Feminist Women's Health Center, Inc. v. Mohammad

415 F. Supp. 1258
CourtDistrict Court, N.D. Florida
DecidedJune 9, 1976
DocketTCA 75-186
StatusPublished
Cited by9 cases

This text of 415 F. Supp. 1258 (Feminist Women's Health Center, Inc. v. Mohammad) is published on Counsel Stack Legal Research, covering District Court, N.D. Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Feminist Women's Health Center, Inc. v. Mohammad, 415 F. Supp. 1258 (N.D. Fla. 1976).

Opinion

ORDER DENYING PRELIMINARY INJUNCTION

STAFFORD, District Judge.

This case is before the court for consideration of plaintiff’s motion for preliminary injunction. An evidentiary hearing concerning the interlocutory injunctive relief sought by the plaintiff was held on May 14, 1976. Before proceeding to consider the merits of that motion for preliminary injunction it will be well to set out the court’s view of the nature of this case and that evidentiary burden which falls upon each side in this litigation.

Plaintiff has brought this action under §§ 1 and 2 of the Sherman Act, 15 U.S.C. §§ 1, 2, alleging essentially a combination or conspiracy in the nature of a boycott. Historically, in antitrust decisions dealing with boycotts in a strictly commercial setting, pleading and proof of a combination or conspiracy in the form of a boycott has been held to constitute a per se violation of the Sherman Act. United States v. General Motors Corp., 384 U.S. 127, 144, 86 S.Ct. 1321, 1330, 16 L.Ed.2d 415, 426 (1966); Radiant Burners, Inc. v. Peoples Gas, Light and Coke Co., 364 U.S. 656, 658-60, 81 S.Ct. 365, 366-67, 5 L.Ed.2d 358, 360-61 (1961); Klor’s Inc. v. Broadway Hale Stores, 359 U.S. 207, 79 S.Ct. 705, 3 L.Ed.2d 741 (1959). The effect of pleading a per se violation of the Sherman Act historically has meant that the plaintiff need not prove that a restraint of trade was unreasonable under the circumstances or that the alleged conspiracy or combination had significant market impact or that it caused public harm, those qualities being presumed conclusively from the nature of the defendants’ conduct and by the policies of the Sherman Act. Klor’s Inc., supra; Annot. 19 A.L.R.Fed. 586, 588-589. Moreover, evidence of the good intentions of defendants has historically been deemed irrelevant in per se cases. Annot. 19 A.L.R.Fed. 586, 590. However, this case presents the problem of applying these historical antitrust doctrines in the *1263 area of a profession which is highly regulated by the state, and intimately concerns the public health and welfare. In its recent opinion of Goldfarb v. Virginia State Bar, 421 U.S. 773, 95 S.Ct. 2004, 44 L.Ed.2d 572 (1975), the Supreme Court intimated that due deference to the state’s interest in controlling and regulating the professions must be given by the federal courts in applying the antitrust laws. Therefore, in the professional context the application of historic antitrust doctrines may be somewhat different from the application of those doctrines in purely commercial settings. In other words, the professions are a special case under the antitrust regulating scheme, and the impact of state regulation and policy must be measured in any action against members of such professions.

The question therefore arises whether the per se doctrine may be applied at all in an antitrust case brought against members of the medical profession and, if so, to what extent? In the court’s view, the per se doctrine does have application in this case, although it must be harmonized with the peculiarities of the profession involved and the dictates of state policy regarding the profession. This is true because, whatever else it may be, the medical profession constitutes in large part the rendering of a service for money and is in that sense a business. See Goldfarb v. Virginia State Bar, supra. Moreover, if an economic boycott is in fact carried out by members of the medical profession it is no less antithetical to .free competition than is an economic boycott carried out by nonprofessionals. However, since the state has authorized members of the medical profession to organize in order to evaluate the standard of medical care and practices of the profession’s constituency, see § 768.131 Florida Statutes (1975), it is the Court’s opinion that, contrary to the ordinary case, good intentions on the part of the defendants here would be a defense to per se violation.

It is therefore the Court’s opinion that the per se doctrine, although it cannot be imported whole cloth into this case, does have application here. The Court is of the opinion that the application of the doctrine in this case requires that the burden of proof be distributed as follows: Plaintiff, of course, carries the burden of proving jurisdiction under the Sherman Act. In addition, plaintiff must establish a case showing a combination or conspiracy in the nature of a boycott, and that such combination or conspiracy resulted in the interference with and damage to plaintiff’s business. But plaintiff need not prove that the restraint of trade occasioned by the combination or conspiracy was unreasonable, that the conspirators had specific intent to violate the antitrust laws, nor that public harm ensued from the actions of the combination. To this extent the application of the per se doctrine in this case is facile. If plaintiffs establish the elements outlined above, defendants must bear the burden of proof on the “good faith” defense.

In the Court’s view this allocation of the burden of proof best balances the policies of the antitrust laws with the public welfare burden borne by the medical profession in this state. The rationale behind the per se rule is thereby not devitalized by the talismatic intonement of the concept of profession. The defendant doctors are not thereby deprived of the right to assert bona fide concern for the public welfare as a defense; but if a prima facie per se case has been established, they must bear the burden of proof on the narrow issue of. whether their action was motivated by a bona fide concern over the existence of satisfactory medical care rather than by concern over the economic impact of competition upon their medical practices. For only if they were motivated by such bona fides can their actions be deemed reasonable under the per se doctrine, if plaintiff has established a prima facie per se case. The foregoing principles have been articulated at some length because they constitute the analytical structure by which it must be judged whether plaintiff has carried its burden of proving a substantial likelihood of success on the merits.

Of course, to be entitled to preliminary injunction, plaintiff must not only *1264 prove that it has a substantial likelihood of success on the merits but it must also prove a substantial threat that it will suffer irreparable harm prior to a trial on the merits being held, that the threatened harm to the plaintiff outweighs the harm injunctive relief might do to defendants and that the granting of injunctive relief would not dis-serve the public interest. Canal Authority of the State of Florida v. Callaway, 498 F.2d 567 (5 Cir. 1974).

Plaintiff’s Likelihood of Success on the Merits

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Bluebook (online)
415 F. Supp. 1258, Counsel Stack Legal Research, https://law.counselstack.com/opinion/feminist-womens-health-center-inc-v-mohammad-flnd-1976.