
Before
MEDINA and HINCKS, Circuit Judges, and LEIBELL, District Judge.
LEIBELL,
District Judge.
The
question to be decided on this appeal concerns the power of the Federal
Trade Commission under Section 9 of the Federal Trade Commission Act, 15
U.S.C.A. s 49, to subpoena documents and records of third parties 'In
the Matter of A. G. Spalding & Bros. Inc.,' a corporation against
which the Commission had filed a complaint, charging it with a violation
of Section 7 of the Clayton Act, T. 15 U.S.C. s 18. [FN1] The District
Court denied an application by the Commission for an order enforcing a
subpoena duces tecum to compel Ernst & Ernst, the accountants for
the Athletic Goods Manufacturers Association, to produce records of
members of the Association in the possession of the accountants, and
their own records relating thereto.
[FN1. 'No
corporation engaged in commerce shall acquire, directly or indirectly,
the whole or any part of the stock or other share capital and no
corporation subject to the jurisdiction of the Federal Trade Commission
shall acquire the whole or any part of the assets of another corporation
engaged also in commerce, where in any line of commerce in any section
of the country, the effect of such acquisition may be substantially to
lessen competition, or to tend to create a monopoly.]'
On
December 8, 1955, the Commission issued a complaint against A. G.
Spalding & Bros. Inc. charging it with a violation of Section 1 of
the Clayton Act in that the Spalding corporation, one of the four
largest manufacturers and distributors of athletic goods in the United
States, had acquired on or about December 6, 1955, all of the
outstanding capital stock of the Rawlings Manufacturing Company, which
was also one of the four largest in that field. The complaint further
charged, in some detail, that by the acquisition of the Rawlings stock,
Spalding had eliminated a large competitor, and that the acquisition of
the stock would have the effect of substantially lessening competition
or tending to create a monopoly in the manufacture and distribution of
athletic goods.
In the
course of the hearing, which an examiner of the Federal Trade Commission
conducted in relation to the charges contained in the complaint, a
subpoena duces tecum was served upon W. W. Tuttle of the accounting firm
of Ernst & Ernst. The accounting firm, under an arrangement made
with the Athletic Goods Manufacturers Association, prepared annually
so-called 'Census Reports' for the Association, based on information the
accounting firm received from the Association's members in the form of
statistical data and memoranda. Under its arrangement with the
Association's members, Ernst & Ernst were to keep in strictest
confidence the data thus received and data was to be destroyed as soon
as it had served the accountants' purpose in the preparation of the
annual census report. The accountants had been preparing these reports
for the Association since 1949. The reports set forth the sales in units
and dollars of various categories and types of athletic equipment.
By a
subpoena dated February 24, 1956, signed by the Federal Trade Commission
Hearing Examiner and addressed to W. W. Tuttle, a partner and resident
manager of Ernst & Ernst, at Boston, Mr. Tuttle was required to
appear and testify at a hearing before the Examiner to be held in the
United States Courthouse in New York City on April 30, 1956, in the
'Matter of A. G. Spalding & Bros. Inc.'; and to bring with him the
following books, papers and documents: '1. Such books, records and
documents as will disclose all correspondence, telegrams, memoranda,
statistics, work papers, bulletins, census and reports prepared,
transmitted or received by Ernst and Ernst, its officers, agent,
employees, boards, council, committee or member thereof of for the past
four years, in the possession or control of Ernst and Ernst and relate
to census reports prepared for the Athletic Goods Manufacturing
Association.'
Ernst
& Ernst only partially complied with the subpoena duces tecum. They
produced the 'census reports' and also, with the permission of the two
corporations, so much of the data as the accounting firm had received
from A. G. Spalding Bros. and Rawlings Manufacturing Company, for the
years 1954 and 1955. Information as to individual companies for the
years prior to 1954 had been destroyed before the institution of the
Commission's proceedings against Spalding. But Ernst & Ernst did not
produce any of the data and information they had received from the other
individual companies who were members of the Association for the years
1954 and 1955, or their own records.
The
Federal Trade Commission on May 17, 1956, filed a petition in the United
States District Court, Southern District of New York, for an order
compelling Mr. Tuttle, resident manager of Ernst & Ernst, to fully
comply with the requirements of the subpoena duces tecum. The
jurisdiction of the District Court to hear and consider the petition is
derived from the third unnumbered paragraph of Section 9 of the Federal
Trade Commission Act. [FN2]
[FN2.
Section 9 of the Federal Trade Commission Act provides, T. 15 U.S.C.A. s
49, Chap. 311, s 9, 38 Stat. 722: 's 49. Documentary evidence;
depositions; witnesses 'For the purposes of sections 41-46 and 47-58 of
this title the commission, or its duly authorized agent or agents, shall
at all reasonable times have access to, for the purpose of examination,
and the right to copy any documentary evidence of any corporation being
investigated or proceeded against; and the commission shall have power
to require by subpoena the attendance and testimony of witnesses and the
production of all such documentary evidence relating to any matter under
investigation. Any member of the commission may sign subpoenas, and
members and examiners of the commission may administer oaths and
affirmations, examine witnesses, and receive evidence.]
'Such
attendance of witnesses, and the production of such documentary
evidence, may be required from any place in the United States, at any
designated place of hearing. And in case of disobedience to a subpoena
the commission may invoke the aid of any court or the United States in
requiring the attendance and testimony of witnesses and the production
of documentary evidence.
'Any of
the district courts of the United States within the jurisdiction of
which such inquiry is carried on may, in case of contumacy or refusal to
obey a subpoena issued to any corporation or other person, issue an
order requiring such corporation or other person to appear before the
commission, or to produce documentary evidence if so ordered, or to give
evidence touching the matter in question; and any failure to obey such
order of the court may be punished by such court as a contempt thereof.
'Upon the
application of the Attorney General of the United States, at the request
of the commission, the district courts of the United States shall have
jurisdiction to issue writs of mandamus commanding any person or
corporation to comply with the provisions of sections 41-46 and 47-58 of
this title or any order of the commission made in pursuance thereof.
