—Plaintiffs, who consist of Butchers Union, Local No. 120, its secretary-treasurer, and several members of the union, sought to recover, for all members similarly situated; wages allegedly due from the defendant meat processors under the provisions of a collective bargaining agreement which guaranteed the regular employees a five-day, forty-houy work week. The defendants, members of the Pacific Coast Meat Jobbers Association, 1 attacked the complaint by demurrer, and motion for summary judgment. 2 Plaintiffs Jiave appealed from an adverse judgment entered following the granting of defendants ’ motion.
The background of the controversy can be ascertained from the complaint. Plaintiffs allege that on October 1, 1961, certain associations representing defendants, and defendants entered into a collective bargaining agreement with the union covering wages, hours and conditions of employment. 3 This agreement provided: “Regular employees shall be guaranteed five (5) days, forty (40) hours of work, unless they are advised before quitting time on Friday that they are being *456 hired or brought to work for the following week on a predetermined short work week of less than five (5) days and less than forty (40) hours, or unless such work ceases to be available by reasons of an Act of God, or other reason beyond the control of the Employer. Whenever an employee is scheduled to work a short work week as set forth above, he shall receive ten percent (10%) in addition to his regular daily rate for all work performed during that scheduled short work week, even though such an employee may work forty (40) hours or more during that week.” They allege that negotiations for a new contract had been in progress since July of 1964; that the old contract was to expire on Thursday, October 1, 1964; that the contract was extended until the negotiating session of Monday, October 5, 1964; that at that meeting a spokesman for the employers read a letter which stated that since the union would only agree to extensions of the agreement on a “day to day” basis, and not on a 72-hour basis, and since this was unacceptable to the defendants because of the nature of the meat business, the contract would expire ,that day; 4 that he stated all the plants would be closed down the next day; that contrary to the facts as stated by the spokesman, and the letter, the defendants had met on Saturday, October 3, 1964, and voted to lock out employees on Tuesday, October 6, 1964; that the defendants were advised by a memorandum dated October 3, 1964 on how to proceed with said lockout; 5 and that “in the week of October 5, 1964, and more particularly from Tuesday, October 6, 1964, the defendants, . . . defaulted in the performance of the . . . agreement by refusing to provide and failing to provide five days, 40 hours of work and by refusing to pay” pursuant to this agreement. Plaintiffs set forth $21,899.70 as the total wages due, and prayed for this sum, as well as interest.
In response to points made below by defendants in support of their motion, plaintiffs now contend (1) that the affidavit filed in support of the motion for summary judgment is insufficient to support the court’s order granting the motion and the ensuing judgment; (2) that the record reveals that there were issues of fact to be tried; (3) that the state court has jurisdiction over the action and is not preempted by the jurisdiction conferred on the National Labor Relations Board or by earlier proceedings taken before that tribunal; (4) that *457 there is no requirement that plaintiffs resort to grievance procedures or arbitration before resort to court action; (5) that the allegations of the complaint, as admitted, do not show that the contract provisions expired prior to, and that they were not applicable to, the alleged breach; and (6) that the admitted facts do not show that defendants were excused from performance because the employees refused to commit themselves to work the full week.
I. Sufficiency of the Affidavit in Support of the Motion
The court has been referred to a plethora of cases defining the nature and purpose of the summary judgment procedure set forth in section 437c of the Code of Civil Procedure, and the principles governing the determination of the sufficiency of the affidavits presented by that section.
6
The terse statement in
R. D. Reeder Lathing Co.
v.
