The facts of this case are set forth in
Royal Ins. Co. of Am. v. Quinn-L Capital Corp.,
I.
Quinn-L argues that the federal courts do not have jurisdiction for three reasons. First, Quinn-L contends that the district court did not have ancillary jurisdiction over the affirmative defenses of waiver, estoppel, and negligence. Second, Quinn-L contends that no diversity jurisdiction exists. Third, Quinn-L asserts that the district court had no jurisdiction to grant summary judgment while an appeal was pending before this court.
A.
In
Royal I,
we recognized that the district court had ancillary jurisdiction to issue an anti-suit injunction to protect or effectuate its prior judgments.
Before addressing the merits of the jurisdictional argument, we must decide whether law of the case principles apply to appeals of preliminary injunctions. We decide that issue here because Royal relies upon the law of the case doctrine in addressing numerous points of error raised by Quinn-L. Quinn-L argues that the doctrine has no application in preliminary injunction proceedings.
The law of the case doctrine was developed to “maintain consistency and avoid [needless] reconsideration of matters once decided during the course of a single continuing lawsuit.” 18 Charles A. Wright et al., Federal Practice and Procedure § 4478, at 788 (1981). “These rules do not involve preclusion by final judgment; instead, they regulate judicial affairs before final judgment.”
Id.
Under this doctrine, we will follow a prior decision of this court without reexamination in a subsequent appeal unless “(i) the evidence on a subsequent trial was substantially different, (ii) controlling authority has since made a contrary decision of the law applicable to such issues, or (iii) the decision was clearly erroneous and would work manifest injustice.”
North Miss. Communications v. Jones,
We disagree with Quinn-L’s suggestion that law of the case principles have no application to an interlocutory appeal of the granting of a preliminary injunction. As in any other interlocutory appeal, our decision constitutes law of the case. 1B James W. Moore et al., MooRe’s Federal Practice ¶ 0.404[4. — 7], at II-37 (2d ed. 1993). Obviously, the doctrine extends only to matters actually decided. Id. at 11-37 to 11-38. As to decisions of law, the interlocutory appeal will establish law of the case.
As to factual determinations, however, an interlocutory appeal of a preliminary injunction often will not establish law of the case. To obtain a preliminary injunction, the movant need only show a substantial likelihood of success on the merits. We review a district court’s findings of fact supporting the grant of a preliminary injunction for clear error.
Royal I,
Contrary to Quinn-L’s suggestion, however, the reason this result does not obtain is not because law of the case principles are inapplicable. Rather, the lesser standard of review applied during an appeal of a preliminary injunction necessarily means that the factual issues differ from those on direct appeal. Such a difference often will result only from the higher standard of review applied during the direct appeal.
With this background in mind, we now address Royal’s contentions that we previously held that the district court had ancillary jurisdiction over the entire controversy and that this alleged holding is law of the case. In
Royal I,
we held that the district court has “ancillary jurisdiction over the present controversy.”
In other words, we held that the district court had ancillary jurisdiction to issue an injunction but that the Act bars a portion of the injunction. We did not have to decide, and did not decide, the jurisdictional issue as to the claims of waiver, estoppel, and negligence, as Quinn-L obtained a reversal on the merits as to those claims. 1 Here, the jurisdictional issue is squarely presented, and we must decide it.
We conclude that the district court did not have ancillary jurisdiction to address the waiver, estoppel, and negligence claims. As noted above, the district court has ancillary jurisdiction
2
to protect or effectuate its judgments. This jurisdiction extends no further than necessary to achieve that purpose. But “[wjhile ... the ... Act is not a grant of jurisdiction, no independent basis of jurisdiction is required for a federal court to entertain an application to enjoin relitigation in state court. The jurisdiction that the federal court had when it entered its original judgment is enough to support its issuance of an injunction.”
Mooney Aircraft Corp. v. Foster (In re Mooney Aircraft),
In
Mooney,
we noted that where a bankruptcy court seeks to enjoin claims that were not encompassed in a prior judgment, no ancillary jurisdiction exists.
Thus, we agree with Quinn-L that ancillary jurisdiction extends no further than the scope of the first judgment. The basis for allowing the federal courts to exercise ancillary jurisdiction in issuing anti-suit injunctions is to allow them to protect their prior judgments; where new claims are involved, the policy basis for ancillary jurisdiction disappears. We therefore conclude that ancillary jurisdiction to issue anti-suit injunctions normally will not allow a federal court to exercise jurisdiction over new claims not addressed in the judgment the court is seeking to protect. 3
B.
