Lead Opinion
We have taken this case en banc to resolve relevant conflicting circuit precedents, to continue our development of procedures to address and dispose appropriately of a continually burgeoning prisoner pro se docket, both at the trial and appellate levels,
The facts concerning the appeal by Sidney Marts of his 42 U.S.C. § 1983 complaint against an assistant district attorney for Orleans Parish, Louisiana, a public defender, and a private attorney representing a code-fendant in a state court criminal action, are set forth in the panel opinion.
Analysis
Once again we consider the application of limited judicial resources to an ever increasing number of prisoner pro se filings. Our task, simply stated, is to implement procedures which will aid in the separation of the wheat from the chaff in such filings as early in the judicial process as is possible, in an effort to ensure that judicial resources will not be wasted and that the meritorious claims may receive the timely attention and disposition warranted.
The rule that the in limine dismissals of actions by the district court generally are to be with prejudice
We reserve for another day and an appropriate appeal the question of the full application of this rule to the expanded bases for denial of in forma pauperis status specified in the Prison Litigation Reform Act.
In reaching today’s decision we have determined and now hold that in cases involving dismissals as frivolous or malicious under the in forma pauperis statute, in which the defendant has not been served and was, therefore, not before the trial court and is not before the appellate court, the appellate court, notwithstanding, has the authority to change a district court judgment dismissing the claims without prejudice to one dismissing with prejudice, even though there is no cross-appeal by the obviously non-present “appellee.” This limited exception is the product of our effort to make effective the prudential rule announced herein.
Consistent with today’s holding we must now vacate and remand this action to the district court for entry of-an order of dismissal with prejudice except as relates to the conspiracy claim and for such further proceedings as may be deemed appropriate.
VACATED and REMANDED.
Notes
. Including but not limited to procedures established in Watson v. Ault,
. Title VIII of the Omnibus Consolidated Rescis-sions and Appropriations Act of 1996, Pub.L. No. 104-134, 110 Slat. 1321 (1996).
.
. See Ballard v. Wilson,
. See Fed.R.Civ.P. 41(b) which provides in pertinent part:
Unless the court in its order for dismissal otherwise specifies, a dismissal under this subdivision and any dismissal not provided for in this rule, other than a dismissal for lack of jurisdiction, for improper venue, or for failure to join a party under Rule 19, operates as an adjudication upon the merits.
. Section 1915(e)(2) now reads:
Notwithstanding any filing fee, or any portion thereof, that may have been paid, the court shall dismiss the case at any time if the court determines that
(A) the allegation of poverty is untrue; or
(B) the action or appeal—
(i) is frivolous or malicious;
(ii) fails to state a claim on which relief may be granted; or
(iii) seeks monetary relief against a defendant who is immune from such relief.
. Denton v. Hernandez,
. Id. The Supreme Court teaches that the dismissal may have a res judicata effect on frivolousness determinations for future in forma pauperis petitions.
. One example is a claim subject to a peremptory time bar where no amendment or subsequent paid filing could overcome the fatal defects. Graves.
. Id.
. Id. (noting one likely scenario — an allegation of infringement of a claimed legal interest which does not exist).
Dissenting Opinion
with whom KING, HIGGINBOTHAM, SMITH, DUHÉ EMILIO M. GARZA, BENAVIDES and DENNIS, Circuit Judges, join, dissenting:
I respectfully dissent from this Court’s sua sponte action, taken where only the plaintiff has appealed, changing the district court’s judgment of dismissal without prejudice to one of dismissal with prejudice. ' I likewise dissent from the majority’s conelusory announcement that in all pre-service dismissals without prejudice of in forma pauperis suits where the plaintiff alone appeals, this Court will determine whether the dismissal could properly have been with, rather than without, prejudice and will modify the judgment accordingly.
The Court provides no explanation, justification, or authority for this action, and does not even tip its hat to the Federal Rules or the relevant jurisprudence. Its decision hence appears to be more an exercise of will than of judgment.