Allen
(1967)
The affidavit of defendants’ attorney accompanied their motion. He stated that he was the attorney for the Pacific Coast Meat Jobbers Association, which held a power of attorney for collective bargaining with the union, from defendants, its members; that the association had received a letter from the regional director of the National Labor Relations Board on October 8, 1964, containing a copy of “Charges Against Employer,” signed by counsel for plaintiffs; that the charge against defendants was that on “October 6, 1964, while negotiations were pending with representatives of [Butchers’ Union Local No. 120] the charging party, [the defendants] unlawfully and improperly locked out the employees of certain of its members in violation of National Labor Relations Act sections 8(a)(1) and 8(a)(3) [29 U.S. C., § 158, subds. (a)(1) and (a)(3)]. That in violation of Section 8(a) (3) said Employer did not transmit in a timely fashion the notices required under Section 8(d) [id.,' subsection (d) ] ”; that an investigation was conducted by the National Labor Relations Board to determine whether it should issue a complaint against defendants for unfair labor ■ practices; that by letter of March 9, 1965, the regional director notified counsel for plaintiffs that further proceedings were not warranted; that plaintiffs requested review of this decision; that on May 12, 1965, the general counsel of the National Labor Relations Board denied plaintiffs’ appeal by letter which recited, “ [U]nder all the circumstances, including the fact that the membership of each of the Locals involved had voted to authorize strike action, the Union’s failure to alleviate the Association’s fear of a strike by agreeing to more than a day-to-day extension of the contract, and the perishable nature of' the products involved, the burden of *459 establishing that the lockout of October 6, 1964, was unlawful could not be sustained. ’ ’ Copies of the charges and the letters of the regional director and the general counsel are appended to the affidavit. The attorney further alleged that plaintiffs had not requested that their demands for payment be subject to the grievance arbitration machinery pursuant to the collective bargaining agreement.
The statute requires: 11 The affidavit or affidavits in support of the motion must contain facts sufficient to entitle plaintiff or defendant to a judgment in the action, and the facts stated therein shall be within the personal knowledge of the affiant, and shall be set forth with particularity, and each affidavit shall show affirmatively that affiant, if sworn as a witness, can testify competently thereto.” (Code Civ. Proc., §437c; 2d par.; and see
Hayward Union etc. School Dist.
v.
Madrid
(1965)
There is no requirement, however, that the statutory language be included in the affidavit. In
Schessler
v.
Keck
(1956)
The consideration to be given the exhibits attached to an affidavit must depend on the nature of the exhibit, the competency of the affiant to identify it, and the purpose for which it is offered. Unauthentieated copies of purported affidavits, or anonymous pamphlets, or pliotostatic or other copies offered without an affidavit of stipulation to their authenticity cannot be considered. (See
Johnson
v.
Drew, supra,
Plaintiffs not only admitted the existence of the Labor Board proceedings in the trial court (fn. 7 supra), but also acknowledge on appeal, “in reality there is no affidavit to support the Motion, except on the issue of preemption.” (Italics added.)
As just indicated, the plaintiffs contend that the court could not consider the other grounds urged by defendants in support of their motion, because the facts relating to them were not set forth in the affidavit filed in support of the motion. This argument misconstrues the scope of the record to be considered in ruling on defendants’ motion. The principle that “ [s]ummary judgment is proper only if the affidavits of the moving party are sufficient to sustain a judgment in his favor. . . .’’ (R. D. Reeder Lathing Co. v. Allen, supra, 66 Cal.2d at pp. 376-377) does not preclude the court from considering, in support of the movant’s position, facts alleged and admitted in the pleading of an adversary, as distinguished from considering the party’s own pleading in support of his position.
In
Joslin
v.
Marin Municipal Water Dist.
(1967)
‘ ‘ However the courts have heretofore recognized that a distinction exists where the party seeks to rely on his adversary’s rather than his own pleadings to establish facts not contained in his affidavit. [Citation.] . . ,
“The foregoing makes it clear that a moving defendant, unlike a moving plaintiff, need merely establish a defense to a claim theretofore asserted ‘in the action.’ His supporting affidavits are responsive in nature and are necessarily addressed to the complaint. It is within the contemplation of section 437e that the factual matters which he sets out in such affidavits are to take their significance upon a consideration of the complaint. In no way departing from the rule that such affidavits are to be strictly construed, it would nevertheless be placing form before substance if we were to require that a moving defendant’s affidavits which assert facts establishing a defense when considered with the particular claim relied upon by plaintiff, must be deemed insufficient because they further fail to repeat therein those matters already asserted in the complaint. In such a case, the repetition of the substance of the complaint would be a useless act, the doing of which the law does not require. [Citation.] ” (67 Cal.2d at pp. 147-149.)