Next, we must decide whether diversity jurisdiction exists in this case. Royal is an unincorporated association that sells insurance under a so-called “Lloyd’s plan.” For purposes of ascertaining whether the federal courts have diversity jurisdiction, an unincorporated association is considered to have the citizenship of its members.
Carden v. Arkoma Assocs.,
A Lloyd’s plan insurer consists of a group of underwriters who join together to issue insurance through an attorney in fact or other representative. Tex.Ins.Code Ann. arts. 18.01-02 (West 1981). Ordinarily, such insurers provide insurance for risks for which American insurance companies otherwise would not issue policies. ROBERT E. Keeton & Alan I. Widiss, Insuranoe Law § 2.1(a)(1) (West 1988) (practitioner’s ed.). Under the Lloyd’s plan, the insured typically obtains insurance from one or more members of the Lloyd’s group; each member accepts responsibility for a portion of the risk, and liability among the members is several but not joint.
Jones v. Hollywood Style Shop,
The Lloyd’s group underwriters appoint an attorney' in fact to act for them under a power of attorney. Tex.Ins.Code Ann. art. 18.01-1 (West 1981). The attorney in fact has the power to issue policies of insurance, “authorized by and acting for such underwriters.... ”
Id.
The attorney in fact is “in effect the chief executive and managing agent of the enterprise.... ”
Grace v. Rahlfs,
Quinn-L contends that the attorney in fact is akin to a general partner of a general partnership and that the underwriters are akin to limited partners. We do not find the analogy relevant to our inquiry, as the degree of control exercised by an individual over an entity is irrelevant to the question of whether he is a member of the entity.
Carden,
Analogies to other types of state-created entities likewise are not especially helpful. The only relevant inquiry is the identification of the members of this particular entity. Normally, we should examine an entity’s definition of “member.” Here, such an inquiry is unnecessary, as the relationship of the attorney in fact to a Lloyd’s group is described by statute.
We agree with Royal that the attorney in fact is not a member of a Lloyd’s group insurance association; only underwriters are members of the organization. As noted above, the attorney in fact acts as an
agent
for the Lloyd’s group.
Grace,
Because attorneys in fact are not members of Lloyd’s plan insurance associations, we look only to the citizenship of the underwriters to determine whether diversity jurisdiction exists. Here, because none of the underwriters is a Texas citizen, complete diversity exists.
C.
Finally, we must consider Quinn-L’s contention that the district court lacked jurisdiction to grant summary judgment while the interlocutory appeal in
Royal I
was pending. A district court loses jurisdiction over all matters validly before a court of appeals.
Dayton Indep. Sch. Dist. v. U.S. Mineral Prods. Co.,
This ease does not fall within the scope of Dayton, a case in which the district court made a ruling that mooted an interlocutory appeal. In other words, the district court’s action interfered with our jurisdiction to decide the issues before us. Here, the district court’s continuing jurisdiction during the pending interlocutory appeal did not interfere with our ability to decide the issues presented in Royal I. Accordingly, the district court had jurisdiction to enter summary judgment.
II.
Quinn-L argues that the declaratory judgment and permanent injunction must be vacated because they violate the Act, which provides as follows: “A court of the United States may not grant an injunction to stay proceedings in a State court except as expressly authorized by Act of Congress, or where necessary in aid of its jurisdiction, or to protect or effectuate its judgments.” 28 U.S.C. § 2283 (1988). The Act is “an absolute prohibition against enjoining state court proceedings unless the injunction falls within one of [the] three specifically defined exceptions.”
Atlantic Coast Line R.R. v. Brotherhood of Locomotive Eng’rs,
Here, the district court rendered a declaratory judgment on the waiver, negligence, and estoppel claims and enjoined defendants from proceeding therewith in state court. On its face, then, this judgment falls squarely within the “protect or effectuate its judgments” exception to the Act. We have stated, however, that “[i]f an injunction would be barred by § 2283, this should also bar the issuance of a declaratory judgment that would have the same effect as an injunction.”
Texas Employers’ Ins. Ass’n v. Jackson,
In Jackson, the plaintiff sought relief under the Longshore and Harbor Workers’ Compensation Act (LHWCA) using the normal administrative process. Before that pro *884 cess was complete, he sued his employer’s LHWCA insurer in state court, alleging, inter alia, deceptive trade practices, fraud, bad faith, and intentional infliction of emotional distress. The insurer filed a plea in bar asserting LHWCA preemption. The state court denied the petition, and extensive discovery was conducted. Later, the insurer filed a declaratory judgment action in federal court seeking an injunction against prosecution of the state court suit.
