Elizabeth PICHLER; Kathleen F. Kelly; Russell Christian; Deborah Brown; Seth Nye; Holly Marston; Kevin Quinn; Jose L. Sabastro; Deborah A. Sabastro; Thomas Riley; Amy Riley; Russell Daubert; Carrie Daubert v. UNITE (Union Of Needletrades, Industrial and Textile Employees, AFL-CIO), A New York Unincorporated Association; Bruce Raynor, A New York Resident; International Brotherhood of Teamsters AFL-CIO, Does 1-10.
Nos. 06-4522, 06-4721
United States Court of Appeals, Third Circuit
Argued Dec. 6, 2007. Filed: Sept. 9, 2008.
542 F.3d 380
Paul R. Rosen, David B. Picker (Argued), Spector Gadon & Rosen, P.C., Philadelphia, PA, Counsel for Appellant/Cross-Appellee.
Lawrence T. Hoyle, Jr. (Argued), Arlene Fickler, Arleigh P. Helfer III, John R. Timmer, Hoyle, Fickler, Herschel & Mathes LLP, Philadelphia, PA, Counsel for Appellee/Cross-Appellant.
OPINION OF THE COURT
CHAGARES, Circuit Judge.
This case presents several issues of first impression in this court of appeals regarding application of the Driver‘s Privacy Protection Act of 1994 (the DPPA),
I.
In the fall of 2002, the Union of Needletrades, Industrial & Textile Employees AFL-CIO (UNITE)1 decided to launch a union organizing campaign targeting Cintas Corporation (Cintas). Cintas, the largest domestic employer in the industrial laundry industry, is philosophically opposed to unions and union organizing. UNITE was concerned with what it saw as Cintas’ low wages, poor benefits, unsafe working conditions, discriminatory practices, and violations of various labor laws. The International Brotherhood of Teamsters AFL-CIO (Teamsters) already represented some Cintas employees, and the two unions therefore agreed to work together on the campaign.2
From its inception, a major component of the campaign to organize and unionize Cintas workers was finding potential legal claims against Cintas. UNITE sought to use litigation as a means of raising the standards in the industrial laundry industry, and to demonstrate to Cintas’ employees the effectiveness and usefulness of labor organizing. UNITE believed that
Generally, UNITE organizers would enter or observe a Cintas parking lot and either write down or dictate into a tape recorder the license plate numbers on cars seen parked in, entering, or leaving the lot. The organizers would then take their lists of license plate numbers and access motor vehicle records either by using a Westlaw database or through private investigators or “information brokers.” Appendix (App.) 229. The information brokers would—either directly or through intermediaries—obtain the information by applying to state motor vehicle bureaus.
Through these methods, UNITE accessed the motor vehicle records of the plaintiffs and a plaintiff class estimated by the parties to consist of between 1,758 and 2,005 Cintas employees, or relatives or friends of Cintas employees. UNITE visited the homes of many of these class members as well. During one such home visit on February 7, 2004, two women approached the house of plaintiff Kevin Quinn and rang his doorbell. When Quinn opened the door, they asked for him by name. He replied “That‘s me.” App. 238. When the women informed him that “they were organizing a union campaign against Cintas,” he told them he was not interested and shut the door. Id. The women returned to their car and departed.
In addition to Quinn, plaintiffs include other individuals employed by Cintas at all times relevant to this case—Elizabeth Pichler, Jose Sabastro, Thomas Riley, Seth Nye, and Russell Daubert.3 Plaintiffs also include several non-Cintas employees—Russell Christian, Deborah Sabastro, Carri Daubert, Holly Marston, and Amy Riley. Russell Christian is the boyfriend and housemate of Cintas employee Kathleen Kelly (who the District Court dismissed for lack of standing).4 Christian owns the car Kelly drives and is the person whose motor vehicle records UNITE accessed. When a UNITE organizer came to their home, he asked to speak to Christian. Holly Marston is the mother of Seth Nye, and the two co-own the car whose records were accessed (thereby obtaining the identities of both individuals). Amy Riley is Thomas Riley‘s wife, and they co-own the car whose records were searched as well. Deborah Sabastro and Carri Daubert are the wives of Jose Sabastro and Russell Daubert, but UNITE accessed only their husbands’ motor vehicle records as their cars were registered to their husbands. The court dismissed both wives’ claims for lack of standing.