'The commission may order testimony to be taken by deposition in any
proceeding or investigation pending under sections 41-46 and 47-58 of
this title at any stage of such proceeding or investigation. Such
depositions may be taken before any person designated by the commission
and having power to administer oaths. Such testimony shall be reduced to
writing by the person taking the deposition, or under his direction, and
shall then be subscribed by the deponent. Any person may be compelled to
appear and depose and to produce documentary evidence in the same manner
as witnesses may be compelled to appear and testify and produce
documentary evidence before the commission as hereinbefore provided.
'Witnesses
summoned before the commission shall be paid the same fees and mileage
that are paid witnesses in the courts of the United States, and
witnesses whose depositions are taken and the persons taking the same
shall severally be entitled to the same fees as are paid for like
services in the courts of the United States.
'No
person shall be excused from attending and testifying or from producing
documentary evidence before the commission or in obedience to the
subpoena of the commission on the ground or for the reason that the
testimony or evidence, documentary or otherwise, required of him may
tend to criminate him or subject him to a penalty or forfeiture. But no
natural person shall be prosecuted or subjected to any penalty or
forfeiture for or on account of any transaction, matter, or thing
concerning which he may testify, or produce evidence, documentary or
otherwise, before the commission in obedience to a subpoena issued by
it: Provided, That no natural person so testifying shall be exempt from
prosecution and punishment for perjury committed in so testifying. Sept.
26, 1914, c. 311, s 9, 38 Stat. 722.'
Mr.
Tuttle filed an answer to the petition and set up three special
defenses:
1. That under
Section 9 of the Federal Trade Commission Act the petitioner, the
Commission, does not have the power or authority to obtain by subpoena
duces tecum documentary evidence of any corporation not being
investigated or proceeded against, and that therefore the Commission
cannot obtain by subpoena from Ernst & Ernst the reports of
individual companies other than Spalding and Rawlings; and that the
Court does not have the power to order the Respondent Tuttle, or Ernst
& Ernst, to produce the reports of those other companies.
2. That Section 9
of the Federal Trade Commission Act if it grants the Commission that
power of subpoena violates the Fifth Amendment of the United States
Constitution, in that the Commission would be taking part of the
business of Ernst & Ernst which it conducts as accountants for
this Association and other similar groups, and would deprive Ernst
& Ernst of a valuable business, without due process of law.
3. That in view
of the hardship it would impose on Ernst & Ernst if they are
required to disclose this confidential information, which they assert
is merely hearsay and not competent proof in the Spalding matter,
enforcement of the subpoena would violate Section 6(c) of the Federal
Administrative Procedure Act, 5 U.S.C.A. s 1005(c), as being
unreasonable and oppressive and therefore not 'in accordance with
law.'
The
District Judge concluded 'that the plain words of Section 9 of the
Federal Trade Commission Act do not authorize the issuance of this
subpoena.' He held that the Commission's power of subpoena under Section
9 was limited to the production of any documentary evidence of any
corporation being investigated or proceeded against; that the respondent
(Mr. Tuttle as Resident Manager of Ernst & Ernst) is neither being
investigated nor proceeded against (nor are the so-called other
companies); and that 'the subpoena is unauthorized and the application
(of the Commission to enforce the subpoena) is denied.'
The
Commission on this appeal contends (1) that the District Court erred in
its construction of the subpoena clause in Section 9 f the Federal Trade
Commission Act; (2) and that although the Court did not reach other
objections to the subpoena raised by respondent, they are without merit
and the subpoena should be enforced.
The respondent-appellee in addition to the contentions asserted in the
special defenses set forth in their answer, argue that the Commission
has no authority to issue a subpoena duces tecum in a proceeding brought
by it to endorce the Clayton Act.
Before
taking up the main issue presented by this appeal, the construction of
Section 9 of the Federal Trade Commission Act, the collateral issues
will be considered.
Section 9
of the Federal Trade Commission Act is not unconstitutional if its
provisions permit the service of the subpoena duces tecum in this case.
The petitioner is seeking the production by the respondent of 150
reports which were furnished by members of the Athletic Goods
Manufacturers Association to Ernst & Ernst to enable it to prepare
the annual 'census report' for the industry. The 150 reports are not
'privileged' or confidential communications. The data sought is relevant
to the issues that will arise under the allegations of the complaint
which the Commission has filed against Spalding, as a reading of the
complaint will show. The 'reports' have a bearing on the competitive
relationship of the members of the Association and will serve to
establish the extent of the market control that may have resulted from
Spalding's purchase of the Rawlings stock. For those reasons also the
subpoena does not violate the Federal Administrative Procedure Act, s
6(c) in relation to subpoenas. [FN3] The subpoena is not unreasonable in
its scope, nor in any way oppressive, and it is in accordance with law,
if the Commission had the power under Section 9 of the Federal Trade
Commission Act, to issue the subpoena.
FN3. T. 5
U.S.C.A. s 1005, Chap. 324, 60 Stat. 237, June 11, 1946.
The use
of the subpoena would not be unconstitutional even if it indirectly had
an adverse effect on a certain part of Ernst & Ernst's accounting
business. The public interest to be served is superior. If the
Association and similar groups wish to have the 'census reports'
prepared annually, accountants from convenient offices of Ernst &
Ernst (they have 60 offices in the United States) could examine the
necessary data at the offices of the Association's members. There
appears to be no reasonable basis for respondent's contention that
either the petitioner or the United States, of which it is an Agency, is
taking respondent's property without due process of law.
