members of the class to join with him, and New York Life does not challenge his right to do this. After suit was filed, however, we do not think it would have been proper for Woods or his counsel to have sent out such invitations without first communicating to the defendant‘s counsel his intention to do so, so that the defendant‘s counsel would have an opportunity to verify the accuracy of the notice and, if he wished, to move for an order amending the notice or limiting its distribution in an appropriate manner. We cannot find any express basis in rule or statute for inferring either the duty of the plaintiff‘s counsel to notify the defendant‘s counsel in this manner or the power of the district court to regulate the content and distribution of the notice to potential class members; but we think both the duty and the power may fairly be inferred from section 16(b) itself and from
But we do not think that the power to regulate the sending of notice, once suit has commenced, includes the power to forbid the sending of notice altogether, though there are contrary intimations in the Vorhes opinion. See 564 F.2d at 863. New York Life argues that all section 16(b) creates is a right of permissive joinder, as under
But we think it improper for the district court to direct that the notice go out on its letterhead, over the signature of the clerk of court or other judicial officer. We can think of no good reason for apparent judicial sponsorship of the notice, at a stage in the litigation when there has been no determination that the plaintiff‘s allegations have any merit; and we can think of a good reason against it, which is that the judicial imprimatur is likely to be misunderstood as a representation that the suit probably has merit. At oral argument the plaintiffs’ counsel stated that he wanted the imprimatur in order to shield himself from a possible complaint under state law that he was trying to stir up litigation; but if the notice is approved by a federal court under the authority that we hold it has by virtue of section 16(b) of the Fair Labor Standards Act, any effort by the state to punish the lawyer who mails the notice would violate the supremacy clause of the United States Constitution. It is the court‘s order, not its letterhead or its clerk‘s signature, that provides the lawyer with immunity from a state‘s efforts to prevent communications authorized by section 16(b). Indeed the order may be unnecessary; section 16(b) of its own force may preempt state laws that operate to prevent the representative plaintiff or his counsel from communicating with other (actual or potential) class members; such laws could even raise First Amendment problems, cf. Bates v. State Bar of Ariz., 433 U.S. 350, 375-76, 97 S.Ct. 2691, 2704-05, 53 L.Ed.2d 810 (1977). But we need not decide these questions in this case.
We have assumed that the district judge had the power to notify the class members in the manner that he did, and merely exceeded that power because there was no reason to place a judicial imprimatur on a communication from the plaintiff‘s counsel to actual or potential members of the class. But there is a serious question whether a federal judge has the power to issue invitations to join a lawsuit. That activity changes the character of the judge from that of an adjudicator of disputes brought to him to that of a kind of town crier, ringing the tocsin to awaken those who may be sleeping on their rights; and we should
We can find nothing in Braunstein v. Eastern Photographic Laboratories, Inc., supra, the leading case empowering the district court to authorize the sending of notice to other class members under section 16(b), to support the further proposition that the district court can put out that notice on the district court‘s stationery and over the judge‘s or clerk‘s signature. As we have been at pains to show, the power to authorize the sending of notice does not contain, as a matter of logic or good sense, the further power to issue a judicial invitation to join a lawsuit.
We affirm the district court‘s power to authorize notice by the plaintiff or his counsel to members of the section 16(b) class. But we vacate its order approving the specific notice in this case and remand for preparation of suitable notice not on judicial letterhead and not signed by a judicial officer.
VACATED AND REMANDED.
ESCHBACH, Circuit Judge, concurring in part and dissenting in part.
I would affirm the order of the district court. In Braunstein v. Eastern Photographic Laboratories, Inc., 600 F.2d 335 (2d Cir. 1978), cert. denied, 441 U.S. 944, 99 S.Ct. 2162, 60 L.Ed.2d 1046 (1979), the Second Circuit held that a district court has the power, in an appropriate case, to authorize or order notice to be sent to potential members of the plaintiff class. The majority today develops the position enunciated in Braunstein by adding that a district court also has the power to prescribe the substance of such notice. Majority opinion at 5. In view of the majority‘s holding, I believe that the format of the notice, including the signature under which the notice is to be sent, is a detail that is best left to the discretion of the district court. See Johnson v. American Airlines, Inc., 531 F.Supp. 957 (N.D.Texas 1982) and Monroe v. United Air Lines, Inc., 90 F.R.D. 638 (N.D.Ill.1981) (notice to potential members of the plaintiff class, signed by plaintiffs or their attorneys, carried the following statement: “This notice has been authorized by the Honorable . . . . . . . ., the Judge to whom the case is assigned.“); Riojas v. Seal Produce, Inc., 82 F.R.D. 613 (S.D.Texas 1979) (notice to potential members of the plaintiff class signed by the Judge to whom the case was assigned). Therefore, I dissent from the majority‘s opinion to the extent that it holds that the district court erred in permitting the notice to be sent under its imprimatur.
Jona GOLDSCHMIDT, Plaintiff-Appellant, v. Randy PATCHETT, et al., Defendants-Appellees.
No. 81-2878.
United States Court of Appeals, Seventh Circuit.
Argued May 7, 1982. Decided Aug. 16, 1982.
686 F.2d 582