The original complaint in this case was filed on June 28, 2004. App. 27. Shortly thereafter, plaintiffs filed a one-count amended class action complaint alleging that the Teamsters, UNITE, and
On May 31, 2005, the court certified a class to proceed against UNITE, though not against Raynor, and dismissed the claims of Kathleen Kelly, Carri Daubert, and Deborah Sabastro for lack of standing. See Pichler v. UNITE, 228 F.R.D. 230 (E.D.Pa.2005) (Pichler I). On August 30, 2006, the court granted summary judgment against UNITE and awarded the plaintiffs $2,500 each, and granted summary judgment in favor of Raynor. See Pichler v. UNITE, 446 F.Supp.2d 353 (E.D.Pa.2006) (Pichler II). Pursuant to
II.
The District Court had subject matter jurisdiction over this federal question action under
We review the District Court‘s construction of federal statutes de novo. Chao v. Cmty. Trust Co., 474 F.3d 75, 79 (3d Cir.2007). We also review a grant or denial of summary judgment de novo, applying the same standard as the District Court. Marten v. Godwin, 499 F.3d 290, 295 (3d Cir.2007). Summary judgment is
III.
Plaintiffs contend that the District Court erred in granting defendants’ summary judgment motion on the issue of punitive damages and that they were denied their Seventh Amendment right to a jury trial on that issue.7
A.
The parties filed cross-motions for summary judgment with the District Court, and submitted certain jointly stipulated facts for purposes of disposing of the motions. The court properly granted summary judgment as to UNITE‘s liability (except as noted in section V, infra) on the grounds that uncontroverted evidence established that UNITE acted for an impermissible purpose, in violation of the DPPA. Pichler III, 457 F.Supp.2d at 531.
Regarding the issue of summary judgment on plaintiffs’ request for punitive damages, however, the District Court seems to have applied an inappropriate standard. The court assumed that awarding remedies was simply “in its discretion.” Id. at 527. Specifically, rather than determining whether there were genuine issues of material fact as to whether UNITE willfully or recklessly contravened the DPPA as
The District Court concluded that it had discretion to fashion an award, but it did not determine whether summary judgment was appropriate on the issue of punitive damages given the requirements of
B.
If, on remand, the District Court determines that summary judgment is appropriate as to plaintiffs’ punitive damages claim, then a trial will be unnecessary. In re TMI Litig., 193 F.3d 613, 725 (3d Cir.1999); see Tull v. United States, 481 U.S. 412, 419 (1987). However, if the District Court determines that summary judgment is inappropriate, we agree with plaintiffs that they are entitled to a jury trial on their punitive damages claim, as we discuss below.
The Supreme Court has instructed that “[b]efore inquiring into the applicability of the Seventh Amendment, we must ‘first ascertain whether a construction of the statute is fairly possible by which the [constitutional] question may be avoided.‘” City of Monterey v. Del Monte Dunes, 526 U.S. 687, 707 (1999) (quoting Tull, 481 U.S. at 417 n. 3). It is clear that the DPPA makes no mention of a right to a jury trial. As the District Court properly observed, “[t]he DPPA does not provide for a jury trial on this (or, for that matter, any) issue.” Pichler III, 457 F.Supp.2d at 531. Accordingly, we must engage in a Seventh Amendment analysis. See Cox v. Keystone Carbon Co., 861 F.2d 390, 393 (3d Cir.1988).9
The Seventh Amendment provides that “in Suits at common law, where the value in controversy shall exceed twenty dollars,
our interpretation of the Amendment has been guided by historical analysis comprising two principal inquiries: “[F]irst, whether we are dealing with a cause of action that either was tried at law at the time of the founding or is at least analogous to one that was. If the action in question belongs in the law category, we then ask whether the particular trial decision must fall to the jury in order to preserve the substance of the common-law right as it existed in 1791.”