Some sixty years ago, just before the Federal Rules went into effect, the Supreme Court had occasion to review a decision of the Eighth Circuit which had modified in a manner favorable to the appellee a judgment of the district court, despite the absence of any cross-appeal. The Supreme Court reversed the Eighth Circuit in a unanimous opinion by Justice Cardozo. Morley Construction Co. v. Maryland Casualty Co.,
“Without a cross-appeal, an appellee may ‘urge in support of a decree any matter appearing in the record, although his argument may involve an attack upon the reasoning of the lower court or an insistence upon matter overlooked or ignored by it.’ United States v. American Railway Express Co.,265 U.S. 425 , 435,44 S.Ct. 560 , 564,68 L.Ed. 1087 [1924], What he may not do in the absence of a cross-appeal is to ‘attack thé decree with a view either to enlarging his own rights thereunder or of lessening the rights of his adversary, whether what he seeks is to correct an error or to supplement the decree with respect to a matter not dealt with below.’*1507 Ibid. The rule is inveterate and certain.” Id. at 190-91,57 S.Ct. at 327-28 .2
The Supreme Court did not suggest that the Eighth Circuit had abused its discretion or that the circumstances were not sufficiently exceptional to justify its action, but rather held that the Eighth Circuit simply did not have the “power” to do what it did “in the absence of a cross-appeal.”
Yet this Court now, in violation of the “inveterate and certain” rule of Morley, does just what the Supreme Court held the Eighth Circuit lacked the power to do.
I.
Over the years, decisions of the courts of appeals have divided on whether the Morley rule requiring a cross-appeal in order to modify the judgment to enlarge the appel-lee’s rights thereunder, or diminish those of the appellant, is a rule governing the power or jurisdiction of the appellate court or is rather a rule of practice as to which exceptions may be made on a case by case basis in highly unusual and compelling circumstances. A representative sample of cases from other circuits holding that the cross-appeal requirement is one governing the power or jurisdiction of the appellate court includes the following: E.F. Operating Corp. v. American Buildings,
Likewise in this Court there are decisions viewing the question as one of power or jurisdiction, and others which treat it as a rule of practice or as at least subject to exception in particularly unusual circumstances. Among our decisions treating the lack of a cross-appeal as limitation on the appellate court’s jurisdiction or power are the following: Kelly v. Foti,
In other cases, though we have not expressly spoken in terms of the appellate court’s jurisdiction or power we have denied relief to an appellee simply on the basis that without a cross-appeal an appellee may not seek to enlarge its rights (or diminish its adversary’s) under the judgment appealed, generally citing Morley, which, as previously noted, spoke to the “power” of the appellate court. See, e.g., Matter of Toyota of Jefferson, Inc.,
On the other hand, there are a few decisions of this Court which have treated the cross-appeal requirement as a rule of practice subject to exceptions in rare particular cases. We took that approach in Calhoun County v. Roberts,
“Although appellate courts have ‘discretionary power to retain all parties in the lawsuit [on] remand ... to insure an equitable resolution at trial,’ Bryant v. Technical Research Co.,654 F.2d 1337 , 1342 (9th Cir.1981), this discretion has been exercised only in narrowly defined situations: when the reversal Swipes out all basis for recovery against the nonappealing, as well as against the appealing defendant,’ Daniels v. Gilbreath,668 F.2d 477 (10th Cir.1982); Kicklighter v. Nails by Jannee, Inc.,616 F.2d 734 , 742-45 (5th Cir.1980); when the failure to reverse with respect to the nonappealing party will frustrate the execution of the judgment in favor of the successful appellant, In re Barnett,124 F.2d 1005 , 1008-12 (2d Cir.1942); or when the appealed decision could reasonably be read as not being adverse to the nonap-pealing party. Bryant,654 F.2d at 1342-43 .” Id. at 497-98.
The last three times we have expressly addressed the “rule of practice” argument we have declined to either adopt or reject it, but have denied relief to the appellee due to the failure to cross-appeal. In Robicheaux v. Radcliff Material, Inc.,
For a better understanding of whether the Morley limitations relate to the power or jurisdiction of the court of appeals or merely state a rule of practice from which the court can depart in its discretion, some review of the development of the relevant Federal Rules is helpful. Morley was handed down in early 1937. In December 1937, the Supreme Court adopted what are now the Federal Rules of Civil Procedure. Rule 73 governed the mechanics of taking an appeal, including the form of notice of-appeal, but did not initially provide any time limits for appealing, which were covered by statute. In 1946, Rule 73(a) was amended by, inter alia, prescribing a thirty-day period (sixty days if the United States were a party) in which an appeal could be taken (this operated to shorten the time allowed, which had generally been three months). 9 Moore’s Federal Practice (2d ed.), ¶¶ 203.22, 203.24[1], [2], 203.25[1].