Defendant's
contention that the Federal Trade Commission does not have the power to
issue subpoenas in a proceeding under the Clayton Act, overlooks the
fact that both the Clayton Act and Federal Trade Commission Act were
under consideration by the Congress at the same time; [FN4] that the
Congressional debates show that investigations under the Clayton Act
were to be conducted by the Commission; [FN5] that the Commission is
mentioned in Sections 2, 7 and 11 of the Clayton Act; and that under
Section 11 of the Clayton Act, s 21 of T. 15 U.S.C.A., the Federal Trade
Commission is authorized to enforce compliance with Section 7 of the
Clayton Act, s 18 of T. 15 U.S.C.A. Likewise the Commission was granted
the power under Section 1 of the Robinson-Patman Act, s 13 of T. 15
U.S.C.A. to investigate and institute proceedings to enforce the
provisions of the Robinson-Patman Act. The Supreme Court has held that
the Commission possesses 'broad power of investigation and subpoena'
which it may use prior to the filing of a complaint for price
discrimination, a violation of the Robinson-Patman Act. Automatic
Canteen Co. v. F.T.C., 346 U.S. 61, 79, 73 S.Ct. 1017, 1027, 97 L.Ed.
1454. The subpoena power necessary for that purpose is found in Section
9 of the Federal Trade Commission Act. The Robinson-Patman Act contained
no subpoena powers.
[FN4. The
Federal Trade Commission Act was enacted by the 63rd Congress, 2nd
Session on September 26, 1914, 15 U.S.C.A. s 45 et. seq., and the
Clayton Act was enacted October 15, 1914, 15 U.S.C.A. s 12 et seq.]
[FN5. 51
Cong.Rec. 12918; 14475; 13214; 14090; 14222; 16162; 16319; 16332.]
An
adequate subpoena power is essential to any investigation of offenses
under the Clayton Act [FN6] and to the enforcement of Section 7 of that
Act. The Congress evidently concluded that it was unnecessary to
incorporate the full subpoena power in both Acts and was content to set
it forth in Section 9 of the Federal Trade Commission Act. [FN7] The
Congress followed a similar course in later anti-monopoly and unfair
trade-practices Acts, [FN8] relating to certain specific industries
or markets, and it did not in those Acts set forth the subpoena powers
required for the investigations to be conducted by the Commission.
[FN6.
Chap. 323, 38 Stat. 730, Oct. 15, 1914.]
The
Federal Trade Commission Act supplements the Clayton and Sherman Acts,
15 U.S.C.A. 1 et seq.; and Section 5 of the Federal Trade Commission Act
'minimally . . . registers violations of the Clayton and Sherman Acts.' Times-Picayune
Pub. Co. v. United States, 345 U.S. 594, 609, 73 S.Ct. 872, 880, 97
L.Ed. 1277. The Federal Trade Commission has the power to suppress as
unfair competition, practices of a combination that run counter to the
public policy declared in the Sherman and Clayton Acts. Fashion
Originators Guild v. Federal Trade Comm., 312 U.S. 457, 463
(footnote 4), 61 S.Ct. 703, 85 L.Ed. 949.
[FN7. See
opinion of Thomsen, C.J. (Md.) in Federal Trade Commission v. Menzies,
D.C., 145 F.Supp. 164, 168 in support of this power, and opinion of
Judge Dimock in Federal Trade Commission v. Rubin, D.C.S.D.N.Y.,
145 F.Supp. 171, contra, presently on appeal to this Court, 245 F.2d
60.]
On appeal
to the Fourth Circuit Court of Appeals, that Court, in an opinion by
Parker, C.J., Menzies v. Federal Trade Comm., 242 F.2d 81,
affirmed on March 7th Judge Thomsen's decision in the Menzies case, and
held that in a proceeding against three corporations, which were charged
with the violation of Section 2(a) of the Clayton Act as amended by the
Robinson- Patman Act, the Federal Trade Commission could exercise its
right to subpoena records under Section 9 of the Federal Trade
Commission Act.
A recent
(Feb. 15, 1957) opinion of Judge Hoffman, F.T.C. v. Bowman,
D.C.Ill., 149 F.Supp. 624, 627, holds that the 'subpoena power conferred
upon the Commission is available to it in the discharge of its duties
under the Clayton Act,' citing F.T.C. v. Reed Candy Co., another
Northern District Illinois case, decided June 12, 1956.
[FN8. The
Acts under which the Federal Trade Commission exercises responsibilities
are listed in Section 1.2 entitled 'Laws Administered' under Subpart A
of Part 1, setting forth general procedures and rules of practice of the
Federal Trade Commission, 15 U.S.C.A. following section 45.]
The main
issue on this appeal is the scope of the subpoena power given the
Federal Trade Commission in Section 9 of the Federal Trade Commission
Act. The argument of respondent on that point is that the subpoena power
is limited to documents and records of the corporation being
investigated or proceeded against, which in this case would be the
Spalding corporation and possibly the Rawlings corporation. Respondents
stress the use of the word 'such' in the first sentence of Section 9,
which states:
'Sec. 9.
That for the purpose of this Act the commission, or its duly authorized
agent or agents, shall at all reasonable times have access to, for the
purpose of examination, and the right to copy any documentary evidence
of any corporation being investigated or proceeded against; and the
commission shall have power to require by subpoena the attendance and
testimony of witnesses and the production of all such documentary
evidence relating to any matter under investigation.'
The word
"such' is a rather slippery word' as Judge Dobie remarked in United
States v. Legg, 4 Cir., 157 F.2d 990, 992. Some of its many meanings,
depending upon its context, are discussed in 83 C.J.S. p. 771. As a rule
it is used to refer to an antecedent. The respondent argues that its
antecedent in the first sentence of Section 9 is 'documentary evidence
of any corporation being investigated or proceeded against.' That
contention might appear to be reasonable if we read only the language of
the first sentence of Section 9 disregarding the other provisions of
Section 9; the purpose and policy of the Federal Trade Commission Act;
its legislative history; the Congressional intent; and the effect of
respondent-appellee's construction of Section 9, if adopted, upon the
Commission's functioning under the Act. 'There is sufficient ambiguity
here to permit consideration of relevant legislative history.' Mastro
Plastics Corp. v. National Labor Relations Board, 350 U.S. 270, 287, 76
S.Ct. 349, 360, 100 L.Ed. 309. In that case the Court ruled on 'a
narrowly literal construction of the words' of Section 8(d) of the
National Labor Relations Act, 29 U.S.C.A. s 158(d), as the court
observed in National Labor Relations Board v. Lion Oil Co., 352 U.S.