The district court granted the injunction on the basis of the “protect or effectuate its judgments” exception to the Act. The panel reversed and barred the grant of injunctive relief but allowed the declaratory judgment to stand.
Texas Employers’ Ins. Ass’n v. Jackson,
As we noted above, we stated in
Jackson
that if “an injunction would be barred by § 2283, this should also bar the issuance of a declaratory judgment that would have the same effect as an injunction.”
To decide whether the Act would bar an injunction on the waiver, estoppel, and negligence claims, we must address a question that is
res nova
in this circuit. Quinn-L injected these claims into the federal proceedings
before
it had filed any state court actions on these claims. In other words, Royal filed a declaratory judgment action seeking an anti-suit injunction prior to the commencement of any state proceedings. Before a state court suit is filed, the Act has no application, and a federal court may enjoin parties from ever filing suit in state court.
Jackson,
A circuit split exists on the question of whether the Act has any application where the injunction is sought before a state suit has been filed but is not issued until after a state suit was filed. Three circuits have adopted the rule that the Act does not apply where the federal suit is filed first.
See Barancik v. Investors Funding Corp.,
The leading case holding that the Act does not apply when the federal suit is filed first is
Barancik,
in which the court reasoned that the Act does not apply because the applicability of the Act should be determined at the time the federal court’s injunctive powers are invoked.
*885 The Barancik court felt that using TRO’s would encourage the liberal granting of the kind of protective orders that the statute was designed to prevent. We also disagree with this analysis, which assumes the district coui't will decide the issue wrongly and that granting a TRO will prejudice the decision on the merits. Such logic proves too much, as no TRO would be justified under this reasoning. Although the issuance of a TRO should not be automatic and is subject to, inter alia, the requirements of Fed.R.CivP. 65(b), 5 the TRO is a useful tool where appropriate.
The Barancik court, moreover, held that the Act does not apply where the federal suit is filed first. In this class of cases, then, Barancik eviscerates the statutory bar against anti-suit injunctions. The Barancik court also expressed concern that the court might have to take action without notice to the opposing party. We find this reasoning to be questionable as well, as it assumes that district courts will ignore the requirements of rule 65(b).
We subscribe to what we think is the better view — that the Act applies regardless of when the federal and state suits were filed. The plain language of the statute contains no exception for a situation in which the federal suit was filed first. As the
Roth
court notes,
Because the Act applies even when the federal suit is filed first, we now must address Quinn-L’s contention that our holding in Jackson mandates reversal here. Royal argues that because the federal suit was filed first in this case, Jackson is distinguishable and hence is not controlling here. 6 To resolve this question, we return to policy concerns underlying our decision in Jackson.
At oral argument, the parties characterized
Jackson
as a new type of abstention. We agree with this characterization, as no language in the Act or the Declaratory Judgment Act, 28 U.S.C. §§ 2201, 2202 (1982), specifically commands the result in Jackson.
7
As we recently recognized, our decision in
Jackson
was based upon principles of federalism and comity.
Travelers Ins. Co. v. Louisiana Farm Bureau Fed’n,
*886
In
Jackson,
the federal suit offended principles of comity and federalism because the plaintiff sought an overruling of a state court decision on LHWCA preemption.
Where the federal case is filed substantially prior to the state ease, and significant proceedings have taken place in the federal case, we perceive little, if any, threat to our traditions of comity and federalism.
See Moses H. Cone Hosp.,
Citing
Hawaii Housing Auth. v. Midkiff,
Second, we find other types of abstention distinguishable. For example, in the case of Younger 10 abstention, the Court was concerned with federal court interference with a state’s ability to function. By blocking proceedings involving state governments, federal courts could interfere unduly with the state’s ability to govern. These federalism concerns are implicated no matter when the federal and state suits are filed: A state’s ability to conduct proceedings is compromised if the officials conducting those proceedings are involved in discovery in federal court.
In Jackson, on the other hand, the filing of the federal suit demonstrated an attempt to overrule a decision by a state trial court. Federalism and comity concerns arose only because a litigant attempted to use the federal courts to interfere with ongoing state court proceedings. Thus, while the time of filing of the federal and state suits is irrelevant to the application of the Act, it can be an important consideration in determining whether to abstain under Jackson.