“(a) How and When TaKEN. An appeal permitted by law from a district court to a court of appeals shall be taken by filing a notice of appeal with the district court within 30 days from the entry of the judgment appealed from, except that: (1) in any action in which the United States or an officer or agency thereof is a party, the notice of appeal may be filed by any party within 60 days from such entry; (2) upon a showing of excusable neglect the district court in any action may extend the time for filing the notice of appeal not exceeding 30 days from the expiration of the original time herein prescribed; (3) if a timely notice of appeal is filed by a party, any other party may file a notice of appeal within 14 days of the date on which the first notice of appeal was filed, or within the time otherwise herein prescribed, whichever period last expires; (4) an appeal, by permission of a court of appeals obtained under Title 28, U.S.C. § 1292(b) shall be taken in accordance with the rules of the Court of Appeals.”
The first sentence’of the second paragraph of Rule 73(a) provided (as does now the third
When the Rules of Appellate Procedure were adopted, former Rule 73 was abrogated, and its provisions concerning the time in which a notice of appeal must be filed were placed in Fed. R.App. P. 4, while those dealing with other aspects of the notice of appeal, including the necessity for it and its contents, were placed in Fed. R.App. P. 3. The first three sentences of- Rule 3 now provide:
“(a) Filing the Notice of Appeal. An appeal permitted by law as of right from a district court to a court of appeals must be taken by filing a notice of appeal with the clerk of the district court within the time allowed by Rule 4. At the time of filing, the appellant must furnish the clerk with sufficient copies of the notice of appeal to enable the clerk to comply promptly with the requirements of subdivision (d) of this Rule 3. Failure of an appellant to take any step other than the timely filing of a notice of appeal does not affect the validity of the appeal, but is ground only for such action as the court of appeals deems appropriate, which may include dismissal of the appeal.”
Except for the 1994 addition of the second sentence (and its change of the “shall” to “must” in the first sentence), this language is unchanged from the originally promulgated Rule 3. The relevant portions of Fed. R.App. P. 4(a) now provide as follows:
“(a) Appeal in a Civil Case — ■
(1) Except as provided in paragraph (a)(4) of this Rule, in a civil case in which an appeal is permitted' by law as of right from a district court to a court of appeals the notice of appeal required by Rule 3 must be filed with the clerk of the district court within 30 days after the date of entry of the judgment or order appealed from; but if the United States or an officer or agency thereof is a party, the notice of appeal may be filed by any party within 60 days after such entry....
(2) [premature notice of appeal] ...
(3) If one party timely files a notice of appeal, any other party may file a notice of appeal within 14 days after the date when the first notice was filed, or within the time otherwise prescribed by this Rule 4(a), whichever period last expires.
(4) If any party files a timely motion of a type specified immediately below, the time for appeal for all parties runs from the entry of the order disposing of the last such motion outstanding....
(5) The district court, upon a showing of excusable neglect or good cause, may extend the time for filing a notice of appeal upon motion filed not later than 30 days after the expiration of the time prescribed by this Rule 4(a).... No such extension shall exceed 30 days past such prescribed time or 10 days from the date of entry of the order granting the motion, whichever occurs later.
(6) [allowing 14-day reopening of appeal period where party does not receive notice within 21 days after entry of judgment, provided motion made within 180 days of entry or 7 days of notice, whichever first]
(7) [entry of judgment defined] ...”
As can be seen, current Rule 4(a)(3) is virtually identical to clause (3) of former Rule 73(a) as amended in 1966. The Committee Note respecting the 1966 amendment adding clause (3) to Rule 73(a) explains:
“The exception number (3) in the first sentence affords additional time for appeal to all parties other than an initial appellant whenever the first appeal taken from a judgment is taken within the 14 days preceding expiration of the time for appeal .... The added time which may be made available by the operation of the provision is not restricted to cross appeals in the technical sense, ie., to appeals by parties made appellees by the nature of the initial appeal. The exception permits any party to the action who is entitled to appeal within the time ordinarily prescribed to appeal within such added time as the sentence affords. Bertman v. J.A. Kirsch Co.,377 U.S. 995 ,84 S.Ct. 1913 ,12 L.Ed.2d 1047 (1964), Schildhaus v. Moe,*1513 335 F.2d 529 (2d Cir.1964) and Whitehead v. American Security and Trust Co.,285 F.2d 282 (D.C.Cir.1960) are illustrative of the desirability of a change in the present rule.”7
As explained in Moore’s, the purpose of the 1966 addition of clause (3) to the first sentence of former Rule 73(a) was
“... simply to permit each party to a judgment to decide upon the advisability of an appeal with full knowledge of the intentions of all other parties with respect to an appeal. It not infrequently happens that a party is satisfied with a judgment only if it is to be the final result; that is, if no other party intends to appeal from it. Before the addition of [the predecessor to] Rule 4(a)(3), a party so situated had no certain way of knowing whether any other party intended to appeal. All parties were required to appeal mthin the time regularly fixed for taking an appeal. A party who desired to appeal only if some other party took an appeal either had to forego that desire and file a notice of appeal, thereby possibly provoking other appeals that might not have been taken, or keep watch at the clerk’s office during the final days of the time for appeal in order to be sure that he would learn of the fact of the appeal in time to take his own.” Id. ¶ 204.11[1] at 4-18 (footnotes omitted; emphasis added).