The application of the rule last stated gives life to the defendants’ allegation that no requests were received under the provisions dealing with grievance and arbitration of the agreement which is attached to and made a part of the complaint, and which admittedly was executed by and governed the respective parties during the period of its existence. Similar considerations apply to the issue of termination and the issue of excuse for performance. Defendants urge that each defense is revealed by the admitted allegations of the complaint.
■The affidavit when construed as directed by Joslin is sufficient to raise the legal issues advanced by defendants in support of their motion.
*463 II. Triable Issue of Fact
The plaintiffs apparently concede, as was alleged in the eounteraffidavit filed in the lower court, that the issues of preemption and arbitration are questions of law. They contend that the allegations of the eounteraffidavit raise triable issues of fact with respect to the issues of termination, breach of the contract and excuse of performance. They further assert that a trial should be had because federal labor law and policy are involved. The application of federal law and policy does not create an issue of fact where none was present before. The federal law and policy if pertinent may be applied to the undisputed facts.
Examination of the eounteraffidavit reflects that on the issues advanced by plaintiffs it follows the facts in the complaint which were admitted by defendants’ failure to file an answer. 8 The eounteraffidavit establishes one fact not directly set forth in the complaint. In the complaint it is alleged, by reference to an exhibit, merely that the employer-spokesman charged that the union would only extend the agreement after October 5th on a “day to day" basis. The eounteraffidavit directly alleges, “that plaintiffs repeatedly offered to extend the contract on a day to day basis during negotiations.” There is no dispute about the facts.
The admitted allegations of the complaint and the allega
*464
tions of the coimteraffidavit which set forth conclusions of law do not raise issues which must be tried.
(Donnachie
v.
East Bay Regional Park Dist., supra,
III. Preemption by National Labor Relations Board
The facts, as heretofore considered, show that plaintiffs alleged in their complaint and the counter affidavit facts indicating that the defendants had locked out their respective employees. The affidavit submitted by defendants alleges and the coimteraffidavit admits that this lockout was the subject of an unfair labor practice charge lodged with the National Labor Relations Board. If this were the sole ground of plaintiffs’ action, the state court would not have jurisdiction. In
San Diego Unions
v.
Garman
(1959)
Here, however, the action purports to be predicated upon the provisions of the collective bargaining agreement. Under these circumstances the jurisdiction of the courts is not preempted by that conferred upon the National Labor Relations Board. In
Smith
v.
Evening News Assn.
(1962)
In
Smith
the court observed, “If, as respondent strongly urges, there are situations in which serious problems will arise from both the courts and the Board having jurisdiction over acts which amount to an unfair labor practice, we shall face those cases when they arise.” (371 U.S. at pp. 197-198 [9 L.Ed.2d at pp. 249-250].) The defendants assert that this is such a ease, because the record shows that the plaintiffs sought and were denied relief from the National Labor Relations Board before commencing their action. Although this fact distinguishes the instant case from
Smith
and the cases cited with it, it does not necessarily oust the court of a jurisdiction which has been established as concurrent. (See
Smith
v.
Evening News Assn., supra,
The rights of the union and the employees to bring an action in the state court for breach of the collective bargaining agreement was not preempted because of concurrent jurisdiction of the National Labor Relations Board, or because of resort to that tribunal on a charge of unfair labor practices. IV. Bight to Arbitration
Article NIV of the collective bargaining agreement is entitled “Grievance and Arbitration.” 9 It provides procedures for disposing of 1 ‘ any dispute that may arise as to the *466 interpretation of this agreement.' ’ Admittedly the plaintiffs did not resort to those procedures before commencing this action.
