This appeal involves the dismissal of a suit seeking declaratory and injunctive relief from disciplinary proceedings initiated against a Texas attorney. The plaintiff, a resident of Sherman, Grayson County, Texas, is an attorney facing possible suspension or disbarment by virtue of a state decree. He filed this federal lawsuit claiming that the grievance procedures of the Texas State Bar violate his constitutional rights under the Fifth and Fourteenth Amendments as well as under federal antitrust law pursuant to the Sherman Antitrust Act, 15 U.S.C. § 1. The district court dismissed the claims on the grounds that the federal abstention doctrine and state immunity from antitrust claims precluded the court from hearing the case. It also refused to hear Hefner’s claims under its pendent jurisdiction. We affirm the district court on all counts.
FACTS AND PROCEDURAL HISTORY
The factual history of this civil action begins in 1981, when the plaintiff, Stephen Hefner (“Hefner”), was issued a private reprimand by the District 1-A Grievance Committee (“Committee”) because of his conduct on behalf of a divorce client. On December 15, 1982, Hefner filed suit in the District Court of Dallas County, 192nd Judicial District of Texas, to set aside the private reprimand. The ease was continued several times, and as of December 4, 1984, was still pending in state court. On January 27, 1984, the Committee began hearings on five more complaints filed against Hefner. Hefner requested of the Committee that he be given notice of specific violations, a list of the adverse witnesses, a list of the Committee members who had spoken with the complainants or witnesses, and a summary of what the adverse witnesses had said. Hefner also requested, as a matter of constitutional right, that he be allowed to cross examine the witnesses, to have access to evidence against him, and to receive a transcript of the proceedings. The Committee rejected each of Hefner’s requests.
On February 2,1984, an article about the grievance proceedings appeared in the Sherman Democrat, the local newspaper where Hefner resides. It related that Hefner was the subject of a private reprimand by the Committee, that he had appealed the matter to a state district court in Dallas, and that the case was expected to go to trial on March 26, 1984.
Hefner filed suit in federal district court on May 4, 1984 claiming that the Texas grievance procedures violated his constitutional rights and constituted a restraint of trade under the Sherman Antitrust Act, 15 U.S.C. § 1. Hefner’s original complaint named Ivan Alexander, Jr., Chairperson of the State Bar of Texas Grievance Committee District 1-A and the State Bar of Texas (“State Bar”) as defendants but he subsequently amended his complaint. He deleted the State Bar of Texas as a defendant and added as parties the appointees to the District 1-A Grievance Committee and the members of the Board of Directors of the State Bar, as well as the executive director and two Supreme Court Justices who served as liaisons to the State Bar. The defendants moved to dismiss the suit on May 14, 1984. On July 16, 1984, however, this Circuit decided
Bishop v. State Bar of Texas,
On October 5, 1984, a hearing was held to determine whether defendants had acted in bad faith or for the purpose of harassing Hefner when they initiated disciplinary proceedings against him. The court made an oral finding at the hearing that Hefner had not carried his burden of proving that the defendants had conducted their investigations with impermissible motivations. The court also held, in a memorandum opinion and order, that Hefner’s antitrust claim was barred by the state immunity doctrine
On appeal, Hefner makes four distinct arguments: (1) that the district court erred in abstaining from exercising its jurisdiction because the bad faith exceptions applied, (2) that the district court erred in ruling that the state immunity doctrine barred his antitrust claim, (3) that the court erred in failing to entertain his constitutional claim under its pendant jurisdiction, and (4) that the court erred in failing to treat his complaint as a general challenge to the disciplinary scheme under the recent United States Supreme Court decision in
District of Columbia Court of Appeals v. Feldman,
I. FEDERAL ABSTENTION
Younger v. Harris,
S.Ct. 746, 754,
In 1982,
Younger
abstention was applied to disciplinary actions brought by state bar associations against attorneys.
Middlesex County Ethics Committee v. Garden State Bar Association,
According to Hefner, the bad faith of the defendants was evidenced by the following actions or omissions of the defendants:
(1) that complaints which were simply fee disputes were not referred to a fee dispute committee;
(2) that defendants were responsible for the publication of a newspaper article about his grievance hearing, after a court order sealing the hearing record had been entered;
(3) that the Committee’s location of the grievance hearing in Sherman, Texas was intentionally meant to harass and discredit him in his community;
(4) that defendants contacted Hefner’s former clients and urged them to file grievances against him;
(5) that defendants escalated their recommended disciplinary action from private reprimand to possible disbarment when Hefner filed a lawsuit to set aside the private reprimand; and
(6) that the period between the time a complaint against him was filed and the time he was notified of the complaint was unreasonably long.
None of the actions or omissions Hefner lists constitutes bad faith or harassment per se, except perhaps the alleged solicitation of former clients to file grievances against him. The district court, however, conducted a hearing on the issue of bad faith and found little or no evidence to support the allegations of bad faith harassment and potential irreparable injury. Further, along with the dearth of evidence on bad faith, persecution, or harassment, Hefner failed to suggest any reason why the
Younger and its progeny make it obvious that the “bad faith” exception is narrow and should be granted parsimoniously. We are guided by the clearly erroneous standard in our review of the alleged facts that constitute bad faith harassment. The factual circumstances Hefner presented do not show that the defendants acted in bad faith when they brought disciplinary proceedings against him. Accordingly, we find no error in the district court’s ruling on this issue.