We conclude, however, that federal courts need not abstain from declaratory judgment actions under
Jackson
where the federal suit is filed substantially prior to any state suits, significant proceedings have taken place in the federal suit, and the federal suit has neither the purpose nor the effect of overturning a previous state court ruling. We recently characterized the rule in
Jackson
as applying only where “a declaratory defen
*887
dant has
'previously
filed a cause of action in state court against the declaratory plaintiff.”
Travelers,
III.
Quinn-L next contends that Royal was collaterally estopped from pursuing the second declaratory judgment action because it originally sought to reopen the first declaratory judgment action by fifing a motion on January 3, 1990. In the February 28, 1990, order denying the request to reopen the first action, the district court stated the following: “Because this case has been closed and the issues may be litigated in the current state court litigation, the Court DENIES the Motion.” Quinn-L argues that this order is determinative with respect to the forum in which the coverage issues are to be decided.
Quinn-L cites
New Orleans Pub. Serv. Co. v. Majoue,
We find Majoue distinguishable. A decision to remand to state court may not be appealed, and the district court may not later change its mind. Id. at 167. In Majoue, we relied upon the language of 28 U.S.C. § 1447(d) (1988), which states that a remand order is not reviewable on appeal or otherwise. By fifing a declaratory judgment action, the party was attempting to attack the district court’s remand order collaterally, an action that is prohibited by statute.
Here, on the other hand, the declaratory judgment is not an attempt to attack the prior order collaterally, nor does any statute prohibit the action. Moreover, as Royal argues, Majoue involved an attempt to evade a final judgment. Here there is no final judgment that could have any res judicata effect. We reason, accordingly, that the February 28, 1990, order does not collaterally estop Royal from pursuing this matter.
IV.
We next address Quinn-L’s contention that the declaratory judgment and injunction must be vacated because the investors were not parties to the first declaratory judgment and because Royal I is not preclusive on the issue of coverage for negligently caused mental anguish and bodily injury. Royal argues that our decision in Royal I is law of the case as to both issues. Quinn-L disagrees and also argues that our decision was clearly erroneous. 12
First, Quinn-L claims that the investors are not bound by the first declaratory judgment because they were not in privity with Quinn-L. We disagree with Royal’s
*888
contention that
Royal I
establishes as law of the case that the investors were in privity with Quinn-L. As we noted in
Royal I,
the issue of privity is a question of fact for the trial court.
Reviewing the district court’s decision de novo, we affirm. There is no material issue of fact as to privity, and the district court properly held that Quinn-L is the investors’ virtual representative.
Second, Quinn-L contends that our
Royal I
decision was clearly erroneous on the question of the scope of the first declaratory judgment. Here, we agree with Royal that our prior holding is law of the case, and we will not set it aside unless it is “clearly erroneous and would work manifest injustice.”
North Miss. Communications v. Jones,
Nor do we perceive a -reason to revisit
Royal I.
Quinn-L argues that in
Royal I
we ignored the requirement that an issue must be actually litigated and decided for issue preclusion to apply.
See Jackson,
The term “occurrence” is defined in the policies as “an accident ... which results in bodily injury or property damage.... ” Quinn-L contends that a finding of no “occurrence” by the district court could mean either (1) that the pleading does not allege an “accident” or (2) that the accident alleged in the pleading is not alleged to have caused either “property damage” or “bodily injury.” We agree with Quinn-L’s characterization of a finding of “no occurrence”: That finding could have either meaning.
Quinn-L goes on to contend that we assumed in Royal I that the first declaratory judgment determined that there had been no accident. Quinn-L argues that this issue was never litigated in the first declaratory judgment action. We disagree.
The district court made separate findings in the first declaratory judgment action, to the effect that the pleadings do not allege an “occurrence,” “property damage,” or “personal injury” as defined by the policies. If the finding of no occurrence does not constitute a finding that no accident occurred, there would have been no need to enter a separate finding that no property damage or personal injury had occurred. The only reasonable reading of the first declaratory judgment opinion is that the court decided both that there was no accident and that no property damage or personal injury had occurred. 13
Moreover, this allegation actually was litigated. In its motion for summary judgment, Royal requested that the court make separate findings that no “occurrence” had been alleged and, additionally, that no “personal injury” or “property damage” had been alleged. Again, if Royal was seeking to litigate only the absence of personal injury or property damage, it would not have needed to ask for both findings.