Plaintiffs contend (1) that the provisions of Article XIV only apply to a dispute as to the interpretation of the agreement, and that there is no dispute as to the meaning of Article IV (b) which provides for the guaranteed work week, but only a dispute as to its application or enforceability with respect to a work week in which the agreement terminated; (2) that the dispute was expressly excluded from arbitration by the provision reading, ‘1 No controversy regarding hours or wages shall be subject to arbitration”; and (3) that the defendants by contending that the contract was terminated and locking out the plaintiff employees repudiated the agreement and precluded themselves from relying on the provisions for arbitration.
The defendants assert that if plaintiffs’ rights are dependent upon the provisions of the contract, they are bound by the contract provisions for arbitration, and that the issue of arbitrability itself should be so arbitrated.
Paradoxically, it appears that the plaintiffs, who rely upon the provisions of the contract to establish their right to recovery, are asserting that the grievance provisions of the *467 contract do not apply; whereas the defendants, who contend that the contract provisions for the guaranteed work week terminated, insist that the arbitration provisions should govern the dispute.
If the grievance and arbitration provisions of the collective bargaining agreement are applicable, the plaintiffs cannot proceed by judicial action.
(Republic Steel Corp.
v.
Maddox
(1965)
Whether or not the plaintiffs were bound to arbitrate, as well as what issues are arbitrable are matters to be determined by the court on the basis of the contract entered into by the parties.
(John Wiley & Sons, Inc.
v.
Livingston
(1964)
*468
The principles applicable to this phase of the case recently have been collected and set forth in
Butchers’ Union Local 229
v.
Cudahy Packing Co.
(1967)
“Congress strongly expressed its policy favoring arbitration in section 203(d) of the Labor Management Relations Act: ‘Pinal adjustment by a method agreed upon by the parties is declared to be the desirable method for settlement of grievance disputes arising over the application or interpretation of an existing collective-bargaining agreement. . . .’ (29 U.S.C. § 173(d) (1964); see United Steelworkers of America v. Warrior & Gulf Nav. Co. (1960)363 U.S. 574 , 582 [4 L.Ed.2d 1409 ,1417,80 S.Ct. 1347 ]) . . .
“Under federal law, the function of a court in deciding whether a dispute is subject to arbitration ‘is confined to ascertaining whether the party seeking arbitration is making a claim which on its face is governed by the contract.’ (Italics added.) (United Steelworkers of America v. American Mfg. Co. (1960)363 U.S. 564 , 568 [4 L.Ed.2d 1403 , 1407,80 S.Ct. 1343 ].) ‘An order to arbitrate the particular grievance should not be denied unless it may be said with positive assurance that the arbitration clause is not susceptible of an interpretation that covers the asserted dispute. Doubts should be resolved in favor of coverage.’ (Italics added.) (United Steelworkers of America v. Warrior & Gulf Nav. Co., supra,363 U.S. 574 , 582 [4 L.Ed.2d 1409 , 1417]) ” (66 Cal.2d at pp. 930-931. See, in addition to the cases cited, John Wiley & Sons, Inc. v. Livingston, supra,376 U.S. 543 , 548 [11 L.Ed.2d 898 , 904]; Atkinson v. Sinclair Refining Co., supra,370 U.S. 238 , 241 [8 L.Ed.2d 462 , 465]; Teamsters Local v. Lucas Flour Co., supra,369 U.S. 95 , 103-104 [7 L.Ed.2d 593 , 598-599]; Dowd Box Co. v. Courtney, supra,368 U.S. 502 , 506-507 [7 L.Ed.2d 483 , 486-487]; Textile Workers v. Lincoln Mills (1957) 353 U.S. 448, 456-457 [1 L.Ed.2d 972 , 980-981,77 S.Ct. 912 ]; O’Malley v. Wilshire Oil Co. (1963)59 Cal.2d 482 , 486 [30 Cal.Rptr. 452 ,381 P.2d 188 ]; Posner v. Grunwald-Marx, Inc. (1961)56 Cal.2d 169 , 175 [14 Cal.Rptr. 297 , 363 P.2d 313]; and McCarroll v. Los Angeles County etc. Carpenters, supra,49 Cal.2d 45 , 59-60.)