282, 288, 77 S.Ct. 330, 334, 1 L.Ed.2d 331.
The
Federal Trade Commission Act was the work of the 63rd Congress, 2nd
Session. In April 1914, a bill known as H.R. 15613 was introduced in the
House of Representatives and was referred to its Committee on Interstate
and Foreign Commerce. It was passed by the House on June 5, 1914. On
June 13, 1914, the Senate Committee on Interstate Commerce, to which
H.R. 15613 had been referred, reported as a substitute Senate Bill No.
4160 which had been reported favorably to the Senate on June 6th. The
Senate and House bills went to conference and a conference bill emerged.
The House conference report is No. 1142 and is dated September 4, 1914.
The conference bill was passed by the Congress September 26, 1914, and
as passed contained Section 9 in its present form.
H.R.
15613, in the Second paragraph of Section 10, provided:
'For the
purpose of prosecuting any investigation or proceeding authorized by
this section the commission, or its duly authorized agent or agents,
shall at all reasonable times have access to, for the purpose of
examination, and the right to copy any documentary evidence of any
corporation being investigated or proceeded against.'
And in
Section 16 provided:
'Sec. 16.
That for the purposes of this Act, and in aid of its powers of
investigation herein granted, the commission shall have and exercise the
same powers conferred upon the Interstate Commerce Commission in the
Acts to regulate commerce to subpoena and compel the attendance and
testimony of witnesses and the production of documentary evidence and to
administer oaths.'
Senate
Bill 4160 provided, in the second paragraph of Section 3(g):
'For the
purpose of prosecuting any investigation or proceeding authorized by
this section the commission, or its duly authorized agent or agents,
shall at all reasonable times have access to, for the purpose of
examination, and the right to copy any documents or writings of any
corporation being investigated or proceeded against.'
And in
Section 8 provided:
'Sec. 8.
The commission shall have and exercise the powers possessed by the
Interstate Commerce Commission to subpoena and compel the attendance and
testimony of witnesses and the production of evidence, and to administer
oaths.'
From the
above it appears that the second paragraph of Section 10 of H.R. 15613
and the second paragraph of Section 3(g) of Senate Bill 4160 are almost
identical. The words 'any documentary evidence' appear in the House Bill
and the words 'and documents or writings'
in the Senate Bill.
The
substance of Section 16 of the House Bill is the same as Section 8 of
the Senate Bill.
When it
came to drafting Section 9 of the conference bill (which became the
Federal Trade Commission Act), the language of Section 10 of the House
Bill was followed in the first half of the first sentence of Section 9
of the Act, and then recourse was had to the Interstate Commerce Act,
Section 12, for the second half of the first sentence of Section 9 of
the Act. The conference committee decided to have the Federal Trade
Commission Act contain its own subpoena powers, without reference to the
Interstate Commerce Commission Act.
The last
part of Section 12 of the Interstate Commerce Act, T. 49 U.S.C.A. s 12,
states:
. . . the
commission shall have power to require, by subpoena, the attendance and
testimony of witnesses and the production of all books, papers, tariffs,
contracts, agreements, and documents relating to any matter under
investigation.'
Compare
this with the last part of the first sentence of Section 9 of the
Federal Trade Commission Act which provides:
. . . the
commission shall have power to require by subpoena the attendance and
testimony of witnesses and the production of all such documentary
evidence relating to any matter under investigation.'
What the
draftsman did in incorporating the subpoena provisions of the Interstate
Commerce Act into the conference bill, which became the Federal Trade
Commission Act, was to substitute the words 'Such documentary evidence,'
for the words 'books, papers, tariffs, contracts, agreements, and
documents' of the Interstate Commerce Act. But by moving the subpoena
provision from its place in Section 16 of the House Bill, No. 15613, to
a position in the conference bill where it would immediately follow
Section 10 of the House bill, relating to the Commission's right of
access to 'any documentary evidence of any corporation being
investigated or proceeded against,' the draftsman introduced the word
'such' which has given rise to the main issue on this appeal. The word
'such' was placed in a position where it might be argued, as the
respondents do here, that the word 'such documentary evidence' in the
second half of the first sentence of Section 9 of the Act were subject
to the limitation that it must be the 'documentary evidence of any
corporation being investigated or proceeded against,' mentioned in the
first half of that sentence.
The
draftsman of the conference bill that became the Federal Trade
Commission Act took the first sentence of paragraph 2 of Section 12 of
the Interstate Commerce Act (without change) and made it the first
sentence of the second paragraph of Section 9 of the Federal Trade
Commission Act, so that it reads: 'Such attendance of witnesses, and the
production of such documentary evidence, may be required from any place
in the United States, at any designated place of hearing.' In the
Interstate Commerce Act the words 'such documentary evidence' refer to
'all books, papers, tariffs, contracts, agreements, and documents.'
Section 12 of the Interstate Commerce Act is also the source of other
provisions of Section 9 of the Federal Trade Commission Act, including
those relating to recourse to the District Court to enforce the
Commission's subpoenas and the taking of testimony by deposition.
Respondent's
narrow construction of the first sentence of the first paragraph of
Section 9 is in direct conflict with the broad provisions of the fifth
paragraph of that section, relating to the taking of testimony by
deposition 'in any proceeding or investigation pending under this Act.'