Del Monte Dunes, 526 U.S. at 708 (quoting Markman v. Westview Instruments, Inc., 517 U.S. 370, 376 (1996)) (quotation marks and citation omitted).
1.
Conducting the first inquiry, the Supreme Court has noted that “[t]he Seventh Amendment [ ] applies not only to common-law causes of action, but also to ‘actions brought to enforce statutory rights that are analogous to common-law causes of action ordinarily decided in English law courts in the late 18th century, as opposed to those customarily heard by courts of equity or admiralty.‘” Feltner v. Columbia Pictures Television, Inc., 523 U.S. 340, 348 (1998) (quoting Granfinanciera, S.A. v. Nordberg, 492 U.S. 33, 42 (1989)). To determine whether a statutory cause of action is more analogous to actions decided in courts of law or equity “we examine both the nature of the statutory action and the remedy sought.” Id. It is undisputed that plaintiffs are seeking the remedy of legal relief under the DPPA. See id. at 352 (“We have recognized the ‘general rule’ that monetary relief is legal....“). We must next determine whether civil suits seeking legal relief under the DPPA are analogous to common law causes of action ordinarily decided in courts of law in the late 18th century.
The Supreme Court in Del Monte Dunes considered, inter alia, whether an action for legal relief under
Like
2.
Having established that “the action in question belongs in the law category, we then ask whether the particular trial decision must fall to the jury in order to preserve the substance of the common-law right as it existed in 1791.” Markman, 517 U.S. at 376. The Supreme Court has acknowledged that “[w]e determine whether issues are proper for the jury, when possible, ‘by using the historical method’ look[ing] to history to determine whether the particular issues, or analogous ones, were decided by judge or by jury in suits at common law at the time the Seventh Amendment was adopted.” Del Monte Dunes, 526 U.S. at 718 (quoting Markman, 517 U.S. at 378). Where an examination of history does not provide a definitive answer as to the particular issues or analogous issues, “we look to precedent and functional considerations.” Del Monte Dunes, 526 U.S. at 718.
The Supreme Court has made clear that, historically, the issue of punitive damages was tried to a jury in cases sounding in tort. In Day v. Woodworth, 54 U.S. (13 How.) 363, 14 L.Ed. 181 (1851), the Court acknowledged that decisions regarding punitive damages should be “left to the discretion of the jury” and noted that this principle was supported by “repeated judicial decisions for more than a century.” Id. at 371; see id. (recognizing that issue of punitive damages has “always” been a jury question). In particular, the Court observed, “[i]t is a well-established principle of the common law, that in ... all actions on the case for torts, a jury may inflict what are called exemplary, punitive, or vindictive damages upon a defendant....” Id. Accordingly, we hold that the issue of punitive damages in cases sounding in tort (such as the DPPA) “were decided by [a] jury in suits at common law at the time the Seventh Amendment was adopted.” Del Monte Dunes, 526 U.S. at 718.
Even if history did not provide a definitive answer to the question of whether the issue of punitive damages should be tried by a jury, both precedent and functional considerations support our holding. First, regarding precedent, we held in Klinger v. State Farm Mutual Auto. Insurance Co., 115 F.3d 230 (3d Cir.1997), that because punitive damages constituted traditional legal relief, the Seventh Amendment demanded that a jury assess whether punitive damages were appropriate in a statutory bad faith action. Id. at 235-36; see also Tull, 481 U.S. at 422 (“Remedies intended to punish culpable individuals ... were issued by courts of law, not courts of equity.“); Curtis, 415 U.S. at 196 (noting that the remedy of punitive damages “is the traditional form of relief sought in the courts of law“). Second, regarding functional considerations, “[i]n actions at law predominantly factual issues are in most cases allocated to the jury.” Del Monte Dunes, 526 U.S. at 720. The relevant issue in this case is whether UNITE willfully or recklessly disregarded the prohibitions of the DPPA. See
In sum, where there is a genuine issue of material fact regarding the willfulness or recklessness of a defendant‘s conduct, we hold that the Seventh Amendment requires a trial by jury on the issue of punitive damages under the DPPA.10
IV.