In addition, Quinn-L’s counterclaim placed the issue of whether an “occurrence” was alleged before the district court. The district court obviously felt that the issue was before it, as it concluded that despite the allegation of mental anguish (an injury Royal conceded would be covered), no “occurrence” had been alleged. Finally, Quinn-L contends that we erred in
Royal I by
ignoring the “actually decided” requirement for collateral estoppel. Quinn-L claims that the issue
*889
of coverage for mental anguish was not “actually decided” by the court in the first declaratory judgment action. We disagree. As we explained in
Royal I,
the district court expressly indicated that any mental anguish was not caused by an occurrence within the meaning of the policy.
V.
Essentially for the reasons given by the district court, we agree that no material issue of fact exists as to the claims of waiver, estoppel, and negligence, and we affirm the district court’s grant of summary judgment on those claims. We find Quinn-L’s claim that the district court should have recused itself to be completely without merit and therefore affirm on that issue.
AFFIRMED.
Notes
. It is uncertain whether it was proper for us to pretermit the jurisdictional issue in Royal I while reversing the preliminary injunction as to the waiver estoppel and negligence claims. Because of our holding today on diversity jurisdiction, we need not address this.
. What was referred to formerly as "ancillary jurisdiction” is now included within the category of "supplemental jurisdiction.” See Pub.L. No. 101-650, 104 Stat. 5113 (codified at 28 U.S.C.A. § 1367 (West Supp.1993)). The amendment applies only to actions filed on or after December 1, 1990, so it is inapplicable to the instant case.
. Of course, if the first action bars the new claims because of res judicata principles, ancillary jurisdiction exists as to those claims.
. Our conclusion is not altered by the fact that Texas law requires that the Lloyd’s group appoint a resident of Texas as an attorney in fact if it wishes to issue insurance policies in Texas. See Tex.Ins.Code Ann. art. 18.02 (West 1981). Texas could have required one or more underwriters to be a resident of the state but chose only to require the attorney in fact to be a resident. Texas's election to require an association to employ an agent within the state to conduct the association's business does not make the agent any more or less an agent.
. Rule 65(b) reads in relevant part as follows:
A temporary restraining order may be granted without written or oral notice to the adverse party or that party’s attorney only if (1) it clearly appears from specific facts shown by affidavit or by the verified complaint that immediate and irreparable injury, loss, or damage will result to the applicant before the adverse party or that party’s attorney can be heard in opposition, and (2) the applicant’s attorney certifies to the court in writing the efforts, if any, which have been made to give the notice and the reasons supporting the claim that notice should not be required. Every temporary restraining order granted without notice shall be indorsed with the date and hour of issuance; shall be filed forthwith in the clerk’s office and entered of record; shall define the injury and state why it is irreparable and why the order was granted without notice ....
. We reject Quinn-L’s suggestion that Royal is judicially estopped from claiming that
Jackson
does not apply to the facts of this case. Royal merely offered a legal
opinion
regarding
Jackson's
application. As Royal properly argues, a statement of opinion on the law does not create a judicial estoppel.
Sturm v. Boker,
. See Erwin Chermerinsky, Federal Jurisdiction § 12.1, at 593 (1989) (“The term abstention refers to judicially created rules whereby federal courts may not decide some matters before them even though all jurisdictional and justiciability requirements are met.”).
.
See also Garrett v. Hoffman,
. A race to judgment often is condoned.
See Moses H. Cone Hasp. v. Mercury Constr. Corp.,
.
Younger v. Harris,
. The investors also argue that we should not give effect to the federal district court's declaratory judgment under the circumstances of this case, even though the federal court's judgment was rendered first. This is because, the investors argue, the federal court injunction prevented the state court from reaching judgment first.
The district court rendered its summary judgment on December 20, 1990, about 3 56 months after the investors filed their state court actions on September 4, 1990. The state court set a tentative trial date for December 10 but, given the complexity of this action, we find it extremely unlikely that the state court could have tried this case and rendered judgment before December 20. We are persuaded, therefore, that the state court would not have entered judgment before the December 20 judgment of the federal district court, even if the federal court's October 30, 1990, injunction had not issued. Accordingly, we need not decide, in this case, whether the possibility that the state trial and judgment would have occurred first could be relevant under other circumstances.
. We reject Quinn-L's contention that it did not have a full and fair opportunity to litigate these issues.
See Allen v. McCurry,
.
See also Royal I,