The word 'such' is not used in relation to 'documentary evidence' in any
part of the fifth paragraph. That paragraph contains no limitation on
the origin of the 'documentary evidence'; and any person 'may be
compelled to appear and depose and to produce documentary evidence in
the same manner as witnesses may be compelled to appear and testify and
produce documentary evidence before the commission as hereinbefore
provided.' The compulsion would be supplied by an order of the District
Court in the manner provided in the third paragraph of Section 9. If
respondent's construction of the first sentence of Section 9 were
correct, the result would be incongruous. A witness subpoenaed to
produce documents at a hearing before an Examiner, could not be
compelled to produce documents of persons other than the corporation
under investigation; but if the testimony of the witness was being taken
by deposition he could be compelled to produce the documents.
A
provision appearing in the last paragraph of Section 9 of the Federal
Trade Commission Act grants to natural persons testifying or producing
documentary evidence under subpoena, immunity from prosecution or
penalty or forfeiture 'for or on account of any transaction, matter, or
thing concerning which he may testify, or produce evidence, documentary
or otherwise, before the commission in obedience to a subpoena issued by
it: Provided, That no natural person so testifying shall be exempt from
prosecution and punishment for perjury committed in so testifying.'
A natural
person does not have the protection of the Fifth Amendment of the
Constitution in respect to books and papers of a corporation which are
in his physical possession, even though they contain matters which might
tend to incriminate him. (Wilson v. United States, 221 U.S. 361,
31 S.Ct. 538, 55 L.Ed. 771.) The inference is warranted that the
'immunity' provision was made part of Section 9 of the Federal Trade
Commission Act, in order that the Commission might compel the production
of books and papers belonging to natural persons, or to partnerships
being examined through a resident partner (Ernst & Ernst through Mr.
Tuttle). That conclusion negatives the idea that the subpoena power of
the Commission under Section 9 is limited to documents of a corporation
under investigation or being proceeded against.
The
limited construction of the word 'such,' contended for by the
respondents, would also result in this anomalous situation-- that oral
testimony could be elicited by the Commission in examining a witness
under subpoena, concerning transactions reported in the books and
records of the individual or partnership, but the books and records
themselves could not be subpoenaed.
If the
power of the Commission to subpoena records is limited to records of
corporations being investigated or proceeded against, and if there is no
right to subpoena records of individuals or partnerships under Section 9
of the Act, how could the Commission fulfill its duties under Section 5
of the Act, relating to 'unfair methods of competition,' which
specifically includes violations by a 'person, partnership or
corporation'? s 45 of T. 15 U.S.C.A. This is further evidence of the
destructive effect which the construction the respondents herein place
upon the word 'such,' in the first sentence of Section 9 of the Act,
would have upon the proper functioning of the Commission.
Further,
if the second half of the first sentence of Section 9 limits the
subpoena power of the Commission to documents of the corporation under
investigation, to which the Commission is given access and the right to
make copies under the first half of the sentence, of what use is the
grant of the power of subpoena? The Commission could get all the
information it wanted from the corporation under the access and copying
power. Respondent's construction of the language granting the subpoena
power, would in effect render the subpoena power useless-- an absurd
result never contemplated by the Congress.
As the
Supreme Court has repeated several times: 'In expounding a statute, we
must not be guided by a single sentence or member of a sentence, but
look to the provisions of the whole law, and to its object and
policy." United States v. Boisdore's Heirs, 8 How. 113, 121,
12 L.Ed. 1009, quoted in Mastro Plastics Corp. v. National Labor
Relations Board, 350 U.S. 270, 285, 76 S.Ct. 349, 359, and in National
Labor Relations Board v. Lion Oil Co., 352 U.S. 282, 77 S.Ct. 330.
To the same effect, see United States v. American Trucking Ass'ns,
310 U.S. 534, 542 and 543, 60 S.Ct. 1059, 84 L.Ed. 1345.
Finally,
the respondent's narrow construction of the words 'such documentary
evidence' as used in the first paragraph of Section 9 of the Act would
impair the proper functioning of the Commission. The accounting firm,
having in its possession data supplied by third parties 'relating to any
matter under investigation' by the Commission, would be immune from
subpoena for the production of the data, and the third parties
themselves would likewise be immune. The Commission would be limited to
the documentary evidence of the corporation being investigated, even
though the investigation concerned the effect of the monopolistic
acquisitions or unfair competitive practices of that corporation on
others in the industry. Proof of the extent of the monopolistic trend of
acquisitions by a corporation and their effect on the industry might
well be found in the records of other corporations in the same industry.
Without those records the Commission might fail to establish important
allegations of its complaint.
It was
clearly the purpose of the Congress that the Commission should have
adequate subpoena power to perform its duties. In reporting H.R. 15613
the House Committee state (House Report 533):
'In order
that the Commission may have ample power of subpoena and production of
books and papers the language of section 16 of the bill has been
expressly made broad enough to permit a full exercise of that power in
connection with any kind of investigation which may be undertaken.'
The
report of the Senate Committee (Senate Report No. 597) on the House bill
as redrafted by the Senate, stated:
. . . it
is indispensable that it (the Commission) should have extensive power of
inquiry, with the right to subpoena witnesses and to require the
production of books and papers. The powers which, according to this bill
are granted to the commission, are practically the same as those now
granted to the Interstate Commerce Commission or the Bureau of
Corporations . . . [FN9]
[FN9. The
Act to establish the Department of Commerce and Labor Ch. 552, 32 Stat.
827 enacted February 14, 1903, contained provisions for a Bureau of
Corporations, s 6; and that Bureau was given the same power to compel
the attendance and testimony of witnesses and the production of
documentary evidence as was conferred upon the Interstate Commerce
Commission.]
In a
report on the Conference Bill (Report No. 1142) made to the House on
September 14, 1914, it was stated that in the Conference Bill 'the
administrative process for conducting investigations, summoning
witnesses and punishing violations is substantially as in the House
bill,' i.e., the same as the power possessed by the Interstate Commerce
Commission.