Plaintiffs next contend that the District Court erroneously dismissed the claims of Carri Daubert and Deborah Sabastro for lack of standing. UNITE searched the motor vehicle records of their husbands—Russell Daubert and Jose Sabastro—revealing the couples’ shared addresses. According to the court, as neither Carri Daubert nor Deborah Sabastro were the registered owners of the vehicles about which UNITE obtained information, they suffered no invasion of an interest that the DPPA protects, and they lack standing to sue. We agree.
Article III of the Constitution limits the “judicial Power” of the United States to the adjudication of “Cases” or “Controversies.”
The “irreducible constitutional minimum” of Article III standing consists of the following three elements:
First, the plaintiff must have suffered an injury in fact—an invasion of a legally protected interest which is (a) concrete and particularized; and (b) actual or imminent, not conjectural or hypothetical. Second, there must be a causal connection between the injury and the conduct complained of—the injury has to be fairly traceable to the challenged action of the defendant, and not the result of some third party not before the court. Third, it must be likely, as opposed to merely speculative, that the injury will be redressed by a favorable decision.
Lujan v. Defenders of Wildlife, 504 U.S. 555, 560-61 (1992) (quotation marks, footnote, and citations omitted). The main issue regarding the standing of Carri Daubert and Deborah Sabastro is whether they have suffered “an invasion of a legally protected interest” under the DPPA. Id. at 560; see Warth v. Seldin, 422 U.S. 490, 500 (1975) (“The actual or threatened injury required by Art. III may exist solely by virtue of ‘statutes creating legal rights, the
The DPPA provides that a “person who knowingly obtains, discloses or uses personal information, from a motor vehicle record, for a purpose not permitted under this chapter shall be liable to the individual to whom the information pertains, who may bring a civil action....”
The DPPA protects the privacy interests of “the individual to whom the [personal] information pertains....”
The consent provisions in
Our view of
V.
Plaintiffs’ final contention on appeal is that they are entitled to cumulative liquidated damages awards.12 Specifically, they claim that the DPPA entitles them to a separate liquidated damages award for each time UNITE “obtain[ed]” or “us[ed]” plaintiffs’ personal information,13 and that the court erred by granting summary judgment to UNITE on this issue despite issues of fact as to the propriety of multiple awards. Appellant Br. at 55-56.
While both parties seem to view the statutory interpretation issue as a binary one (either allowing multiple liquidated damage awards for every obtaining or use, or not), we see the statutory language as presenting a more nuanced damages scheme. There are two distinct questions: first, whether the DPPA permits a plaintiff to recover two separate liquidated damage awards because a defendant obtains and then uses plaintiff‘s confidential information; and second, whether the DPPA permits a plaintiff to recover multiple liquidated damage awards where a defendant has used plaintiff‘s confidential information on more than one occasion.
A.
As to this first question, plaintiffs point out that the DPPA is written in the disjunctive (“a person who knowingly obtains, discloses or uses“), and so each act of obtaining, disclosing, or using of confidential information constitutes a separate violation of the statute. Plaintiffs contend that since the mere obtaining of personal information is a violation of the DPPA entitling a plaintiff to damages and other relief “it follows that a further use of that information is a separate invasion of privacy and a separate violation ... that independently entitles the victim to the relief prescribed by section 2724(b).” Appellant Br. at 56 (emphasis in original).14
Merely because both obtaining and using motor vehicle information for an impermissible purpose violate the DPPA (a premise with which we agree), it does not follow that each independent violation entitles plaintiffs to a separate liquidated damages award. The key phrase for purposes of our analysis is the DPPA‘s provision of $2,500 in “liquidated damages.”