By the time that clause (3) was added to the first sentence of former Rule 73(a), it was already clear that the time limits for filing a notice of appeal were “mandatory and jurisdictional.” United States v. Robinson,
As previously observed, these provisions have all been carried forward into the Federal Rules of Appellate Procedure. The Committee Note to Rule 3 made at the time the Federal Rules of Appellate Procedure were adopted states:
“Rule 3 and Rule 4 combine to require that a notice of appeal be filed with the clerk of the district court within the time prescribed for taking an appeal. Because the timely filing of a notice of appeal is ‘mandatory and jurisdictional,’ United States v. Robinson,361 U.S. 220 , 224,80 S.Ct. 282 , 285,4 L.Ed.2d 259 (1960), compliance with the provisions of those rules is of the utmost importance.” 9 Moore’s Federal Practice (2d ed.) ¶ 203.01[2].
Since then, the Supreme Court has time and again reiterated that the filing of a timely notice of appeal is “mandatory and jurisdictional.” See, e.g., Torres v. Oakland Scavenger Co.,
Similarly, it is plain from both the wording and history of former Rule 73(a) — -particularly its first sentence — that the filing within the time there specified of a notice of appeal by one party after another party had timely filed a notice of appeal was as much a necessary precondition to the appellate court’s exercise of jurisdiction over the former’s appeal as compliance with any of the other time periods specified in the rule’s first sentence was a prerequisite to exercise of jurisdiction over the appeals to which such other periods related. As the Supreme Court observed in Torres respecting the above quoted Committee Note to Rule 3: “This admonition by the Advisory Committee makes no distinction among the various requirements of Rule 3 and Rule 4; rather it treats the requirements of the two Rules as a single jurisdictional threshold.” Torres
It might be argued that the “cross-appeal” provision — clause (3) of the first sentence of former Rule 73(a) and its successor, Fed. R.App. P. 4(a)(3) — merely affords a “safe harbor,” so that a party who complies therewith, after another party has timely appealed, has the right to seek a modification in his favor of the judgment below without being subject to any “rule of practice” limitation on that right. Such an argument, however, illogically treats this “cross-appeal” time limit differently from the other notice of appeal time limits specified in the same rule. Moreover, it ignores the provisions of the second paragraph of former Rule 73(a) — now carried forward as the third sentence of Fed. R.App. P. 3(a) — that “failure of an appellant to take any step other than the timely filing of a notice of appeal does not affect the validity of the appeal” (emphasis added), and it likewise ignores both the provision of Fed. R.App. P. 26(b) — carrying forward the similar provision of former Fed.R.Civ.P. 6(b) — that “the court may not enlarge the time for filing a notice of appeal” and the related provision of Fed. R.App. P. 2 allowing the courts of appeal to suspend the requirements of the rules in particular cases “except as otherwise provided in Rule 26(b).” (Emphasis added). See note 8, supra, and accompanying text. It makes no sense to say that the cross-appeal requirement is merely a rule of practice which does not limit the jurisdiction or power of the court of appeals, but that nevertheless the court of appeals is powerless to extend the time allowed therefor provided in Rule 4(a)(3) (and its predecessor former Rule 73(a)) despite being empowered to suspend all the other time limits provided in the appellate rules.
Finally, Morley stood and stands as a clear statement of the Supreme Court respecting the appellate court’s lack of “power,” in the absence of a cross-appeal, to change a trial court judgment so as to enlarge an appellee’s rights, or diminish those of the appellant, thereunder.