A correct
interpretation of the long first sentence of Section 9 of the Federal
Trade Commission Act should recognize the fact that it grants two
separate powers to the Commission, and that the language granting those
distinct powers is separated by a semi-colon. The first grants the right
of access to and the right to copy any documentary evidence of the
corporation being investigated or proceeded against. The second grants a
subpoena power for the production of documentary evidence relating to
any matter under investigation.
In the
second half of the first sentence of Section 9 the words 'the production
of all such documentary evidence relating to any matter under
investigation' should be construed to mean 'the production of all
documentary evidence relating to any matter under investigation,' thus
eliminating the word 'such.' That will comply with the policy and
purposes of the Act itself.
The
policy of the Act must be considered, and its purposes, in construing
the powers given the Commission to function under the Act. Even if the
plain meaning of the wording of a statute is apparent, the Supreme Court
will not apply that meaning if that would lead to 'absurd or futile
results.' The Court 'has looked beyond the words to the purpose of the
act.' And frequently, when the plain meaning produces 'merely an
unreasonable (result which is) 'plainly at variance with the policy of
the legislation as a whole " the Supreme Court 'has followed that
purpose, rather than the literal words.' United States v. American
Trucking Ass'ns, 310 U.S. 534, on page 543, 60 S.Ct. 1059, on page
1064, and cases cited.
In the
case of Federal Trade Commission v. Bowman, D.C., 149 F.Supp.
624, 627, decided by Judge Hoffman on February 15, 1957, the Federal
Trade Commission had filed in the District Court, Northern District of
Illinois, a petition for the enforcement of a subpoena duces tecum
directing Wilson & Co. to produce certain records, in this same
proceeding of Federal Trade Commission v. A. G. Spalding & Bros.
Inc. In resisting the effort of the Federal Trade Commission to compel
the production of the Wilson Company's records under subpoena in the
'proceeding' against Spalding, the Wilson Company made the same
contention advanced by the respondent in the case at bar, namely that
the word 'such' as used in the second half of the first sentence of
Section 9 of the Federal Trade Commission Act, relates only to the
records of a corporation being investigated or proceeded against. Judge
Hoffman's opinion states:
'It is
unnecessary to decide whether the defendant's interpretation attaches
more significance to the word 'such' than it can reasonably be made to
bear. The argument fails upon another ground. Conceding that the Wilson
company is not being 'proceeded against' within the meaning of the
quoted portion of Section 9, the question remains whether the company is
'being investigated' as that term is used in the Act. Section 6 of the
Federal Trade Commission Act, 38 Stat. 721, 15 U.S.C.A. s 46 . . .
Judge
Hoffman held that the Wilson company could be termed a corporation
'being investigated.'
Without
expressing any opinion on the applicability of Section 6 of the Federal
Trade Commission Act (relating to investigations by the Commission) to
the records of a corporation whose officer is to be examined as a
witness in a 'proceeding' against another corporation, we conclude that
the Bowman case is not a precedent contra to the construction we have
given to the first sentence of Section 9 of the Federal Trade Commission
Act.
Section
6(f) of the Federal Trade Commission Act gives the Commission the power:
'(f) To
make public from time to time such portions of the information obtained
by it hereunder, except trade secrets and names of customers, as it
shall deem expedient in the public interest; and to make annual and
special reports to the Congress and to submit therewith recommendations
for additional legislation; and to provide for the publication of its
reports and decisions in such form and manner as may be best adapted for
public information and use.'
The
respondents contend that the information sought by the Commission under
the subpoena in the case at bar would include the sales records of the
individual companies and that those records may be properly classified
as 'trade secrets.' Assuming, arguendo, that sales records of the
individual companies are trade secrets under Section 6(f), all that that
section forbids is the publication of 'trade secrets and names of
customers,' in public reports that the Commission may make 'from time to
time' which it 'shall deem expedient in the public interest.' That does
not mean that 'trade secrets and names of customers' may not be
subpoenaed by the Commission in any proceeding or investigation under
the Act. They may be subpoenaed in litigation in the Federal Courts, if
the information is relevant and necessary to the presentation of a case.
4 Moore, Federal Practice, s 26.22 p. 1087.
The
Clayton Act and the Federal Trade Commission Act have been in effect
since 1914. The Commission has consistently followed the subpoena
practice that is here challenged. Only within the last two years has the
legality of that practice been questioned. An 'administrative practice
does not avail to overcome a statute so plain in its commands as to
leave nothing for construction'; but an 'administrative practice,
consistent and generally unchallenged, will not be overturned except for
very cogent reasons if the scope of the command is indefinite and
doubtful.' Judge Cardozo in Norwegian Nitrogen Products Co. v. United
States, 288 U.S. 294, 315, 53 S.Ct. 350, 358, 77 L.Ed. 796. And
'Courts are slow to disturb the settled administrative construction of a
statute long and consistently adhered to' especially where 'the declared
will of the legislative body could not be carried out without the
construction adopted.' (Mr. Justice Stone in Alaska Steamship Co. v.
United States, 290 U.S. 256, 262, 54 S.Ct. 159, 161, 78 L.Ed. 302.
For the
reasons stated in this opinion, the order of the District Court is
reversed and the mandate will direct that the District Court enter an
order compelling the respondent to comply with the subpoena duces tecum
at a time and place to be fixed by the Court.
DISSENTING
OPINION
MEDINA,
Circuit Judge (dissenting).
Section 9
of the Federal Trade Commission Act, 38 Stat. 722, 15 U.S.C.A. s 49,
provides:
'That for
the purposes of this Act the commission, or its duly authorized agent or
agents, shall at all reasonable times have access to, for the purpose of
examination, and the right to copy any documentary evidence of any
corporation being investigated or proceeded against; and the commission
shall have power to require by subpoena the attendance and testimony of
witnesses and the production of all such documentary evidence relating
to any matter under investigation.' (Emphasis added.) I think it clear
beyond cavil, and my brothers seem to agree, that the phrase 'such
documentary evidence' is susceptible of no interpretation other than
'documentary evidence of any corporation being investigated or proceeded
against.' Were the words capable of some other interpretation, it should
not be adopted, for 'the plain, obvious and rational meaning of a
statute is always to be preferred to any curious, narrow, hidden sense
that nothing but the exigency of a hard case and the ingenuity and study
of an acute and powerful intellect would discover.' Old Colony R. Co.
v. Commissioner, 284 U.S. 552, 560, 52 S.Ct. 211, 213, 76 L.Ed. 484;
Lynch v. Alworth-Stephens Co., 267 U.S. 364, 370, 45 S.Ct. 274,
69 L.Ed. 660. See also Crane v. Commissioner, 331 U.S. 1, 6, 67
S.Ct. 1047, 91 L.Ed. 1301.