Under the common law of contracts, liquidated damages reflect an ex ante agreement of the parties. See E. Allan Farnsworth, Contracts § 12.18 (4th ed.2004) (quoting Banta v. Stamford Motor Co., 89 Conn. 51, 92 A. 665, 667 (1914) (“The standard of measure here is not furnished by the plaintiff‘s actual loss or injury, as the event proved, but by the loss or injury which might reasonably have been anticipated at the time the contract was made.... It is the look forward and not backward that we are called upon to take ....“)); see also In re Plywood Co., 425 F.2d 151, 154 (3d Cir.1970) (describing liquidated damages under New Jersey law as “the sum a party to a contract agrees to pay if he breaks some promise, and which, having been arrived at by a good faith effort to estimate in advance the actual damage that will probably ensue from the breach, is legally recoverable as agreed damages if the breach occurs“) (quotation marks and citation omitted).15 To incorporate the meaning of the term, we construe the DPPA with an eye toward the “loss or injury which might reasonably have been anticipated.” Banta, 92 A. at 667.
Congress clearly contemplated that in most cases, a defendant who obtained motor vehicle information would put it to some use. See Pichler III, 457 F.Supp.2d at 530 (“Congress surely understood that the usual case would involve at least one instance of ‘obtain[ing]’ and one ‘use[ ],’ and it decided that a plaintiff who did not or could not show actual damages could nevertheless receive $2,500.“). Therefore, given Congress‘s use of the term “liquidated damages” and the $2,500 amount provided, we conclude that this amount encompasses both aspects of a defendant‘s “breach” of the DPPA—one instance of obtaining and one of use—and that the defendant is limited to one liquidated damage award in this situation. A contrary holding would effectively result in a minimum award of $5,000 for every violation of the DPPA—a result we do not believe Congress intended.
In response, plaintiffs contend that this result would incentivize a defendant who has already obtained information to then use it. This argument is unpersuasive. To begin with, the DPPA provides for criminal liability, which should deter someone who has obtained confidential information from calling attention to his or her criminal conduct by using it. See Gen. Instrument Corp. of Delaware v. Nu-Tek Elecs. & Mfg., Inc., 197 F.3d 83, 95 (3d Cir.1999). Moreover, plaintiffs are free to elect actual, rather than liquidated damages, and will certainly do so in appropriate cases. See id.16 Further still, the DPPA permits the award of punitive dam-
B.
While we understand Congress to have forecast “liquidated damages” as $2,500 for the most likely violation of the DPPA (obtaining and using confidential information), there is no reason to think that such an amount covers all subsequent violations as well. The plain language of the statute contains no such restriction. See
The language of the DPPA indicates a certain degree of discretion granted to the court in awarding damages. See
In this case, there appears to be evidence of multiple uses of personal information in the summary judgment record, but the District Court had a view that differed from ours regarding multiple uses or disclosures. The court did acknowledge that multiple awards of damages might be appropriate in cases where, for instance, a DPPA violator “bombarded” a plaintiff with visits and mailings. Pichler III, 457 F.Supp.2d at 530 n. 6. However, the court determined that the record did not suggest such a “gross disregard” of a plaintiffs’ privacy rights. As a result, the court, relying upon its “Congressionally-authorized discretion,” awarded $2,500 to each plaintiff. Id. at 530-31.
While the District Court, when all is said and done, has discretion under the DPPA to fashion an award it deems appropriate, it must address the outstanding issue of liability regarding multiple uses of personal information. The District Court must determine whether there is sufficient evidence of multiple uses to proceed beyond summary judgment. Given our construction of the DPPA and the fact that the District Court did not appear to have applied the standards for summary judgment, we will vacate its grant of summary judgment as to this issue and remand for the District Court to address explicitly whether summary judgment was appropriate on this issue.
VI.
UNITE‘s first contention as cross-appellant addresses the District Court‘s finding of liability. UNITE claims that the court found it to have obtained plaintiffs’ personal information “for a purpose not permitted” under the DPPA only by erroneously construing the DPPA‘s “permissible uses” of personal information.
The DPPA is structured such that
We need not address the District Court‘s interpretation of the litigation and the acting on behalf of the government exceptions as we agree with the District Court that the language of the statute is clear: “The Act contains no language that would excuse an impermissible use merely because it was executed in conjunction with a permissible purpose.” Id. at 367 (“[I]f UNITE had three purposes for ‘obtain[ing], disclos[ing] or us[ing] [plaintiffs‘] personal information’ and two of those were ‘permissible uses’ but the third was not, UNITE would still be liable for the third purpose.“). Because UNITE obtained and used the confidential information for an impermissible purpose—union organizing—it does not matter what other permissible purpose UNITE may have had.
