OPINION OF THE COURT
This is a remand proceeding to consider the proper disposition of pendent state claims following a determination that federal securities law jurisdiction is lacking. A Pennsylvania statute provides that a federal court within the state may transfer erroneously filed cases to the state courts. We invoke that statute and direct that the pendent claims arising under Pennsylvania law be transferred to the state courts rather than be dismissed.
This action began when Samuel and Alice Weaver sued Marine Bank in federal court, alleging that the Bank violated § 10(b) of the Securities Exchange Act of 1934, 15 U.S.C. § 78j(b), and the Pennsylvania Securities Act, Pa.Stat.Ann. tit. 70, § 1-501. In addition, charges of common law fraud were included.
The district court originally entered summary judgment for the defendant, finding no cause of action under the federal securities laws. Since that basis for federal jurisdiction was absent and there was no diversity, the district judge dismissed the pendent state law claims. A divided panel of this court reversed the grant of summary judgment,
The plaintiffs allege generally that they were defrauded by Marine Bank when it persuaded them to post their certificate of deposit as collateral for the obligations of a third party. The Weavers contend that the bank’s activities contravened the state’s Securities Act, which is governed by a one-year statute of limitations, Pa.Stat.Ann. tit. 70, § 1-101-704 (Purdon). In addition, they asserted claims under common law fraud theories to which either a two-year, 42 Pa.Cons.Stat.Ann. § 5524 (Purdon), or a six-year, id. at § 5527, statute of limitations period applies.
The suit in federal court was filed on May 4, 1979, and on July 20, 1979, three separate writs of summons were filed in the Court of Common Pleas of Erie County, Pennsylvania. These summonses, however, were not served on the defendant until March 1982, after the statute had expired— at least as to the state Securities Act count. We need not recite the details of the state litigation insofar as the limitations issue is concerned. It is enough to say that the bank has asserted that it will vigorously press its defense there that the claims are barred by the statute of limitations. Since the issue in that litigation is purely one of Pennsylvania law to be decided by that state’s tribunals, we have no authority to pass on the question.
*746 The relevant factor from our standpoint is that there is a possibility that the plaintiffs’ cause of action presently in the state court may be barred by the statute of limitations. If so, then the only opportunity for the plaintiffs to litigate the merits of their claims lies in the pendent state law counts in the federal litigation.
A federal court may entertain state law counts arising out of a “common nucleus of operative fact’’ on which a federal cause of action is based, even though jurisdiction would not otherwise be present.
United Mine Workers v. Gibbs,
In
Tully v. Mott Supermarkets, Inc.,
Under the circumstances of the case at hand, Tully would not support the federal court’s retention of the remaining state claims. Yet, the prospect of the plaintiffs losing the opportunity to pursue their state cause of action because they erred in their interpretation of the Federal Securities Act is not a satisfying one. This is particularly true when the federal question — obviously one of substance — was not finally decided until it reached the Supreme Court.
It is fortunate for the plaintiffs, however, that Pennsylvania’s Judicial Code has provided for just such a situation as exists here. When a matter is brought in a court which does not have jurisdiction, the Code permits the case to be transferred to the proper court of the Commonwealth. That provision is specifically made applicable to “any matter transferred or remanded by any United States court for a district embracing any part” of the Commonwealth. 42 Pa.Cons.Stat. § 5103(b) (Purdon). 1 The transfer is effected by filing a certified transcript of the final judgment of the United States court and the related pleadings in the appropriate state forum. Then the matter “shall be treated as if originally filed in the transferee court ... on the date first filed in a [federal] court.... ” Id. at § 5103(a). This provision clearly obviates the limitations problem that might otherwise confront the plaintiffs.
We recognize that such a transfer by a district court is an exercise of a power granted not by federal, but state, law. Jurisdiction of a federal court is dependent upon federal statutory authority, but that principle does not control the issue here. 2 *747 Unquestionably, at the time the suit was filed in the district court, there was a color-able federal claim and pendent jurisdiction could properly be assumed. The question presented then is, whether the district court, once having acquired jurisdiction, can transfer the matter to the state court by virtue of a state enabling statute. We are persuaded that it can.
