United States v. King

229 F. 275, 1915 U.S. Dist. LEXIS 948
CourtDistrict Court, D. Massachusetts
DecidedOctober 23, 1915
DocketNo. 953
StatusPublished
Cited by11 cases

This text of 229 F. 275 (United States v. King) is published on Counsel Stack Legal Research, covering District Court, D. Massachusetts primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. King, 229 F. 275, 1915 U.S. Dist. LEXIS 948 (D. Mass. 1915).

Opinion

MORTON, District Judge.

This is an indictment for a conspiracy in restraint of trade under the Sherman Act. The defendants have demurred, and have assigned many causes of demurrer, which fall into two groups, viz. those which relate to the language of the indictment, and those which relate to its subject-matter.

[1] As to the objections based on the alleged insufficiency or inaccuracy of the language:

The defendants contend that the indictment does not allege that a conspiracy was actually entered upon and engaged in. This argument is based principally upon the use of the word “should” in that part of the indictment which undertakes to describe the conspiracy. It alleges that the defendants unlawfully and knowingly entered into a conspiracy in unreasonable restraint of trade, which conspiracy was, in substance, that the defendants “should appoint” an executive committee, that such executive committee “should constitute” a listing committee, that said listing committee “should cause” a list of undesirable receivers to be prepared and published, that all the members of the association “should thereafter refuse to have any further business dealings” with the blacklisted persons, etc. The indictment then goes on to allege that the defendants constituted said listing committee, and, “in pursuance of said conspiracy and to effect the object thereof,” did blacklist one McLatchy, and that the remaining members of the association refused to deal with him, thereby restraining him from carrying on interstate trade.

It is thus explicitly alleged that the defendants engaged in a conspiracy that they should do certain things, and that they did certain acts in carrying it out. An agreement is not infrequently stated in the form, “It was agreed that the parties should do,” etc. Such language means, as I understand it, that the agreement was actually made. The indictment is to be taken as a whole, and in the fair meaning of the words used; so considered, it sufficiently charges that the defendants entered into the conspiracy which is described. To apply the test suggested in the defendants’ brief, it seems to me plain from the indictment “that the combination or agreement between the alleged conspirators had developed from the mere contemplation of a tentative plan into a definite, initiated, operative course of action.”

[2] The defendants also contend, rather inconsistently, perhaps, that the indictment is bad for duplicity, because it charges both a conspiracy in restraint of trade and an actual restraint of trade. It is, however, clear that what the indictment charges is a conspiracy, and that the overt acts described in it are alleged in support of that charge, and not as separate crimes.

[3] In the case of Doyle, it is further argued that the indictment does not allege any criminal act committed by him in this district. It does, however, explicitly state that, “at Boston, in said district of Massachusetts, said defendants [i. e., King, Hovey, Powers, Doyle, and [278]*278Sylvester] unlawfully, knowingly, and feloniously entered into a conspiracy with each other,” etc. This, in connection with the rest of the indictment, sufficiently alleges a crime committed by Doyle in this district.

Coming to the substance of the charge, the indictment, as I construe it, describes the following business situation:

[4] An especially desirable variety of potato is grown in Maine, which is well known under the name of Aroostook county potatoes. There is an extensive interstate trade in them. Persons interested in that trade formed an association called the Aroostook Potato Shippers’ Association. Seventy-five per cent, of all interstate shipments from Maine of Aroostook county potatoes were made by members of this association. It acted through a committee. The committee was authorized to determine whether any given person who carried on the business of producing, receiving, or dealing in such potatoes was “undesirable.” The basis upon which this determination was to be made does not appear. The persons adjudged “undesirable” were thereupon put on a black list. This black-list was circulated among the members of the association, and they were forbidden by its by-laws, under a penalty, from having any business dealings with a blacklisted person. The black list was also circulated among persons dealing in potatoes, either as buyers, sellers, commission merchants, or otherwise, who were not members of the association; and such persons were notified that, unless they ceased dealing with the blacklisted person, members of the association would not longer deal with them, and-they themselves would be blacklisted. Is such an association legal under the Sherman Act?

Persons have a right to associate for the purpose of advancing their own interests by discriminating against other persons, if such discrimination is based upon proper and legal grounds, e. g., failure to. pay bills due to members of the association (Brewster v. Miller, 101 Ky. 368, 41 S. W. 301, 38 L. R. A. 505), and is not merely coercive and arbitrary, as in Martell v. White, 185 Mass. 255, 69 N. E. 1085, 64 L. R. A. 260, 102 Am. St. Rep. 341; nor for the purpose of restraining interstate trade, as in Eastern States Lumber Association v. U. S., 234 U. S. 600, 34 Sup. Ct. 951, 58 L. Ed. 1490, L. R. A. 1915A, 788.

The object of the Aroostook Association is nowhere described in the indictment; and there is no allegation of any purpose or intent by its members or by the defendants to restrain trade. The reasons for which it blacklisted persons are not stated; they do not appear to have related to the sale or purchase of commodities or to interstate, commerce; they may have been, and on this demurrer must be assumed to have been, legitimate. It does not appear that the defendants were not within their rights in the formation of their association,, in giving its officers the right to blacklist, and in agreeing that members would not deal with blacklisted persons. Up to a certain point, the situation described is not legally different from that which arises-when the executive officers of a labor union declare a strike against a certain employer to obtain shorter hours, higher wages, or some-[279]*279oilier legitimate end. A strike is merely an agreement by all the members of the union not to do business with that employer.

[5, 6] But the-defendants’ association did not confine its activities to its own members and their relations to such persons as from time to time might be placed upon its black list. It went further, and contemplated that the black list, made by its executive committee, should be circulated among nonmembers as well as members, and that outsiders should be notified that they, too, must refrain from doing business with the persons who had been blacklisted by the association, or they, too, would be blacklisted. This was referred to in argument as “a secondary boycott.” If done with the intent to restrain trade with the victim and thereby to coerce him, it is exactly what was outlawed by the Supreme Court in the Danbury Hatters’ Case, Lawlor v. Loewe, 235 U. S. 522, 35 Sup. Ct. 170, 59 L. Ed 341. If an intent to restrain trade is apparent from the indictment, it need not be explicitly alleged. This was decided in U. S. v. Patten,

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229 F. 275, 1915 U.S. Dist. LEXIS 948, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-king-mad-1915.