The inevitable conclusion is that without a timely cross-appeal the appellate court lacks jurisdiction or power to modify the lower court’s judgment adversely to the appellant.
First, reliance is placed on Langnes v. Green,
The final and most frequently invoked justification for the “rule of practice” approach to cross-appeals is that the initial appellant’s notice of appeal gives the court of appeals jurisdiction over the whole case, so notice of appeal by any other party is not a necessary precondition to exercise appellate power or jurisdiction to modify the judgment in a manner adverse to the appellant.
Finally, the theory that the initial appeal fulfills all jurisdictional prerequisites so as to empower the appellate court to dispose of all aspects of the entire case appears to be necessarily inconsistent with Torres. The Seventh and Third Circuits have expressly so recognized. See Young Radiator,
“... it could have been argued in Torres that the notice of appeal naming fifteen of the sixteen plaintiffs invoked the jurisdiction of the court over the whole case, so that a separate appeal by the sixteenth plaintiff would not be jurisdictionally required. Yet the Court’s holding made clear that the requirements of Rules 3 and 4 must be satisfied as to each party, and precludes the argument in this ease that Celotex’s noncomplianee with Rule 4(a)(3) can be waived.” Id., 881 F.2d at 1416.
The theory that an initial appeal by one party brings up the entire judgment so as to render appeals by other parties irrelevant for purposes of the jurisdiction or power of the court of appeals is likewise rejected, at least implicitly, by Osterneck v. Ernst & Whinney,
II.
. Finally, even if we were dealing with a rule of practice which the Court might waive in a particular case, cf. Fed. R.App. P. 2,1 would still dissent from the majority’s modification of the judgment, which only the plaintiff has appealed, from one of dismissal without prejudice to one of dismissal with prejudice, and from its apparent announcement of a new rule of practice that in all pre-service dismissals without prejudice of in forma 'pau-peris suits where only the plaintiff appeals this Court will sua sponte determine whether the dismissal of any claim could properly have been with, rather than without, prejudice, and will modify the judgment accordingly-
Courts that have espoused the rule of practice approach have almost always emphasized that waiver or excuse of the failure to file a protective or cross-appeal was available only in most narrowly defined circumstances. Those circumstances we listed in Anthony,
No cases have been foúnd granting a “rule of practice” waiver of the failure to file a cross-appeal or protective appeal in a situation, such as the present, where absent such a waiver the only result would have been a simple affirmance of the judgment below. The waiver is granted only where on the appeal timely taken the appellate court properly grants relief to the appellant and accordingly changes the judgment below in some respect; because of that appellate change, nonappealing parties are sometimes, in certain narrow and extreme eases, allowed to request other or further changes in the judgment below under the “rule of practice” theory notwithstanding their failure to appeal, because the appellate change in the judgment affects their rights against some other nonappealing party or eliminates the basis of the judgment against them. The Court’s decision in the instant case represents a sharp break with this rationale, and in effect simply creates a wholly new rule of practice.
Moreover, our departure from the “inveterate and certain” rule of Motley gains us next to nothing in judicial efficiency. Any gain in judicial efficiency presupposes both that if we had merely affirmed the dismissal without prejudice the appellant would in fact have timely filed another suit on the same claim against the same defendant, and that because we have changed the dismissal so that it is with prejudice, he will not actually do so. This is a lot of assuming. But, to promote the efficiency of this Court — and I believe the district courts generally can pretty well take care of their own efficiency concerns — we must also further assume that when the district court disposes of the second suit, which will again doubtless be by dismissal, the plaintiff will again appeal to us, but would not have done so had we on the first appeal changed the district court’s original dismissal to be with prejudice.
III.
The plaintiff alone has appealed the judgment dismissing all his claims without prejudice. Instead of entering the obviously merited simple affirmance, we have undertaken to change the judgment to one of dismissal with prejudice as to three of the four claims. That change exceeds our power and jurisdiction. Even were we to follow the theory that the failure to take a protective or cross-appeal may in certain rare instances be waived by a court of appeals, this simple case — where absent the waiver there would be only a plain vanilla affirmance — is totally beyond the universe of cases in which that approach has been followed and. is wholly unsupported by their rationale.
From one point of view, this is certainly a “nothing” case. But as a court of appeals it •is vitally important that we understand and observe the rules which govern our jurisdiction, power, and proceedings. We should not so casually depart from such inveterate and certain rules.
. I concur in the balance of the Court’s opinion.