In a series of cases, the Supreme Court has held that a federal court may certify a question of doubtful state law to a state supreme court for resolution whenever the state has adopted such a procedure. In
Lehman Brothers v. Schein,
When use of certification was first suggested by the Court, it said that the Florida legislature,
“[W]ith rare foresight, has dealt with the problem of authoritatively determining unresolved state law involved in federal litigation by a statute which permits a federal court to certify such a doubtful question of state law to the Supreme Court of Florida for its decision. . . . Even without such a facilitating statute we have frequently deemed it appropriate, where a federal constitutional question might be mooted thereby, to secure an authoritative state court’s determination of an unresolved question of its local law.”
Clay v. Sun Insurance Office Ltd.,
The federal court’s reliance on state law as authority for certification has never been questioned, although doubt has been expressed that, absent a state enabling statute, the procedure would be permissible.
3
See, e.g., England v. Louisiana State Board of Medical Examiners,
It appears that the inherent power that is vested in the federal courts “to manage their own affairs so as to achieve the orderly and expeditious disposition of cases,”
Link v. Wabash Railroad Co.,
The cooperative federalism that is so much a part of the certification process similarly inheres in the transfer statute enacted by Pennsylvania. It is designed to prevent the parties from being trapped by jurisdictional technicalities that prevent a resolution of disputes on the merits. 4 Obviously the limited and often uncertain jurisdiction of the federal courts poses a hazard to even an alert litigant. Pennsylvania’s willingness to accept jurisdiction over cases improvidently brought in the federal courts represents an enlightened effort which deserves sympathetic consideration by this court. The Supreme Court’s enthusiastic reception of the analogous certification procedure without requiring congressional authorization convinces us that we can take a similar stance with respect to the transfer provision here.
Ordinarily, we would return this matter to the district court to determine whether the pendent claims should be transferred. Because of the length of time which has already elapsed in this litigation, and because we envision no equitable considerations which would bar transfer, 5 we believe that prompt action on our part is required. Accordingly, we will remand this matter to the district court with directions that it transfer the pendent cases to the Court of Common Pleas of Erie County, Pennsylvania, pursuant to the terms of 42 Pa.Cons. Stat.Ann. § 5103.
I.
The opinion of my colleagues that the district court could not exercise pendent jurisdiction in this case is predicated on this court’s opinion in
Tully v. Mott Supermarkets, Inc.,
The power of the court to exercise pendent jurisdiction, though largely unrestricted, requires, at a minimum, a federal claim of sufficient substance to confer subject matter jurisdiction on the court. Gibbs, supra,383 U.S. at 725 ,86 S.Ct. 1130 [at 1138]. The substantiality of the federal claim is ordinarily determined on the basis of the pleadings. If it appears that the federal claim is subject to dismissal under F.R.Civ.P. 12(b)(6) or could be disposed of on a motion for summary judgment under F.R.Civ.P. 56, then the court should ordinarily refrain from exercising jurisdiction in the absence of extraordinary circumstances.
With great deference to my colleagues on the court when the
Tully
decision was rendered, it appears to rest on a misapprehension and misapplication of the Supreme Court’s decision in
Gibbs.
In
Gibbs
the Court assumed the correctness of the district court’s post-trial decision that the federal claim on which the verdict was entered, section 303 of the Taft-Hartley Act, was not cognizable. It then considered whether the district court properly entertained jurisdiction of the state claim as pendent. The Court held that the district court could properly have exercised jurisdiction because “the state and federal claims arose from the same nucleus of operative fact and reflected alternate remedies”.
Gibbs
establishes a two-step analysis for the federal court to follow in determining whether to exercise pendent jurisdiction.
