STEIN‘S INC., d/b/а Harry Stein‘s Loan, Plaintiff-Appellant, v. W. Michael BLUMENTHAL, Secretary of the Treasury et al., Defendants-Appellees.
No. 79-1766.
United States Court of Appeals, Seventh Circuit.
Argued Feb. 29, 1980. Decided Sept. 10, 1980.
644 F.2d 1171
Joseph P. Stadtmueller, Asst. U. S. Atty., Milwaukee, Wis., for defendants-appellees.
Before FAIRCHILD, Chief Judge, SWYGERT and SPRECHER, Circuit Judges.
FAIRCHILD, Chief Judge.
This is an action brought under
I.
The plaintiff, a Wisconsin corporation with its principal place of business in Milwaukee, is a pawnbroker dealing in firearms. Pursuant to the provisions of the Gun Control Act of 1968, the plaintiff must obtain from the Secretary of the Treasury a license to deal in such instrumentalities. The plaintiff did possess a license prior to 1978 and applied for the license‘s renewal in late 1977. The Regional Regulatory Administrator of the Bureau of Alcohol, Tobacco and Firearms on February 7, 1978, denied the plaintiff‘s application because of the plaintiff‘s repeated violations of
The plaintiff invoked its right to an informal hearing before a hearing officer. At that hearing, held on April 4, 1978, three inspectors for the Bureau of Alсohol, Tobacco and Firearms testified for the government. Numerous exhibits showing the results of several investigations made of the plaintiff‘s business over a period of several years were also introduced. This evidence established that the plaintiff had repeatedly failed to adhere to the Secretary‘s recordkeeping requirements. The evidence also showed that the recordkeeping requirements had been explained to the plaintiff‘s president, Kenneth Stein, several times but that violations persisted. The plaintiff‘s president testified in defense of the charges. He admitted that there had been violations, attributed them to employee error, and generally denied that the violations were willful. He also maintained that most of the violations were of technical requirements and promised that measures had and would continue to be taken to ensure that the violations would not occur.
The hearing officer in his report found that the government had established repeated violations “for relatively minor things” as well as some more serious violations. The report, however, contained no explicit findings as to willfulness. Instead, the hearing officer, apparently of the opinion that nonrenewal of the license was too severe a penalty for thе infractions found, recommended that the original denial be reversed and the application be granted.2
I disagree with the recommendation of the Hearing Officer. My decision is that the denial of the renewal application should stand.
More formal findings denying the plaintiff‘s application were later prepared which incorporated the reasons specified in the Administrator‘s original denial. These were sent to the plaintiff along with a “Final Notice of Denial or Revocation of License” dated April 26, 1978.
The plaintiff then initiated this suit under
The district court granted the government‘s motion for summary judgment. The district court held that it was unnecessary to decide the proper standard of review because
the uncontested evidence already in the administrative record . . . reveals that despite plaintiff‘s admitted knowledge of the recordkeeping requirements and the prohibition of delivery of firearms to certain individuals, it violated the law continually for about three years. . . . The failure to maintain proper records when a dealer is aware of his legal duty to do so has been held to be a willful violation of
18 U.S.C. § 923(c) [sic].
The district court held that the conclusory denials of any willful violations in the affidavit submitted by the plaintiff did not require a contrary conclusion.
II.