*469
The application of these principles compels the rejection of the contention that the phrase, “Any dispute that may arise as to the interpretation of this Agreement” does not include a dispute as to the application or enforceability of any provisions of the agreement, when the meaning of that provision is clear and undisputed. No purpose would be served by securing an interpretation
in vacuo.
To limit the application of Article XIV to those cases where the facts were undisputed and only the meaning of the contract was in dispute would be an unwarrantedly strained and narrow construction.
“The inclusion of a ‘no-strike’ clause further indicates that the parties intended an all-inclusive coverage of the arbitration provision (Butchers’ Union Local 229
v.
Cudahy Packing Co., supra,
The exception, “No controversy regarding hours or wages shall be subject to arbitration” must be respected.
(Vaca
v.
Sipes, supra,
Reference to the agreement indicates that the subjects of “hours” and “wages” are respectively embraced in separate articles of the contract, Article TV and Article VIII. The former article includes in section (b) the provisions which gave rise to the controversy in this case (see text, supra). These provisions and the hours to which they refer are not the direct subject of the dispute, although the 32 hours remaining in the work week which commenced October 5, 1964 are incidentally involved. It is acknowledged that if the provisions are applicable, the employees were entitled to either the notice or the guaranteed hours of work. The kernel of the controversy is whether the parties agreed that the collective bargaining agreement, and more particularly the provisions of section (b) of Article IV, should apply after October 1, 1964. It transcends even the more integrated problem which might have arisen had the agreement terminated on a Friday or some day during the ensuing work week, although the solution of such a hypothetical question might throw some light on what was intended by the admitted fact that “the contract was extended until the negotiating session of October 5, 1964.”
In line with the principles quoted above the exception for “hours” and “wages” should be limited to controversies in which the dispute directly involves the number of hours of employment, or the rate of wages to be paid. In a sense, innumerable types of disputes, whether arising in relation to union security, discharge, overtime, holidays, vacations, health and welfare payments, sick leave, pensions, jury duty, funeral leave, or seniority, may indirectly touch on hours or wages. The sensible construction is to so limit the exception, in the same manner that courts have limited an exception for functions of management, lest the exception swallow the whole. (See
Steelworkers
v.
Warrior & Gulf Co., supra,
*471 The foregoing conclusion does not dispose of the controversy. The issue in dispute has been postulated as a controversy involving the intention of the parties with respect to the extension of the contract from its expiration date, Thursday, October 1, 1964, to the bargaining session on Monday, October 5th. The question remains whether this dispute is arbitrable under the terms of the contract.
The expiration of the term of the collective bargaining agreement (and of any agreed extension) does not terminate any rights, including the right and correlative duty to arbitrate, that may have accrued under the agreement. In
Local Lodge No. 595 of Dist. No. 152
v.
Howe Sound Co., (Inc.), supra,
the court stated, ‘ ‘ The claims for holiday pay and pro rata vacation pay are made by the Union under specific provisions of the collective bargaining agreement. The controversy on these claims is by now a classic illustration of a dispute which falls within a general arbitration provision such as that contained in the present agreement. The right to holiday and pro rata vacation pay exists, if at all, under the agreement. The fact that it would accrue and become payable after the expiration of the agreement would not eliminate the Company’s obligation. Since the Union’s claim is founded on the expired agreement it is also bound by the arbitration provision of the agreement, even though the issue may not have been raised until after the expiration of the agreement.” (
*472
On the other hand, if the agreement is in fact terminated, no rights accrue under its provisions subsequent to the termination date. In
Proctor & Gamble Independent Union
v.