See Financial General Bankshares, Inc. v. Metzger,
The
Tully
opinion may be read as holding that if a complaint could not have withstood a motion to dismiss for failure to state a claim under Fed.R.Civ.P. 12(b)(6), then the federal court lacked
power
to exercise pendent jurisdiction. In
Gibbs
the Court did state that “if the federal claims are dismissed before trial, even though not insubstantial in a jurisdictional sense, the state claim should be dismissed as well,”
Deferentially, I suggest that the
Tully
court confused a Rule 12(b)(1) motion to dismiss for lack of subject matter jurisdiction with a Rule 12(b)(6) motion to dismiss for failure to state a claim. It is only i'f the former would have succeeded that the district court lacks
power
to entertain the pendent claim. Until the substantive legal issue presented in this case about the scope of the Securities Exchange Act was decided by the Supreme Court, plaintiffs’ complaint raised a substantial federal claim and would not have been subject to dismissal under Rule 12(b)(1).
See Hagans v. Lavine,
*750 In Gibbs, the federal court had subject matter jurisdiction because the action was brought under section 303 of the Taft-Hartley Act. The fact that the claim was not cognizable did not deprive it of subject matter jurisdiction to hear the pendent claim, and the Supreme Court so held. In Tully, the district court had jurisdiction because the plaintiffs brought their claim under the Securities Exchange Act. Although this court subsequently held that the federal claim could not be maintained as a matter of law, I believe that conclusion did not deprive the district court of its subject matter jurisdiction, and therefore it should have been permitted to decide whether, in its discretion, to entertain the state law claim as pendent. Similarly in this case, plaintiffs brought their claim under the Securities Exchange Act. The Supreme Court has now held that the claim did not fall within that statute. That holding related to the viability of the federal claim, a Rule 12(b)(6) issue, and not to the subject matter jurisdiction of the district court. 2 As the majority recognizes, “at the time [plaintiffs’] suit was filed in the district court, there was a colorable federal claim.. . . ” Majority at 746-747. Accordingly, as long as the district court had subject matter jurisdiction of the federal claim, it has power to decide the pendent claim provided the claims arise out of a common nucleus of operative facts. Whether the district court should exercise its power is a matter of its discretion, subject to the factors discussed in the Gibbs decision.
In
Gibbs,
the Court referred to one of the discretionary factors as follows: “Certainly, if the federal claims are dismissed before trial, even though not insubstantial in a jurisdictional sense, the state claims should be dismissed as well.”
Therefore, my proposed disposition would be to remand this matter to the district court so that it could decide whether the federal and state claims arose out of a common nucleus of operative facts and if so, whether in light of the potential statute of limitations bar which arose during the litigation, it should exercise its discretion to
*751
retain the pendent claim.
See Lentino v. Fringe Employee Plans, Inc.,
II.
I also find highly questionable the majority’s judgment remanding this case to the district court with directions that it transfer the pendent claims to the Court of Common Pleas of Erie County, Pennsylvania, pursuant to the terms of 42 Pa.Cons.Stat. Ann. § 5103. The majority states that it can do so because the Pennsylvania statute authorizes that procedure. I need cite no authority for the proposition that the power of federal courts is defined by Article III of the Constitution and the acts of Congress made pursuant thereto. No federal statute authorizes transfer of eases from a federal to a state court.
It has been consistently held that state statutes cannot limit federal jurisdiction. In
Railway Co. v. Whitton’s Administrator,
It follows that the state also cannot expand the jurisdiction of a federal court. 4 Could Pennsylvania by statute give the federal courts within its jurisdiction power to decide divorce and custody cases? Could it cede to federal courts jurisdiction over cases between Pennsylvania citizens? For reasons similar to those which compel a negative reply, I believe the majority is mistaken when it utilizes a Pennsylvania statute as authority for the power of a federal court to effect a transfer to a state court.