The crux of the plaintiff‘s argument concerns the scope of and procedure for judicial review mandated by
Section 923(f)(3) provides in part that the district “court may consider any evidence submitted by the parties to the proceeding. If the court decides that the Secretary was not authorized to deny the application or to revoke the license, the court shall order the Secretary to take such action as may be necessary to comply with the judgment of the court.” As one court has noted, the section “is unclear and in some respects appears to contain contradictory language.” Weidner v. Kennedy, 309 F.Supp. 1018, 1019 (C.D.Cal.1970). Some courts have held that the decision of the Secretary may be upheld if supported by substantial evidence in the administrative record. See McLemore v. United States Treasury Department, 317 F.Supp. 1077 (N.D.Fla.1970); cf. Lewin v. Blumenthal, 590 F.2d 268, 269 (8th Cir. 1979) (semble as to standard applied, but court noted that “substantial evidence” supported license
We agree with the latter decisions that the statute requires de novo review. We do not, however, view those decisions as necessarily irreconcilable with those upholding the Secretary‘s decision if based on substantial evidence. This is because of our view of the nature of the review authorized by
Because even if the district court chooses not to receive additional evidence, its review is de novo, the decision of the Secretary is not necessarily “clothed with any presumption of correctness or other advantage.” Weidner v. Kennedy, 309 F.Supp. 1018, 1019 (C.D.Cal.1970). The ultimate decision as to the law and the facts remains with the trial judge. However, the district court, consistent with its obligation to review the matter de novo, may accord 5
Once the district court has reviewed the decision of the Secretary, the role of the appellate court is limited. It may review as in any other action the judgment of the district court to insure that it correctly applied the law including the appropriate scope of review. The district court‘s findings as to the facts, however, may not be upset unless clearly erroneоus.
In summary, we hold that
III.
Applying these standards to the present case, we find no error in the district court‘s entry of judgment in favor of the Secretary. The evidence before the district court consisted of the record of the proceedings before the Secretary and the conclusory affidavit of the plaintiff‘s president, Kenneth Stein, denying that the plaintiff willfully violated the Gun Control Act or regulations. The administrative record contains considerable evidence of the plaintiff‘s repeated and consistent violation of the bookkeeping and other requirements imposed pursuant to the Act. This evidence was uncontested by the plaintiff either in the proceedings before the Secretary or in the affidavit submitted to the district court. There is simply no doubt that the plaintiff is chargeable with numerous violations to the Gun Control Act and the Secretary‘s regulations. The only substantial issue before the district court was, as in most actions brought pursuant to
The district court correctly applied the legal definition of willfulness as that term is used in
The next question is whether the district court applied the proper scope of review. Our examination of the district court‘s memorandum order convinces us that the trial court in essence reviewed the Secretary‘s decision de novo and adopted as its own the Secretary‘s finding that the plaintiff‘s violations were willful. The district court recognized that courts have disagreed about the appropriate scope of review and held that under any standard the decision of the Secretary was justified. We take this, along with the district court‘s assessment of the evidence in the administrative record, as indicating that the court exercised its own independent judgment as to the facts and concluded that the Secretary correctly found the relevant facts.7
The district court‘s finding is amply supported by the record and we cannot say that it is clearly erroneous. The record shows that the plaintiff‘s agents were instructed on the requirements of the law and acknowledged an understanding of the Secretary‘s regulations.8 Nevertheless, and despite repeated warnings from the Secretary, violations continued to occur. Evidence of repeated violations with knowledge of the law‘s requirements has been held sufficient to establish willfulness. See, e. g., Lewin v. Blumenthal, 590 F.2d 268 (8th Cir. 1979). Although the plaintiff has attempted to dismiss those violations as “unintentional, unavoidable and de minimis,” see Modica v. United States, 518 F.2d 374, 375 (5th Cir. 1975), we do not regard the evidence to that effect as so compelling as to warrant our disturbing the finding of thе district court.
What has already been said largely disposes of the final question before us: Whether the district court abused its discretion in declining to receive additional evidence bearing on the issue of willfulness. The evidence in the administrative record showed a persistent pattern of violations even after warnings from the Secretary. The inference that the violations were willful is compelling, notwithstanding the plaintiff‘s president‘s protestations to the contrary before the hearing officer. Certainly the trial judge was free to draw the same inference that the Secretary did on the basis of the evidence in the administrative record. Moreover, the plaintiff did not offer to produce any additional evidence before the district court which had not already been considered by the Secretary. Although the plaintiff did submit an affidavit in which its president denied in general and conclusory terms that any of the violations were willful, we are not persuaded that such an affidavit established a good reason for the district court to exercise its discretion to receive additional evidence. The trial court did not abuse its discretion here.
IV.
Our decision here does not deprive those denied dealer‘s licenses of the opportunity to have the Secretary‘s decisions rеviewed in the courts. The district court here did review the Secretary‘s decision and found it authorized in law and supported by the facts. Had the plaintiff shown some good reason to do so, we are confident that the district court would have liberally exercised its discretion to permit the introduction of additional evidence. Absent such a showing by the plaintiff, however, we cannot say that the district court erred in deciding the case on the basis of the evidence in the administrative record.