Proctor & Gamble Mfg. Co., supra,
the court reversed a summary judgment which, at the instance of the union, compelled the employer to arbitrate disciplinary measures, and ordered summary judgment for the employer. “ [T]he activities on which the discipline was based, the disciplinary measures the propriety of which the union seeks to arbitrate, and the filing of the grievances all occurred in the interval between the termination date of the
old
agreement and the effective date of the new agreement.” (
In this ease the right upon which plaintiffs’ claims are predicated is of mixed origin. The failure of the employers to give any notice on the Friday which fell during the extended term of the collective bargaining agreement did not give rise to any compensation or tangible benefit, such as severance or vacation pay, pension fund payments and the like. At best it *473 gave an inchoate right to employment which would come into fruition with rewarding compensation when the employee performed the promised employment. This employment, according to the allegations of the complaint, was to be tendered to the employees and be performed by them for four days after the expiration of the agreement. It is these days that are in question.
If the question arose in connection with a period related to the term of the original contract which expired October 1, 1964 (such as a refusal to furnish work on Friday, October 2d, when no notice had been given on the previous Friday that the work week would be foreshortened), or in connection with any unconditional extension of the contract, it could well be recognized that the inchoate right to employment carried with it the right to arbitrate any dispute concerning that employment.
There is one factor in this ease which precludes that result. It is acknowledged by plaintiffs (see fn. 8, supra) that they ‘ ‘ offered to extend the contract on a day to day basis during negotiations.” This offer implicitly reserved the right to terminate the contract and strike on any day subsequent to the Monday to which the contract had been extended. It is patently inconsistent with the obligation of the employees to present themselves for work during the claimed “guaranteed” work week. Under these circumstances the extension of the contract was not unconditional, did not presuppose a full work week following the day to which it was extended, and carried with it no right to arbitrate the question of employment for the remainder of that week.
Moreover, there is merit to plaintiffs’ contention that the defendants cannot rely upon the arbitration clause. Their resort to the lockout (whether justified or not) is inconsistent with any concept that the right to pursue the grievance procedure and arbitration persisted, because the contract prohibited a lockout during such proceedings. In
Drake Bakeries
v.
Bakery Workers
(1962)
V. Failure to State a Cause of Action
The camel, having tread this tortuous path, has his head under the edge of the tent, but his ability to capitalize on his position is subject to one more ordeal. Defendants also contend that the admitted facts, as supplemented by those set forth in the affidavits, conclusively show that plaintiffs have no cause of action, and that they therefore sustain the summary judgment. 12
Plaintiffs contend that the right to employment for the ensuing week accrued when the defendants failed to give any notice on Friday, October 2d (see
Hangen
v.
Hangen
(1966)
The defendants do assert that in agreeing to extend and to continue the collective bargaining contract until the negotiating session on Monday, October 5, 1964, it was not intended to give the employees a right to employment past that date; and that the sole purpose of the extension was to maintain the status quo and prevent a strike or lockout while negotiations continued. They contend that the relative position of the parties and the circumstances under which the extension was agreed to compel this interpretation. (See Civ. Code, §§1636 and 1647.) From these postulates they conclude that any question of employment after October 5,1964, was not covered by the terms of the contract. (See
Proctor & Gamble Independent Union
v.
Proctor & Gamble Mfg. Co., supra,
The record is singularly silent on the issue of the purpose, intent and scope of the agreement to extend the collective bargaining contract. In accordance with the rules first reviewed in this opinion, the failure of the defendants to answer the allegation in the complaint “that . . . the contract was extended with the negotiating session of October 5, 1964,” and the failure to controvert the declaration in the counteraffidavit that “the parties agreed to continue the contract in effect until” that day, must be construed against the defendants. The most that can be said is that there is a possi
*476
ble ambiguity, or conflict, which appears in attempting to reconcile the agreement to extend the contract for a limited period with the contract provisions for a guaranteed work week. The necessity for parol evidence to resolve this ambiguity evinces a question of fact which precludes a summary judgment. (See
American Soc. of Composers, Authors & Publishers
v.
