State v. Coldwell Banker Residential Brokerage Co.

622 P.2d 1185, 95 Wash. 2d 297, 1980 Wash. LEXIS 1441, 1980 Trade Cas. (CCH) 63
CourtWashington Supreme Court
DecidedDecember 31, 1980
Docket46096
StatusPublished
Cited by48 cases

This text of 622 P.2d 1185 (State v. Coldwell Banker Residential Brokerage Co.) is published on Counsel Stack Legal Research, covering Washington Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. Coldwell Banker Residential Brokerage Co., 622 P.2d 1185, 95 Wash. 2d 297, 1980 Wash. LEXIS 1441, 1980 Trade Cas. (CCH) 63 (Wash. 1980).

Opinions

Dolliver, J. —

This case arises under the Consumer Protection Act, RCW 19.86, and concerns alleged unfair trade practices and restraint of trade by 12 real estate companies (brokers). RCW 19.86.020, .030.

The Attorney General alleged that the brokers engaged in illegal tying arrangements, conspiracies in restraint of trade, and unfair methods of competition in the sale of development lots and development houses. The complaint stated that the brokers required the builders who wished to purchase development lots to grant to the selling broker an exclusive right to sell the development houses to be constructed on the development lots. This arrangement is called a list-back. It is alleged brokers used economic power, refusals to deal, disparagement, and threats of disparagement to coerce builders to enter into the list-back arrangements. The State's amended complaint requested an injunction, restitution for injured parties, civil penalties, costs and attorney's fees.

Three brokers filed motions to dismiss the complaint. Coldwell Banker Residential Brokerage Company moved to dismiss the action on the ground that three other cases filed by the State alleging antitrust violations in the operation of real estate multiple listing services had been dismissed by other trial courts. See State v. Tacoma-Pierce County Multiple Listing Serv., 95 Wn.2d 280, 622 P.2d 1190 (1980). John L. Scott, Inc., and Sherwood & Roberts, Inc.,. filed a motion to dismiss the complaint on the basis of the doctrines of primary jurisdiction, exhaustion of administrative remedies, and the "permitted transactions" exemption from the Consumer Protection Act, RCW 19.86.170.

[300]*300After reviewing memoranda and exhibits submitted by the parties and hearing oral argument on the issues, the trial judge denied the motions to dismiss. The doctrines of primary jurisdiction and exhaustion of administrative remedies were held not to apply since, under RCW 18.85 which relates to real estate brokers and salespersons, neither the Director of the Department of Licensing, nor the Real Estate Commission, nor the real estate division of the business and professions administration of the Department of Licensing has regulatory or licensing authority to deal with alleged antitrust violations. The court further ruled that the exemption under RCW 19.86.170 does not apply as antitrust violations are not specifically permitted by the language of RCW 18.85.

Scott and Sherwood & Roberts sought discretionary review by this court of the denial of their motions on the issues of primary jurisdiction and the permitted transaction exemption. We accepted review and affirm the trial court.

First, the brokers contend that the complaint should be dismissed under the permitted actions or transactions exemption of RCW 19.86.170 which provides:

Nothing in this chapter shall apply to actions or transactions ... [1] permitted by any other regulatory body or officer acting under statutory authority of this state or the United States: ... [2] Provided, further, That actions or transactions specifically permitted within the statutory authority granted to any regulatory board or commission established within Title 18 RCW shall not be construed to be a violation of chapter 19.86 RCW . . .

(Italics ours.) The italicized language was added by the legislature in 1974 and is before the court for the first time.

It may be argued, although we need not decide here, that the first portion of RCW 19.86.170[1] simply requires acquiescence on the part of the regulatory agency and that no affirmative action is needed. Indeed, the brokers allege that, because the practice of obtaining list-back arrangements has continued for 11 years, the conduct was permitted by the Director of Licensing, the Real Estate [301]*301Commission and the real estate division. We believe, however, that the correct interpretation of legislative intent as it relates to RCW 19.86.170 is that the requirements of the proviso [2], which was enacted in 1974, must be met in actions and transactions involving those persons regulated under RCW Title 18. To claim this exemption, however, the brokers must prove that the activity was authorized by statute and that acting within this authority the agency took overt affirmative actions specifically to permit the actions or transactions engaged in by the brokers. RCW 19.86.170. See Comment, The Scope of the Regulated Industries Exemption Under the Washington Consumer Protection Act, 10 Gonz. L. Rev. 415, 420-21, 426-28 (1975). The brokers show neither. Mere nonaction by a regulatory board or commission under RCW Title 18 to actions taken by members of a business, occupation or profession does not amount to specific permission. Furthermore, nothing in RCW 18.85 or any other statute authorizes the Department of Licensing or the Real Estate Commission to permit list-back arrangements. The brokers are not exempt from the Consumer Protection Act because of RCW 19.86.170. The events in Allen v. American Land Research, 25 Wn. App. 914, 611 P.2d 420 (1980), relied upon by defendants, occurred prior to the enactment of the 1974 proviso. The case is not in point.

Next, the brokers contend that the doctrine of primary jurisdiction applies and that this matter must be referred to the Director of the Department of Licensing, the Real Estate Commission and the real estate division before it can be heard by the courts. The function of the doctrine of primary jurisdiction is to guide a court in determining whether it should refrain from exercising its jurisdiction until an administrative agency with special competence has resolved an issue arising in the proceeding before the court. 3 K. Davis, Administrative Law § 19.01 (1958). The doctrine "does not necessarily allocate power between courts and agencies, for it governs only the question whether court or agency will initially decide a particular issue, not the [302]*302question whether court or agency will finally decide the issue.'" K. Davis, Administrative Law of the Seventies § 19.01 (1976).

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Bluebook (online)
622 P.2d 1185, 95 Wash. 2d 297, 1980 Wash. LEXIS 1441, 1980 Trade Cas. (CCH) 63, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-coldwell-banker-residential-brokerage-co-wash-1980.