UNITE advances a unique argument. It claims that its labor-organizing purpose may not be severed from either its litigation purpose or its acting on behalf of the government purpose. For instance, UNITE contends that its
emphasis on litigation had a twofold purpose: raising the standards in the industry for the benefit of UNITE‘s members, whether or not employed by Cintas, and demonstrating to Cintas’ employees the effectiveness and usefulness of organization. Thus, UNITE‘s activity in investigating potential litigation was part and parcel of its unionizing campaign, not separate and distinct from it.
Appellee Br. at 32.18
The litigation component to UNITE‘s campaign should not obscure what UNITE was trying to accomplish—organizing labor. The same may be said for its acting on behalf of the government purpose. UNITE candidly admits that it launched the “campaign to organize and unionize Cintas workers.” App. 226. Moreover, the organizers themselves, in conducting their home visits, unambiguously explained
The statute clearly prevents obtaining or using personal information “for a purpose not permitted under this chapter....”
Accordingly, we will affirm the judgment of the District Court finding that UNITE obtained and used personal information for a purpose not permitted by the DPPA.
VII.
UNITE‘s second argument—that civil liability requires a defendant knowingly obtain or disclose personal information for a use the defendant knows is impermissible—is patently without merit. Citing the similar language of §§ 2722 and 2724 of the DPPA, UNITE contends that the District Court erred in holding that the standard of civil liability—unlike the standard for criminal liability—“does not require proof that a defendant had any appreciation that its conduct was impermissible.” Appellee Br. at 37-38.
This double-knowledge requirement simply does not fit into the DPPA‘s statutory scheme.21 The provisions of
Congress’ structuring of the DPPA—specifically, the interplay amongst its recitation of unlawful acts, civil penalties, and criminal penalties—is not unique. For instance,
Moreover, UNITE‘s reading of the DPPA is incomprehensible given the statute‘s punitive damages provision. Section
Accordingly, we will affirm the judgment of the District Court on this issue.
VIII.
UNITE‘s final argument as cross-appellant addresses plaintiffs’ burden to recover liquidated damages under the DPPA. According to UNITE, the District Court erroneously construed
As we understand the plain meaning of the provision, the two phrases therein grant, and then limit, the authority of the court in awarding damages. Simply put, the first phrase (“The court may award—actual damages“) is a grant of authority to the court—it enables the court to award actual damages, however high they might be. The second phrase (“but not less than liquidated damages ...“), then, limits that authority on the low end of the scale, creating a damage award floor. While the court may award actual damages, it may not grant an award “less than liquidated damages in the amount of $2,500.”
Indeed, the Court of Appeals for the Eleventh Circuit, considering the identical issue now before us, arrived at the same conclusion as we reach here. See Kehoe v. Fid. Fed. Bank & Trust, 421 F.3d 1209 (11th Cir.2005). The court in Kehoe began its analysis by reviewing the text of
The Supreme Court‘s opinion in Doe v. Chao, 540 U.S. 614, 124 S.Ct. 1204, 157 L.Ed.2d 1122 (2004), and the common law of privacy support this understanding of the plain language as well. In Doe, the Supreme Court considered the issue of whether the Privacy Act requires that plaintiffs prove actual damages to qualify to receive statutory damages. The Court ruled in the affirmative, but the difference between the Privacy Act and the DPPA, as well as the Court‘s broader analysis, actually support our holding to the contrary here.
Unlike the DPPA, the Privacy Act contains language providing that the defendant is liable for “actual damages sustained by the individual as a result of [certain agency conduct] ... but in no case shall a person entitled to recovery receive less than the sum of $1,000.”