The judgment of the district court is AFFIRMED.
SWYGERT, Circuit Judge, dissenting.
The majority leaves Stein‘s, Inc. and others similarly situated vulnerable to capricious and arbitrary licensing decisions of the Administrator of the Bureau of Alcohol, Tobacco and Firearms without meaningful judicial review, contrary to
Apart from the revocation of its license to deal in firearms, Stein‘s previously had no problems with law enforcement authorities. In May, 1974, the Bureau of Alcohol, Tobacco and Firearms discovered several violations during an inspection. In July, 1974, another inspection was conducted by Agent David Bateman. Despite finding violations, Bateman recommended renewal of Stein‘s license; he also gave Kenneth Stein copies of the relevant statute and regulations and explained correct procedures to him. An admonitory letter was sent.
In late October of 1975, Bateman contacted Stein prior to conducting a recall inspection and inquired about the completion of an inventory. Because Stein misunderstood Bateman‘s previous instructions, the inventory had not been completed. Apparently, Stein believed that the company‘s record books had to be approved prior to the inventory. By November 4, the invеntory was completed, and the violations discovered during the previous inspection were corrected. Agent Bateman testified that, in the course of three inspections in two years, Stein and his employees fully cooperated and that they made an effort to comply with the law.
A year later Stein‘s was again inspected. An initial inspection occurred on November 29 and 30, 1976, and a follow-up inspection on January 7, 1977; both were conducted by Agent Michael Crump. Crump found many violations, most involving recordkeeping, although a pawned handgun was found to have been returned to “someone under twenty-one years old” in violation of
Finally, in September and October of 1977, Stein‘s was again inspected, this time by Agent Michelle Dunn. The inspection occurred shortly after Stein‘s had changed locations. Stein explained that many of the admittedly numerous violations cited by Dunn resulted from the business‘s then-recent move and the attendant disruption of its records and inventory. Nevertheless, Dunn noted every violation she found.1 In her zeal, she also noted a violation which later was shown not to exist. She cited a shortage in the inventory, but at the hearing, Dunn acknowledged that there actually was no such shortage. Dunn also stated that no criminal violations were found.
In view of the enumerated violations, and, in particular, the recurring violations of
18 U.S.C. § 922(m) ,18 U.S.C. § 923(g) ,27 C.F.R. § 178.124(c) , and27 C.F.R. § 178.125(e) , you have demonstrated a careless and willful disregard of the provisions of Chapter 44, Title 18, U.S.C., and the Regulations issued thereunder.
Because of the detrimental impact of this decision upon its business, Stein‘s invoked its right to a hearing. The hearing was held on April 4, 1978. Agents Dunn, Crump, and Bateman testified for the Government and the inspection reports and other documents were introduced. Stein‘s was represented by counsel and Kenneth Stein tеstified in its behalf.
Stein acknowledged that there were problems, especially in Stein‘s recordkeeping. He attributed these problems to his and the employees’ misunderstanding of the law, to human error, and, as to the violations found during Dunn‘s inspection, to the disruption caused by the business‘s move. He denied that the violations were willful. Stein explained that when he noticed omissions or errors on forms completed by other employees, even if he knew the omitted or correct information, he would not alter the forms because he did not believe it correct to do so. He also indicated that steps had been taken to ensure compliance in the future. These included relieving Kenneth Stein‘s seventy-eight year old father and a seventy-two year old employee of any involvement with firearms transactions2 and hiring a former Milwaukee police detective to manage Stein‘s firearms business.
In sum, the testimony and other proof adduced at the hearing revealed that Stein‘s had committed numerous violations, some more serious than others. Initially, the Administrator presumed that the violations must have been willful, because so many occurred over a long period of time despite warnings and explanations regarding correct procedures. But Stein denied that the violations werе willful and offered plausible explanations for them. The agents partially supported Stein‘s denial of willfulness. The hearing officer concluded that license renewal was warranted.3 Nevertheless, Administrator Chupp, without having seen and heard the testimony, was unmoved. In a hastily scrawled note, he rejected the hearing officer‘s recommendation for the reasons initially given. Apparently, in Chupp‘s mind, the presumption that the violations were willful had not been overcome.