. Although Morley was decided before the Federal Rules went into effect, its applicability under the Federal Rules has never been questioned. See, e.g., Mass. Mutual Life Ins. Co. v. Ludwig,
The Supreme Court has likewise continued to apply the Morley principles in refusing to consider a contention of a respondent who did not cross-petition where if the contention were sustained the judgment of the court of appeals would be modified in a manner adverse to the petitioner. See, e.g., Mills v. Electric Auto-Lite Company,
. It is well-settled that where the plaintiff alone appeals a dismissal without prejudice, the appellate court may not change the judgment to one of dismissal with prejudice, as this enlarges the rights of the defendant-appellee under the judgment, for which a cross-appeal is required. See, e.g., Transcapital Financial v. Office of Thrift Supervision,
. We stated that "we have held ... that the third party defendant ... has appealed.on behalf of defendant,” id. at 743, and
"[b]ecause the third-party defendant’s liability is derivative of defendant’s liability, and because the reversal of the judgment against the third-party defendant is based solely on an error in the main case, i.e., plaintiff's case against defendant, we hold that third-party defendant has appealed and asserted this error not only on its own behalf but also on behalf of defendant. Thus the third-party defendant’s appeal operates, in this limited circumstance, as an appeal of the judgment of defendant as well as the judgment of third-party defendant.” Id. (footnotes omitted).
We were careful to note the limited nature of our holding, observing that the D.C. Circuit’s Whitehead case was distinguishable because "[t]he plaintiff in Whitehead could not be said to
I note in passing our decision in French v. Estelle,
. This amendment also allowed the district court to extend the time for an additional thirty days "upon a showing of excusable neglect based on a failure of a party to learn of the entry of the judgment.” Id. ¶203.24[2].
. The 1966 amendment also expanded the excusable neglect for which the district court could extend the appeal period for an additional thirty days from that based solely on failure to learn of the entry of the judgment (see note 5 above) to any form of excusable neglect. Id.
. Quoted in Moore’s ¶203.25[3], The cases cited in the last sentence are ones in which the initial appeal was filed on or about the last day, and the other party’s notice of appeal was consequently a day or two late, resulting in its dismissal by the courL of appeals.
. The quoted provision of the second paragraph of Rule 73(a) has been contained in Fed. R.App. P. 3(a) since its adoption. The portion of Rule 6(b) quoted in the text was carried forward as to notices of appeal in Fed. R.App. P. 26(b) (as to the other filings it remains in Fed.R.Civ.P. 6(b)) by the provision contained in Rule 26(b) since its adoption that "the court may not enlarge the time for filing a notice of appeal.” See 9 Moore's Federal Practice ¶¶ 226.01, 226.02. Moreover, Fed. R.App. P. 2 has, since its original adoption with the other Federal Rules of Appellate Procedure, provided that "a court of appeals may, except as otherwise provided in Rule 26(b), suspend the requirements or provisions of any of these rules in a particular case on application of a party or on its own motion and may order proceedings in accordance with its direction." (Emphasis added).
. Both prongs of the rule were later quoted in Morley and there described as "inveterate and certain” and as measuring ”[t]he power of an appellate court.”
. It is to be noted that Calhoun County was decided before any time limits were contained in former Rule 73(a); also, Calhoun County was an admiralty case, decided at a time when admiralty appeals were governed by separate statutory provisions and review was de novo. Id. at 132.
. It is to be doubted that the Langnes dicta is any longer followed so as to allow a respondent who has not cross-petitioned for certiorari to seek to modify in his favor the decree of the court of appeals. See Northwest Airlines, Inc. v. County of Kent,
“In its petition for a writ of certiorari, TWA raised the issue of a union's liability for damages under the ADEA. Although we granted the petition in full, we now conclude that the Court is without jurisdiction to consider this question. TWA was not the proper party to present this question. The airline cannot assert the right of others to recover damages against the Union.
Both the individual respondents and the EEOC argue that the issue of union liability is properly before the Court. But the respondents failed to file a cross-petition raising this question. A prevailing party may advance any ground in support of a judgment in his favor, [citation] An argument that would modify the judgment, however, cannot be presented unless a cross-petition has been filed, [citation] In this case, the judgment of the Court of Appeals would be modified by the arguments advanced by the EEOC and the individual plaintiffs, as they are contending that the Union should be liable to them for monetary damages.” Id. (emphasis added).