Further support for our construction of
Damages for a violation of an individual‘s privacy are a quintessential example of damages that are uncertain and possibly unmeasurable. Since liquidated damages are an appropriate substitute for the potentially uncertain and unmeasurable actual damages of a privacy violation, it follows that proof of actual damages is not necessary for an award of liquidated damages.
Finally, as discussed above in a different context, see section V, supra, the inclusion of the phrase “liquidated damages” supports the conclusion that the plain language of the DPPA aims to compensate not just those violations that can be shown to have caused actual damages. Liquidated damages have long been used as a substitute for actual damages in situations where “damages are uncertain in nature or amount or are unmeasurable.” Rex Trailer Co. v. United States, 350 U.S. 148, 153 (1956). Further, we have just observed that the damages flowing from privacy violations have historically been considered “quintessential example[s] of damages that are uncertain and possibly unmeasurable.” Kehoe, 421 F.3d at 1213. We believe it would make little sense, as a matter of statutory construction, for Congress to have inserted the phrase “liquidated damages” into
IX.
For the foregoing reasons, we will affirm in part, vacate in part, and remand for further proceedings consistent with this opinion.
SLOVITER, Circuit Judge, dissenting.
Congress took an important step in protecting the privacy of drivers when it enacted the Driver‘s Privacy Protection Act (“DPPA” or “Act“) in 1994. That Act prohibits the disclosure and resale of the personal information, defined as, inter alia, the name, address, telephone number and social security number, that a prospective licensee must disclose to the state motor vehicle department in order to secure a driver‘s license unless the disclosure and/or use falls within one of the fourteen enumerated statutory exceptions. See
The impetus for the Act is clear from the legislative history. A television actress in California who had an unlisted home number and address “was shot to death by an obsessed fan who obtained her name and address through the DMV.” See 140 Cong. Rec. 7,924-25 (1994). In Tempe, Arizona, “a woman was murdered by a man who had obtained her home address from that State‘s DMV.” 139 Cong. Rec. 29,466 (1993). The Senate debate focused on the need to protect the privacy of persons from stalkers and potential criminals. See id. at 29,469. At that time, personal information was easily available from 34 states’ DMVs. Id. at 29,466.
Interestingly, although the debates in the House of Representatives and Senate were devoted to privacy issues, the commentary following the passage of the DPPA focused on the 10th and 11th Amendments and what many commentators viewed as the Act‘s clash with principles of federalism. The expressed concern was that the federal government was mandating certain actions by the states. See Condon v. Reno, 155 F.3d 453, 456 (4th Cir.1998) (holding that “Congress lacked the authority to enact the DPPA under either the Commerce Clause or Section 5 of the Fourteenth Amendment“), rev‘d 528 U.S. 141 (2000). The Supreme Court‘s unanimous decision in Reno v. Condon, 528 U.S. 141 (2000), which held that in enacting the DPPA Congress did not run afoul of federalism principles and sustained the DPPA under Congress’ authority to regulate interstate commerce put an end to that debate. Because the Court limited its discussion to the federalism issue, it did not discuss either the scope of the privacy interest to which the DPPA is directed or any of the details of the Act to which the majority directs its opinion.
The holding of the majority with which I disagree is confined to its agreement with the District Court that even if UNITE obtained and used driver information for one of the purposes expressly permitted by the DPPA, it violated the statute if it also had a purpose not expressly permitted. As the majority recognizes, UNITE argued that “a major component of the campaign to organize and unionize Cintas workers was finding potential legal claims against Cintas.” Maj. Op. at 383. The statute expressly exempts from its prohibitions “use in connection with any civil,
The District Court held, and the majority agrees, that because UNITE conceded that it also accessed the motor vehicle records for the purpose of organizing workers, and union organizing is not listed a permissible purpose, the use of names and addresses of Cintas employees for that purpose violated the DPPA as a matter of law. Pichler v. UNITE, 446 F.Supp.2d 353, 368 (E.D.Pa.2006). I disagree.