Nevertheless,
my brothers have concluded that the word 'such' crept into the statute
inadvertently and that we have power to 'eliminate' it in applying the
statute. This they do, referring to the process as one of
'construction.' But the Supreme Court has indicated the proper bounds of
'construction,' declaring it permissible 'To let general words draw
nourishment from their purpose,' but not 'To draw on some unexpressed
spirit outside the bounds of the normal meaning of words.' Addison v.
Holly Hill Fruit Products Co., 332 U.S. 607, 617, 64 S.Ct. 1215,
1221, 88 L.Ed. 1488. The Court condemned legislation in the guise of
'construction,' saying in 332 U.S. at page 618, 64 S.Ct. at page 1221:
'While
the judicial function in construing legislation is not a mechanical
process from which judgment is excluded, it is nevertheless very
different from the legislative function. Construction is not legislation
and must avoid 'that retrospective expansion of meaning which properly
deserves the stigma of judicial legislation.' Kirschbaum Co. v.
Walling, 316 U.S. 517, 522, 62 S.Ct. 1116, 1119, 86 L.Ed. 1638. To
blur the distinctive functions of the legislative and judicial processes
is not conducive to responsible legislation.'
And the
Court said in Railroad Commission of Wisconsin v. Chicago B. &
Q.R.R. Co., 257 U.S. 563, at pages 588-589, 42 S.Ct. 232, at pages
237-238, 66 L.Ed. 371:
'Great
stress is put on the legislative history . . .. Committee reports and
explanatory statements of members in charge made in presenting a bill
for passage have been held to be a legitimate aid to the interpretation
of a statute where its language is doubtful or obscure. Duplex
Printing Press Co. v. Deering, 254 U.S. 443, 475, 41 S.Ct. 172, 65
L.Ed. 349. But when taking the act as a whole, the effect of the
language used is clear to the court, extraneous aid like this cannot
control the interpretation. Pennsylvania R.R. Co. v. International
Coal Mining Co., 230 U.S. 184, 198, 33 S.Ct. 893, 57 L.Ed. 1446; Caminetti
v. United States, 242 U.S. 470, 490, 37 S.Ct. 192, 61 L.Ed. 442.
Such aids are only admissible to solve doubt and not to create it.' As
the Court said in Oklahoma Press Pub. Co. v. Walling, 327 U.S.
186, at page 201, 66 S.Ct. 494, at page 501, 90 L.Ed. 614, 'This case
presents an instance of 'the most explicit language' which leaves no
room for questioning congress' intent.'
My
brothers seek to justify departure from this rule by finding that
limiting the powers of the Commission to those granted by the statute
'would lead to absurd or futile results.' With this conclusion I cannot
agree.
First, it
is said that it would be 'absurd or futile' to provide that witnesses
may be subpoenaed to produce only certain documents, whereas the
provision of 15 U.S.C.A. s 49, that 'Any person may be compelled to
appear and depose and to produce documentary evidence . . .' 'contains
no limitation on the origin of the 'documentary evidence." This
'incongruity,' it is said, provides sufficient excuse and authority for
a court to grant to the Commission a power not contained in the statute
defining its powers. But the premise is faulty. My brothers'
construction fails to take into account the qualifying words immediately
following that part of the statute quoted above. The entire sentence
reads as follows: 'Any person may be compelled to appear and depose and
to produce documentary evidence in the same manner as witnesses may be
compelled to appear and testify and produce documentary evidence before
the commission as hereinbefore provided.' (Emphasis added.) Thus, there
is no 'incongruity,' 'absurdity' or 'futility': the power to require
production of documents in connection with depositions is precisely the
same as the power to require production of documents by subpoena; it is
unlimited only if the subpoena power is unlimited.
It is
further said that it would be 'absurd' for the Congress to authorize the
Commission to subpoena only those documents to which it had access, for
this 'would in effect render the subpoena power useless.' But my
brothers' construction must fall before the same argument that engenders
it, for if the point has merit would not then the access power be
useless, and would this not be 'an absurd result never contemplated by
the Congress'? The language of the statute and the legislative history
make it clear, however, that the Congress considered the powers of
access and of subpoena separate and distinct. For example, different
penalties are provided for violations of these powers. 15 U.S.C.A. s 50.
I see no force in the argument that the subpoena power must be broader
than the access power.
'Finally,'
my brothers assert, 'the respondent's narrow construction of the words
'such documentary evidence' as used in the first paragraph of Section 9
of the Act would impair the proper functioning of the Commission.' This
conclusion stems, I think, from an erroneous reading of the Act as it
stands. The Commission is undoubtedly empowered to subpoena documents of
corporations 'being investigated.' My brothers give this term a narrow
meaning; they consider that a corporation is 'being investigated' only
if the Commission is contemplating a proceeding against it. Yet Section
6(a) of the Federal Trade Commission Act, 38 Stat. 721, 15
U.S.C.A.
s 46, authorizes the Commission 'to investigate from time to time the
organization, business, conduct, practices, and management of any
corporation engaged in commerce.' Is not a corporation 'being
investigated' if it is the subject of a proper exercise of the
Commission's powers under this section? It has been held that it is, F.T.C.
