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286 U.S. 427
ATLANTIC CLEANERS & DYERS, Inc., et al.
Argued April 28, 1932.
Decided May 23, 1932.
[286 U.S. 427, 428] Messrs. Dale D. Drain and Alvin L. Newmyer, both of Washington, D. C., for appellants.
[286 U.S. 427, 430] Mr. John LordO'Brian, Asst. to Atty. Gen., for the United States.
[286 U.S. 427, 431]
Mr. Justice SUTHERLAND delivered the opinion of the Court.
This is a suit brought by the United States against appellants to enjoin them from continuing, in the District of Columbia, an alleged combination and conspiracy in restraint of trade and commerce in cleaning, dyeing, and otherwise renovating clothes, contrary to section 3 of the Sherman Anti-Trust Act, c. 647, 26 Stat. 209, U. S. C. title 15, 3 (15 USCA 3). Appellants answered, setting up affirmatively that they were engaged solely in the performance of labor and rendering service in cleaning, dyeing, and renovating wearing apparel and other articles which had passed into the hands of the ultimate consumers thereof, and that this did not constitute trade or commerce within the meaning of the Anti-Trust Act. Upon motion the answer was stricken from the files, on the ground that the matter pleaded was not a valid defense. Appellants elected to stand upon their answers; and a decree was entered as prayed. The case comes here by appeal under the provisions of the Act of February 11, 1903, c. 544, 32 Stat. 823, U. S. C. title 15, 29 (15 USCA 29); Swift & Co. v. United States, 276 U.S. 311, 322 , 48 S. Ct. 311; United States v. California Co-op. Canneries, 279 U.S. 553, 558 , 49 S. Ct. 423.
Upon the facts which stand admitted and those affirmatively pleaded by the answers, the sole question to be determined is whether, within the meaning of section 3 of the Sherman Anti-Trust Act, appellants are engaged in trade or commerce in the District of Columbia.
The facts, established as above, are that they are carrying on the business of cleaning, dyeing, and renovating wearing apparel at plants located in the District, in part, and in some cases principally, at wholesale pursuant to contracts or engagements with numerous so-called retail [286 U.S. 427, 432] dyers and cleaners who maintain shops in the District for receiving from the public clothing to be cleaned, dyed, or otherwise renovated. Appellants, in Angust, 1928, met together in the District and agreed to raise the then current prices charged for cleaning, dyeing, and renovating clothes, and formulated and agreed upon certain minimum and uniform prices, which they, and each of them, should thereafter charge and receive for the performance of such service. They further agreed to assign and allot to one another the retail dyers and cleaners, who, thereupon, were to be held, respectively, as exclusive customers. The agreement to maintain prices and assign and allot customers has been and is being carried into effect.
Section 1 and 3 of the Sherman Anti-Trust Act (15 USCA 1, 3) provide as follows:
The words describing the activity declared to be illegal are the same in both sections, namely, 'restraint of trade or commerce.' The contention on behalf of appellants is that the words, being identical, should receive the same construction in section 3 as in the preceding section 1; that section 1 rests solely on the commerce clause of the Constitution; that the words 'trade or commerce' in section 1 cannot be broader than the single word 'commerce' as used in that clause; and that commerce does not include a business such as that carried on by appellants. [286 U.S. 427, 433] Assuming, but not deciding, that, if the acts here charged had involved interstate transactions, appellants would not come within the provisions of section 1, because the scope of the words 'trade or commerce' must there be limited by the constitutional power to regulate commerce, it does not follow that the same words contained in section 3 should be given a like limited construction. Most words have different shades of meaning, and consequently may be variously construed, not only when they occur in different statutes, but when used more than once in the same statute or even in the same section. Undoubtedly, there is a natural presumption that identical words used in different parts of the same act are intended to have the same meaning. Courtauld v. Legh, L. R., 4 Exch. 126, 130. But the presumption is not rigid and readily yields whenever there is such variation in the connection in which the words are used as reasonably to warrant the conclusion that they were employed in different parts of the act with different intent. Where the subject-matter to which the words refer is not the same in the several places where they are used, or the conditions are different, or the scope of the legislative power exercised in one case is broader than that exercised in another, the meaning well may vary to meet the purposes of the law, to be arrived at by a consideration of the language in which those purposes are expressed, and of the circumstances under which the language was employed. See State v. Knowles, 90 Md. 646, 654, 45 A. 877, 49 L. R. A. 695; Henry v. Trustees, 48 Ohio St. 671, 676, 30 N. E. 1122; Feder v. Goetz (C. C. A.) 264 F. 619, 624; James et al. v. City of Newberg et al., 101 Or. 616, 619, 201 P. 212; In re County Seat of Linn County, 15 Kan. 500, 527.