In the first place, there is ample basis in the record to substantiate UNITE‘s assertion that it had the purpose of investigating legal claims against Cintas. Indeed, the District Court‘s opinion notes that UNITE prepared a 132-page “Legal Training Laundry Campaign” document that its attorneys and outside counsel used to train the twelve UNITE members who were the lead organizers for the regions where UNITE would kick off its campaign. Pichler, 446 F.Supp.2d at 357. The training covered such topics as the Fair Labor Standards Act, the Family Medical Leave Act, various types of discrimination, unfair labor practices, and workers’ compensation. Id.
That such training would be useful can be gleaned from the statement in the District Court opinion that many employees working at the 350 Cintas locations are either female, black, or Hispanic. Id. at 355. Although neither the District Court nor the majority has so stated, I assume that not many of the 28,000 Cintas employees are well informed about their rights and UNITE may very well have a basis for instituting legal or administrative actions on behalf of the Cintas employees at issue in this case as it has done in other locations.
The District Court‘s view of the “investigation in anticipation of litigation” clause in
A recent decision of the Court of Appeals for the Eleventh Circuit offers a starkly different interpretation of
I would adopt the Eleventh Circuit‘s interpretation of
Furthermore, it is important to note that there is nothing illegal about efforts to organize a union. It is one of the activities protected by our labor laws. See National Labor Relations Act § 7,
The majority cites no legislative history to support its conclusion that the presence of one unlisted purpose for obtaining the motor vehicle information overrides or cancels a listed purpose. When such cases are presented, I would adopt the approach courts have historically used in situations where there are multiple purposes and have the fact-finder determine which is the primary purpose and whether that purpose was permitted under
I recognize the significance of the majority‘s footnote stating that UNITE waived any argument that we should analyze whether its purpose was primary or secondary because it failed to raise the argument in the District Court or in any of the briefs filed in this court. I do not minimize the force of that argument, but note that because our interpretation of this statute will set the boundaries of civil liability under the DPPA in this circuit, I would apply our precedent and exercise our discretion to consider the argument notwithstanding the waiver. See Loretangeli v. Critelli, 853 F.2d 186, 189 n. 5 (3d Cir.1988) (“This court may consider a pure question of law even if not raised below where refusal to reach the issue would result in a miscarriage of justice or where the issue‘s resolution is of public importance.“).
In summary, I would reverse the District Court‘s grant of summary judgment for plaintiffs on liability and would remand so that a jury could decide whether UNITE‘s primary purpose in obtaining and using the information gleaned from motor vehicle records was to receive information from Cintas employees about potential legal violations, an expressly protected activity.
Richard J. LEWIS; Patricia A. Lewis, Appellants, v. ATLAS VAN LINES, INC.
No. 07-2688
United States Court of Appeals, Third Circuit
Argued June 3, 2008. Filed: Sept. 9, 2008.
542 F.3d 403
Notes
In this case, both requirements are met. The District Court granted summary judgment as to UNITE‘s liability under the DPPA and addressed all remedial issues except attorneys’ fees—granting liquidated damages, denying punitive damages, and granting injunctive relief. See Budinich v. Becton Dickinson & Co., 486 U.S. 196, 199-203 (1988) (explaining that a decision on the merits is a final decision as a matter of federal law under
(b) Remedies.----The court may award-
(1) actual damages, but not less than liquidated damages in the amount of $2,500;
(2) punitive damages upon proof of willful or reckless disregard of the law;
(3) reasonable attorneys’ fees and other litigation costs reasonably incurred; and
(4) such other preliminary and equitable relief as the court determines to be appropriate.
(b) Permissible uses.—Personal information referred to in subsection (a) shall be disclosed for use in connection with matters of motor vehicle or driver safety and theft, motor vehicle emissions, ... and, subject to subsection (a)(2), may be disclosed as follows:
(1) For use by any government agency, including any court or law enforcement agency, in carrying out its functions, or any private person or entity acting on behalf of a Federal, State, or local agency in carrying out its functions.
...
(4) For use in connection with any civil, criminal, administrative, or arbitral proceeding in any Federal, State, or local court or agency or before any self-regulatory body, including the service of process, investigation in anticipation of litigation, and the execution or enforcement of judgments and orders, or pursuant to an order of a Federal, State, or local court.