v. Bowman, D.C.N.D.Ill., 149 F.Supp. 624, decided February 15, 1957,
and appellee agrees that this decision is correct. Nothing to the
contrary may be found in F.T.C. v. Hammond, Snyder & Co., 276
U.S. 586, 45 S.Ct. 461, 69 L.Ed. 800, affirming D.C. 284 F. 886, and F.T.C.
v. American Tobacco Co., 264 U.S. 298, 44 S.Ct. 336, 68 L.Ed. 696;
those cases merely condemned 'fishing expeditions into private papers on
the possibility that they may disclose evidence of crime,' 264 U.S. at
page 306, 44 S.Ct. at page 337, 'when it (the Commission) has no reason
to believe that any violation of law has been committed,' 284 F. at page
888. Thus, there is no need for a judicial redrafting of the statute,
since the Commission is given ample power to obtain the documents of
corporations. And this power is available in the case at bar. To the
extent the Commission finds it necessary to investigate other
corporations in connection with its proceeding against Spalding, it is
empowered to subpoena their papers relating to the matter under
investigation. The subpoena need not be addressed to the corporation
being investigated; any person, including natural persons and
partnerships, may be compelled to produce 'such documentary evidence.'
Although there is a requirement that the documents belong to a
'corporation being investigated or proceeded against,' there is none
that they be in the possession of such a corporation. Hence I would
reverse the decision below and direct the enforcement of the subpoena
insofar as it relates to documentary evidence of the member corporations
pertinent to the matter at hand.
My
brothers seem to be convinced that the word 'such' was accidentally
inserted by the Conference Committee and was unwittingly adopted by both
Houses and by the President. While such a series of mistakes is of
course not beyond the realm of possibility, it is not the only
reasonable explanation for the late introduction of the word. As my
brothers point out, in the earlier versions of the Act the access power
and the subpoena power were found in different sections in different
parts of the Act. It is not unlikely that when the Conference Committee
incorporated both powers into a single section they noticed for the
first time that the power to subpoena documents was broader than the
access power and, since there was no apparent reason why that should be
so, they deliberately correlated the two.
Although
I agree there do exist indications that the Congress omitted to grant a
power it has intended to grant, I am nevertheless unable to adopt the
position taken by my brothers, for I do not understand that the
intention of the legislators is law even though that intention has not
found expression in legislation, or that the courts are free to grant to
administrative agencies powers in excess of those specifically enacted
by the Congress. 'Legislation introducing a new system is at best
empirical, and not infrequently administration reveals gaps or
inadequacies of one sort or another that may call for amendatory
legislation. But it is no warrant for extending a statute that
experience may disclose that it should have been made more
comprehensive.' Addison v. Holly Hill Fruit Products Co., supra,
332 U.S. at page 617, 64 S.Ct. at page 1221. Under our Constitution,
that is the business of the Congress and the President, not of federal
judges. See Schwegmann Bros. v. Calvert Distilling Corp., 341
U.S. 384, 396, 397, 71 S.Ct. 745, 751, 95 L.Ed. 1035 (concurring
opinion):
"The
Rules of the House and Senate, with the sanction of the Constitution,
require three readings of an Act in each House before final enactment.
That is intended, I take it, to make sure that each House knows what it
is passing and passes what it wants, and that what is enacted was
formally reduced to writing. It is the business of Congress to sum up
its own debates in its legislation. Moreover, it is only the words of
the bill that have presidential approval, where that approval is given.
It is not to be supposed that, in signing a bill, the President endorses
the whole Congressional Record. For us to undertake to reconstruct an
enactment from legislative history is merely to involve the Court in
political controversies which are quite proper in the enactment of a
bill but should have no place in its interpretation.
Moreover,
there are practical reasons why we should accept whenever possible the
meaning which an enactment reveals on its face. Laws are intended for
all of our people to live by; and the people go to law offices to learn
what their rights under those laws are. . .. Aside from a few offices in
the larger cities, the materials of legislative history are not
available to the lawyer who can afford neither the cost of acquisition,
the cost of housing, or the cost of repeatedly examining the whole
Congressional history. Moreover, if he could, he would not know any way
of anticipating what would impress enough members of the Court to be
controlling. To accept legislative debates to modify statutory
provisions is to make the law inaccessible to a large part of the
country.
By and
large, I think our function was well stated by Mr. Justice Holmes: 'We
do not inquire what the legislature meant; we ask only what the statute
means. Holmes, Collected Legal Papers, 207."
My
brothers find support in the statement of the Supreme Court that
'administrative practice, consistent and generally unchallenged, will
not be overturned except for very cogent reasons if the scope of the
command is indefinite and doubtful.' Norwegian Nitrogen Co. v. United
States, 288 U.S. 294, 315, 53 S.Ct. 350, 358, 77 L.Ed. 796. I fully
subscribe to this principle, but it has no application here, for the
words of the statute 'construed' are neither 'indefinite' nor
'doubtful.' More in point are the accompanying statement that
'administrative practice does not avail to overcome a statute so plain
in its commands as to leave nothing for construction,' and the language
of the Court in United States v. Morton Salt Co., 338 U.S. 632,
at page 647, 70 S.Ct. 357, 366, 94 L.Ed. 401:
"The
fact that powers long have been unexercised may well call for close
scrutiny as to whether they exist; but if granted, they are not lost by
being allowed to lie dormant, any more than nonexistent powers can be
prescripted by an unchallenged exercise." (Emphasis added.)
Hence I dissent from the
broad ruling by my brothers but would reverse and remand the case with
directions to require appellant to comply with the subpoena duces tecum
only to the extent of producing documentary evidence of the various
corporations which I believe fall into the classification of 'any
corporation being investigated,' as I have defined that phrase in what I
have already written, and in accord with the ruling of Judge Hoffman in
the Bowman case. This interpretation of Section 9 of the Federal Trade
Commission Act, 15 U.S.C.A. s 49, harmonizes the various clauses of the
Section and accords to the words, 'such documentary evidence,' their
natural and plain meaning in their context.
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