It is not unusual for the same word to be used with different meanings in the same act, and there is no rule of statutory construction which precludes the courts from giving to the word the meaning which the Legislature intended it should have in each instance. Louisville & N. [286 U.S. 427, 434] R. Co. v. Gaines (C. C.) 3 F. 266, 277, 278. Thus, for example, the meaning of the word 'Legislature,' used several times in the Federal Constitution, differs according to the connection in which it is employed, depending upon the character of the function which that body in each instance is called upon to exercise. Smiley v. Holm, 285 U.S. 355 , 52 S. Ct. 397, 76 L. Ed. -, decided April 11, 1932. And, again in the Constitution, the power to regulate commerce is conferred by the same words of the commerce clause with respect both to foreign commerce and interstate commerce. Yet the power when exercised in respect of foreign commerce may be broader than when exercised as to interstate commerce. In the regulation of foreign commerce an embargo is admissible; but it reasonably cannot be thought that, in respect of legitimate and unobjectionable articles, an embargo would be admissible as a regulation of interstate commerce, since the primary purpose of the clause in respect of the latter was to secure freedom of commercial intercourse among the states. See Groves et al. v. Slaughter, 15 Pet. 449, 505; Southern Steamship Company v. Portwardens, 6 Wall. 31, 32, 33; Buttfield v. Stranahan, 192 U.S. 470, 492 , 24 S. Ct. 349. Compare Russell Motor Car Co. v. United States, 261 U.S. 514, 520 , 521 S., 43 S. Ct. 428.
Section 1 having been passed under the specific power to regulate commerce, its meaning necessarily must be limited by the scope of that power; and it may be that the words 'trade' and 'commerce' are there to be regarded as synonymous. On the other hand, section 3, so far as it relates exclusively to the District of Columbia, could not have been passed under the power to regulate interstate or foreign commerce, since that provision of the section deals not with such commerce but with restraint of trade purely local in character. The power exercised, and which gives vitality to the provision, is the plenary power to legislate for the District of Columbia, conferred by article 1, 8, cl. 17, of the Constitution. Under that clause, [286 U.S. 427, 435] Congress possesses, not only every appropriate national power, but, in addition, all the powers of legislation which may be exercised by a state in dealing with its affairs, so long as other provisions of the Constitution are not infringed. Capital Traction Company v. Hof, 174 U.S. 1, 5 , 19 S. Ct. 580. Undoubtedly, under that extensive power, it was within the competency of Congress to prohibit and penalize the acts with which appellants are here charged; and the only question is whether by section 3 it has done so.
A consideration of the history of the period immediately preceding and accompanying the passage of the Sherman Anti-Trust Act and of the mischief to be remedied, as well as the general trend of debate in both Houses, sanctions the conclusion that Congress meant to deal comprehensively and effectively with the evils resulting from contracts, combinations, and conspiracies in restraint of trade, and to that end to exercise all the power it possessed. In passing section 1, Congress could exercise only the power conferred by the commerce clause; but, in passing section 3, it had unlimited power, except as restricted by other provisions of the Constitution. We are, therefore, free to interpret section 3 dissociated from section 1 as though it were a separate and independent act, and, thus viewed, there is no rule of statutory construction which prevents our giving to the word 'trade' its full meaning, or the more extended of two meanings, whichever will best manifest the legislative purpose. See United States v. Hartwell, 6 Wall. 385, 396; Sacramento Nav. Co. v. Salz, 273 U.S. 326, 329 , 330 S., 47 S. Ct. 368.
We perceive no reason for holding that Congress used the phrase 'restraint of trade' in section 3 in a narrow sense. It is true that the word 'trade' is often employed as importing only traffic in the buying, selling, or exchanging of commodities; but it is also true that frequently, if not generally, the word is used in a broader sense. This is pointed out in The Schooner Nymph, 1 Sumn. 516, 517, 518, 18 Fed. Cas. 506, No. 10,388. Construing section 32 [286 U.S. 427, 436] of the Coasting and Fishery Act of 1793, c. 8, 1 Stat. 305, 316 (46 USCA 325) which declares that any licensed ship, etc., which shall be employed in any other 'trade' than that for which she is licensed, shall be forfeited, Mr. Justice Story in that case said:
A like view was taken by Pollock, B., in Bank of India v. Wilson, L. R., 3 Exch. Div. 108, 119-120.1 See, also, [286 U.S. 427, 437] Buckelew v. Martens (N. J. Err. & App.) 156 A. 436; American Laundry Co. v. E. & W. Dry-Cleaning Co., 199 Ala. 154, 74 So. 58; Campbell v. Motion Picture M. Op. Union, 151 Minn. 220, 231, 232, 186 N. W. 781.
We think the word 'trade' was used in section 3 of the Sherman Anti- Trust Act in the general sense attributed to it by Justice Story, and, at least, is broad enough to include the acts of which the government complains.
[ Footnote 1 ] One of the earliest decisions under the common law is Diers Case, 2 Henry V, 5, pl. 26, which arose in the time of Henry V (1414). There a weaver had bound himself for a moderate consideration not to follow his craft within the town for a limited time. Before the expiration of the time, however, his necessities sent him back to the loom, and an action against him for damages was brought. The learned judge, in deciding the case, not only held the obligation to be void, but quite evidently considered it criminal as well. With some display of feeling he said: 'The obligation is void as being contrary to the common law and by G_____ if the plaintiff were here he should go to prison until he paid a fine to the King.' And even a century or two later, when the rule in respect of contracts in restrain of trade had become less strict, in Mitchell v. Reynolds, 1 Peere Williams 181, 193, Parker, C. J., referring to Diers Case, approved the indignation of the judge, 'tho' not his manner of expressing it.'