II. THE ANTITRUST CLAIM
Hefner next contends that the district court erred in applying the state action doctrine to his antitrust claim.
Parker v. Brown,
In Hoover, Ronwin was an unsuccessful candidate for admission to the Arizona Bar. He sued the members of the Committee on Examinations and Admissions, claiming that their grading methods and procedures generally, deprived him of due process, violated his right to equal protection of the law, and violated the Sherman Antitrust Act by artificially reducing the number of competing attorneys in the State of Arizona.
At issue in
Hoover
was whether the Arizona plan of determining admissions to the Bar and the Admission Committee members’ misuse of the grading formula to arbitrarily restrain competition among lawyers was entitled to antitrust immunity.
Although we find it difficult to understand how “the Court’s holding in
Bates
applies with
greater force
to the [Admissions] Committee and its actions,”
Hoover,
Finally, we highlight the fact that neither the State Bar nor the Grievance Committee has the power to revoke Hefner’s license to practice law. Only the state courts, upon findings of misconduct under the Rules, can deprive Hefner of this privilege. Granted, these entities could make Hefner’s practice of law onerous by harassing him with complaints, but as we explained earlier, the Younger bad faith exceptions provide a remedy for that type of situation.
III. PENDENT JURISDICTION
Hefner urges that we can yet consider his constitutional claims under the court’s pendent jurisdiction regardless of the dismissal of the antitrust claim. In its Memorandum Opinion and Order of Dismissal, the district court noted that “[w]hile this would be possible, even in light of the dismissal of the anti-trust (sic) claim,
Silva v. Vowell,
We have long recognized that a federal court retains its authority to hear pendent claims even though the plaintiff’s constitutional or federal claims are dismissed or rendered moot.
Silva,
Hefner relies on language in
Silva, supra
(and cases cited therein), to urge that when a pendent claim is federal, but not otherwise justiciable by a federal court, the court may exercise jurisdiction over the pendent federal claim.
Silva,
621 F.2d at
IV. THE GENERAL CONSTITUTIONAL ATTACK
We recognize that
Feldman,
while relegating constitutional claims that are “inextricably intertwined” with the state’s regulation of its attorneys to the state courts,
We have had occasion to apply
Feldman
to similar facts once before. In
Howell v. State Bar of Texas,
Even if the district court erred in abstaining from reaching the general constitutional issue, an issue that is not necessary to decide in this case, the record is conclusive that the proper parties to make a broad constitutional attack to the disciplinary scheme in Texas were not before the district court, since the Texas Supreme Court and the State Bar of Texas were not parties to the lawsuit. 3 Accordingly, we affirm the decision of the district court.
AFFIRMED.
Notes
. The plurality in
Hoover
held that "the critical action in this case was the [Arizona Supreme] court’s decision to deny Ronwin admission to the bar.”
Writing for the dissent, Justice Stevens criticized the plurality’s extension of the state action immunity doctrine to the Admissions Committee and the strained logic it used to achieve this extension. The dissent would require the state to show that the actions of the Committee members met the two pronged “clearly articulated” and "actively supervised” test set forth in cases such as
California Liquor Dealers Assn. v. Medical Aluminum, Inc.,
Unless the Arizona Supreme Court affirmatively directed petitioners to restrain competition by limiting the number of otherwise qualified lawyers admitted to practice in Arizona, it simply cannot be said that its position is anything more than one of neutrality; mere authorization for anti-competitive conduct is wholly insufficient to satisfy the test for antitrust immunity. [Citing Medical, supra, and City of Lafayette, supra.] No affirmative decision of the Arizona Supreme Court to restrain competition by limiting the number of qualified persons admitted to the bar is disclosed on the present record. The alleged conspiracy to introduce a factor other than competence into the bar examination process is not the product of a clearly articulated and affirmatively expressed state policy and hence does not qualify for antitrust immunity.
. See generally Tex.Rev.Civ.Stat.Crim. art. 320a-l (Vernon Supp.1985); Supreme Court of Texas, Rules governing the State Bar of Texas, art. X, (Discipline and Suspension of Members), § 9 (Code of Professional Responsibility), 1A Vernon’s Ann.Civ.Stat. tit. 14 App. (Vernon 1973 and Vernon Supp.1985).
. Hefner’s original complaint named Ivan Alexander Jr., the District 1-A Grievance Committee Chairperson and the State Bar of Texas as defendants. Hefner subsequently amended his complaint by dropping the State Bar of Texas as a defendant and adding the members of Grievance Committee 1-A, the members of the Board of Directors of the State Bar of Texas as well as the Executive Director and two Texas Supreme Court Justices who serve as liaisons to the State Bar. At no time has Hefner named the Texas Supreme Court, which promulgates the rules for disciplinary proceedings, as a defendant in this cause.