Having exhausted its administrative remedies, Stein‘s invoked its right to judicial review under
In its memorandum, the district court alluded to the split in authority regarding the appropriate standard of judicial review under section 923(f)(3), but purported to find it unnecessary to decide whether the
Neither the district court nor the Secretary heard testimony but characterized the evidence in the administrative record as “uncontroverted.” As discussed above, however, Kenneth Stein offered plausible explanations for the violations which were supported partially by the agents. These explanations were disregarded. The only reasonable basis for so doing must have been a determination that Kenneth Stein was not a credible witness. Thus, the district court‘s conclusion that summary judgment was appropriate because credibility was not at issue was incorrect. Credibility is precisely what was and remains at issue. In this regard, the fаct that the hearing officer, who was the person who heard Kenneth Stein‘s testimony, recommended license renewal is most significant. At the very least, the district court was required to explain its “findings” in the light of all the evidence, including Stein‘s testimony.
In conclusion, if the appropriate standard of review were the “substantial evidence” test, the district court‘s disposition of this case would have been correct. Similarly, even on de novo review, the obligation to hear live witnesses might have been abrogated if Stein‘s had not come forth with plausible explanations for the violations. See, e. g., Mayesh v. Schultz, 58 F.R.D. 537 (S.D.Ill.1973). But, because Stein‘s did offer explanations, the rejection оf which could only have been because of credibility determinations, the district court was obliged to make those determinations itself. Otherwise, the requirements that the violations be willful and that judicial review be de novo are meaningless. This court may not substitute considerations of judicial economy for those requirements. This case illustrates the reason the requirements were enacted by Congress and the abuses which result when they are not satisfied.
I would reverse and direct the district court to conduct a de novo review, including an evidentiary hearing, in accordance with
Notes
(A) the applicant is twenty-one years of age or over;
(B) the applicant (including, in the case of a corporation, partnership, or association, any individual possessing, directly or indirectly, the power to direct or cause the direction of the management and policies of the corporation, partnership, or association) is not prohibited from transporting, shipping, or receiving firearms or ammunition in interstate or foreign commerce under section 922(g) and (h) of this chapter;
(C) the applicant has not willfully violated any of the provisions of this chapter or regulations issued thereunder;
(D) the applicant has not willfully failed to disclose any material information required, or has not made any false statement as to any material fаct, in connection with his application; and
(E) the applicant has in a State (i) premises from which he conducts business subject to license under this chapter or from which he intends to conduct such business within a reasonable period of time, or (ii) in the case of a collector, premises from which he conducts his collecting subject to license under this chapter or from which he intends to conduct such collecting within a reasonable period of time.
Many of the violations cited by Dunn were extremely minor. For example, if an address which was obviously in Milwaukee omitted that fact or a zip code was not shown, a violation was noted.If after a hearing held under paragraph (2) the Secretary decides not to reverse his decision to deny an application or revoke a license, the Secretary shall give notice of his decision to the aggrieved party. The aggrieved party may at any time within 60 days after the date notice was given under this paragraph file a petition with the United States district court for the district in which he resides or has his principal place of business for a judicial review of such denial or revocation. In a proceeding conducted under this subsection, the court may consider any evidence submittеd by the parties to the proceeding. If the court decides that the Secretary was not authorized to deny the application or to revoke the license, the court shall order the Secretary to take such action as may be necessary to comply with the judgment of the court.
One can only speculate whether this recommendation was based upon a finding that the violations were not willful. On this point the record is unclear. The majority‘s assertion that the hearing officer‘s recommendation was based upon his belief that nonrenewal “was too severe a penalty for the infractions found . . . ,” is, however, equally speculative.to the best of my knowledge and belief, I understand the laws and regulations, and will operate my firearms business in accordance therewith. If I receive a license, I understand that I am responsible for the acts or omissions of any employee or agent acting for me in the conduct of the firearms business.