So far as the “rule of practice” approach is followed by the Supreme Court on certiorari, it seems to be only to limit the rights of a respondent who has not cross-petitioned to seek to sustain the judgment of the court of appeals on a different basis than that relied on by the court of appeals. See, e.g., United States v. ITT Continental Baking Co.,
"Respondent recognizes that, not having cross-petitioned, it cannot attack the judgment insofar as it sustained the findings of violations and imposed penalties for such violations. United States v. American Railway Express*1516 Co.,265 U.S. 425 , 435,44 S.Ct. 560 , 563,68 L.Ed. 1087 (1924). Cf. Morley Construction Co. v. Maryland Casualty Co.,300 U.S. 185 ,57 S.Ct. 325 ,81 L.Ed. 593 (1937). Respondent argues that it may nevertheless seek to sustain the Court of Appeals' limitation on the penalties on the theory that no penalty should have been awarded at all. Ordinarily, however, as a matter of practice and control of our docket, if not of our power, we do not entertain a chai-' lenge to a decision on the merits where the only petition for certiorari presents solely a question as to the remedy granted for a liability found to exist, even if the respondent is willing to accept whatever judgment has already been entered against him.”
This contrasts with the absolute duty of the court of appeals to rule on issues properly presented by appellee and preserved below which would result in affirmance of the district court’s judgment, albeit on a different ground and even though no cross-appeal has been taken. Mass. Mutual Life Ins. Co. v. Ludwig,
. See, e.g., Hysell,
. I note that there is no basis for concluding that a party who files a notice of appeal after another party has done so is not an "appellant.” No distinction is made in Fed. R.App. P. 4(a)(3) — or in its predecessor former Rule 73(a)(3) — between those parties who are adverse or potentially adverse to the parly first appealing and those who are not. This is also reflected in the above-cited Committee Notes to the 1966 amendment to former Rule 73(a), which state that the new clause (3) "is not restricted to cross appeals in the technical sense, i.e. to appeals by parties made appellees by the nature of the initial appeal.” See text accompanying note 7, supra.
. Another panel of the Third Circuit, however, rejected this reading of Torres. See United States v. Tabor Court Realty Corp.,
. There, the plaintiffs Ostemeck, stockholders in a corporation which merged into Barwick Industries, sued defendants Barwick Industries, its officers, E.T. Barwick, Keller, and Talley, and its accountants, Ernest & Whinney (E&W), claiming that the merger was induced by fraud. On January 30, 1985, judgment was entered on the jury verdict awarding the Ostemecks damages against Barwick Industries, Keller, and Talley, but exonerating E.T. Barwick and E&W. Within ten days, the Ostemecks filed a motion for prejudgment interest. While this motion was pending, on March 1, 1985, the Ostemecks filed a notice of appeal naming all defendants, and on the same day Talley and Keller filed notices of appeal. On July 9, 1985, the district court entered an amended judgment, granting the Oster-necks some but not all the prejudgment interest they had requested (but otherwise not changing the January 30 judgment). Within thirty days thereafter, Keller and Talley filed notices of appeal, as did the Ostemecks on July 31. The Ostemecks’ July 31 notice of appeal named all the defendants except E&W. Before the court of appeals the Ostemecks claimed that the judgment erroneously exonerated E&W and E.T. Bar-wick, and also that the award of prejudgment interest was inadequate; Keller and Talley argued, inter alia, that the Ostemecks’ claims against them were barred by limitations and that the evidence was insufficient. The court of appeals held it had jurisdiction over the July 1985 appeals of Keller and Talley, but found that the issues raised by those defendants were without substantive merit. Osterneck v. E.T. Barwick Industries, Inc.,
. Anthony states:
"... this discretion has been exercised only in narrowly defined situations: when the reversal 'wipes out all basis for recovery against the nonappealing, as well as against the appealing defendant' [citations,] when the failure to reverse with respect to the nonappealing party will frustrate the execution of the judgment in favor of the successful appellant, [citation,] or when the appealed decision could reasonably be read as not being adverse to the nonappeal-ing party.” Id. at 497-98.
. Experience has shown few, if any, occasions where we have faced appeals by plaintiffs in second suits following our affirmance of a section 1915(d) dismissal without prejudice of the first suit on the same claim, particularly not where the initial dismissal was on grounds which likely would have warranted dismissal with prejudice; nor is there any reason to believe that we would not have faced the second appeal -had we, on the first appeal, changed the dismissal to “with prejudice.’’