Superior Court, supra,
The record, however, does disclose other facts which preclude plaintiffs ’ recovery. If it be assumed that the defendant-employers had an obligation on October 5th to furnish the plaintiff-employees five days and 40 hours of work during that week, that obligation terminated when plaintiffs limited their offer to continue working “on a day to day basis during negotiations. ’ ’
11 The rule, of course, is well established that a party to an executory bilateral contract may avail himself of a refusal of performance made by the other party in advance of the time of performance either as a basis for an action for damages or may himself set up such refusal as a defense to his own performance. (Civ. Code, secs. 1440, 1511, par. 3, 1515, and 6 Cal.Jur., pp. 457 to 460;
Alderson
v.
Houston,
Generally a mere threat not to perform will not constitute a repudiation.
(Gold Min. & Water Co.
v.
Swinerton, supra,
It is unnecessary to determine whether the proceedings before the National Labor Relations Board furnish grounds for collateral estoppel which would preclude the plaintiffs from contesting the defendants’ right to deny them employment on the remaining days of the work week commencing October 5th. (See
Teitelbaum Furs, Inc.
v.
Dominion Ins. Co., Ltd., supra,
In their reply brief plaintiffs seek to apply the doctrine of collateral estoppel to their advantage by reference to proceedings, not a part of the record, in which the Unemployment Insurance Appeals Board determined that the plaintiff-employees had involuntarily left their work and were not precluded from benefits by the provisions of section 1262 of the Unemployment Insurance Code, and in which the Superior Court in and for the City and County of San Francisco upheld that determination by denying a writ of mandate. (Cf.
Coast Packing Co.
v.
California Unemp. Ins. Appeals Board
(1966)
The judgment is affirmed.
Molinari, P. J., and Elkington, J., concurred.
A petition for a rehearing was denied April 17, 1968, and appellants’ petition for a hearing by the Supreme Court was denied May 22,1968.
Notes
A separate defendant, who denies membership in any association, appeared separately, and after its demurrer was overruled filed an answer and cross-complaint. Neither that defendant nor those proceedings are before this court on this appeal.
The practice of interposing a motion for summary judgment before answering has been upheld.
(Snider
v.
Snider
(1962)
The agreement is attached to the complaint and incorporated in it by reference.
This-letter is attached to the complaint as an exhibit.
This memorandum, as well as other material sent to the employers, is attached to the complaint,
“That with respeet to the Affidavit of Andrew H. Field, said Union admits that it brought and pursued unfair labor practice charges before the National Labor Eelations Board but that with respect to both the subject of preemption and the subject of. arbitration under the contract, the answers are legal in nature and adequately disposed of in the! Memorandum" of Points and Authorities ífiled simultaneously with"' this Affidavit .-. . . Specifically, the unfair labor practice charge" before the Board . . . never purported to deal with thé contract claim being asserted herein; . ,
The Article reads as follows: 1 ‘ Section (a) Any dispute that may arise as to the interpretation of this Agreement shall be brought to the attention of the other party to this Agreement. Any dispute must be taken up with the Employer within thirty (30) days of the date the Union, has knowledge thereof, *466
The question of whether the civil action should be stayed or dismissed (cf.
Cone
v.
Union Oil Co., supra,
Defendants have cited some authorities which tend to indicate that the question of arbitrability should itself be arbitrated. (See
Local No. 824, United Brotherhood of Carpenters, etc. AFL-CIO
v.
Brunswick Corp.
(6th Cir. 1965)
The circumstance that the merits of the case are clearly in favor of one party over another would not preclude arbitration, if the controversy was otherwise arbitrable.
(Steelworkers
v.
American Mfg. Co.
(1960)
It is also conceivable that a probe of the facts in connection with the agreement to extend the contract would reveal that the agreement itself was advice that the forthcoming work week was predetermined to end on Monday with the agreed extension of the contract unless a further extension was effected.