With regard to the majority’s assertion of inherent power in the federal courts and its reliance on what it considers to be the analogous procedure of certification by federal courts of questions of doubtful state law to a state supreme court, again I believe that procedure is inapposite. A certification procedure merely provides a mechanism by which the substantive rule of law to be applied by federal courts in diversity cases can be ascertained from the highest court of the state. It neither adds nor subtracts from the power or authority of the federal courts.
I believe that the remand and transfer directed by the majority is a nullity. On the other hand, I also believe it is harmless. I agree with the majority that the Pennsylvania statute is an enlightened effort to preserve a litigant’s claim on the merits when the suit has been improvidently brought in federal court. However, the Pennsylvania courts could effectuate the statutory policy by using the date of institution of the federal suit for purposes of *752 the statute of limitations. The physical transfer of the case from the federal courts, for which there is no congressional authorization, is not necessary to effectuate the state law or policy.
Notes
. Section 5103 provides:
(a) General rule. — If an appeal or other matter is taken to or brought in a court ... which does not have jurisdiction of the ... matter, the court ... shall not ... dismiss the matter, but shall transfer the record thereof to the proper court ... of this Commonwealth, where the ... matter shall be treated as if originally filed in the transferee court ... on the date first filed in a court
(b) Federal cases. — Subsection (a) shall also apply to any matter transferred ... by any United States court for a district embracing any part of this Commonwealth. Except as otherwise prescribed by general rules, or by order of the United States court, such transfer may be effected by filing a certified transcript of the final judgment of the United States court and the related pleadings in a court ... of this Commonwealth. The pleadings shall have the same effect as under the practice in the United States court, but the transferee court ... may require that they be amended to conform to the practice in this Commonwealth
42 Pa.Cons.Stat.Ann. § 5103 (Purdon).
. However, the Supreme Court has held, in the context of diversity jurisdiction, that a state statute that bars a person from utilizing a state court likewise precludes suit in the federal
*747
court.
Woods v. Interstate Realty Co.,
. When the authority for a federal court to certify a question to the state court, absent a state statute allowing the procedure has been questioned, it has not been from the perspective of the federal court’s power to do so. Rather, the issue has been whether the state courts can constitutionally be compelled to answer a certified question if they lack constitutional or legislative authority to do so.
See
Kurland, “Toward A Co-operative Judicial Federalism: The Federal Court Abstention Doctrine,”
. As the commentaries to the Pennsylvania Judicial Code note, the provision was intended to eliminate the need to file state court protective actions when a litigant is uncertain whether he has correctly filed in the federal forum — the precise problem presented in this case. See Pennsylvania Bar Association, Legislative Bulletin (May 17, 1978), reporting the proposal submitted by a Committee of the Pennsylvania Conference of State Trial Judges, chaired by The Honorable Robert A. Doyle of the Court of Common Pleas of Allegheny County and a Pennsylvania Bar Association Special Committee on the Judicial Code.
. The parties did not cite the provisions of the Pennsylvania Judicial Code in the district court, but we are confident that had they done so, the case would have been transferred, rather than dismissed.
. In
Bell v. Hood,
Jurisdiction ... is not defeated as respondents seem to contend, by the possibility that the averments might fail to state a cause of action on which petitioners could actually recover. For it is well settled that the failure to state a proper cause of action calls for judgment on the merits and not for a dismissal for want of jurisdiction. Whether the complaint states a cause of action on which relief could be granted is a question of law and just as issues of fact it must be decided after and not before the court has assumed jurisdiction over the controversy. If the court does later exercise its jurisdiction to determine that the allegations in the com *750 plaint do not state a ground for relief, then dismissal of the case would be on the merits, not for want of jurisdiction.
. Indeed, the Supreme Court implicitly acknowledged the existence of such jurisdiction when it remanded to this court the pendent claims for our consideration.
. The cases referred to by the majority in its note 2 holding that the federal court sitting in diversity must apply state substantive limitations to maintenance of the suit are inapposite.
. Cases touching upon the Eleventh Amendment, such as
Smith v. Reeves,
