Chaulk Services, Inc v. MA Commission ( 1995 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 95-1249

    CHAULK SERVICES, INC.,

    Plaintiff - Appellant,

    v.

    MASSACHUSETTS COMMISSION AGAINST
    DISCRIMINATION, ET AL.,

    Defendants - Appellees.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Reginald C. Lindsay, U.S. District Judge] ___________________

    ____________________

    Before

    Torruella, Chief Judge, ___________

    Lynch, Circuit Judge, _____________

    and Casellas,* District Judge. ______________

    _____________________

    Arthur P. Menard, with whom Paul J. Murphy and Menard Murphy ________________ ______________ _____________
    & Walsh were on brief for appellant. _______
    Macy Lee, Assistant Attorney General, with whom Scott _________ _____
    Harshbarger, Attorney General of Massachusetts, was on brief for ___________
    appellee Massachusetts Commission Against Discrimination;
    Katherine McClure on brief for appellees Petrina ____________________
    Doulamis/Sullivan and International Association of EMTs &
    Paramedics, NAGE and AFL-CIO.

    ____________________

    November 27, 1995
    ____________________

    * Of the District of Puerto Rico, sitting by designation.














    ____________________


















































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    CASELLAS, District Judge. Plaintiff-appellant Chaulk CASELLAS, District Judge. ______________

    Services, Inc. ("Chaulk") originally brought this action for

    declaratory judgment, preliminary and permanent injunctive relief

    against the Massachusetts Commission Against Discrimination

    ("MCAD")("the Commission"), Petrina Doulamis/Sullivan

    ("Doulamis") and the International Association of EMTs &

    Paramedics, NAGE, AFL-CIO ("the Union"), to prevent defendants-

    appellees from proceeding with the case of Doulamis v. Chaulk ________ ______

    Services, Inc., 93-BEM-2145, then pending before the MCAD, on the ______________

    basis that the action was preempted by federal law, particularly,

    the National Labor Relations Act ("NLRA")("the Act"), 29 U.S.C.

    151 et seq. The district court abstained from deciding Chaulk's ______

    preemption claim, citing Younger v. Harris, 401 U.S. 37 (1971), _______ ______

    Ohio Civil Rights Commission v. Dayton Christian Schools, Inc., _____________________________ _______________________________

    477 U.S. 619 (1986) and Brotherhood of Locomotive Engineers v. ____________________________________

    MCAD, 695 F. Supp. 1321 (D. Mass. 1988), and consequently ____

    dismissed Chaulk's complaint. We vacate the judgment below and

    remand the case to the district court.

    I. STATEMENT OF THE CASE I. STATEMENT OF THE CASE _____________________

    A. Facts A. Facts

    In the middle of 1993, the International Association of

    EMTs and Paramedics, NAGE, AFL-CIO, began a union organization

    campaign at Chaulk. Doulamis became involved in the campaign

    sometime during the fall of 1993, when she and Eric Burgess, a

    male Chaulk employee, wrote a letter to the president of Chaulk's

    parent company calling for the organization of a union. On


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    November 10, 1993, Chaulk's CEO Nicholas O'Neil and Joseph

    Gilmore, vice-president, as part of their own campaign against

    the union organization effort, met with Doulamis in an attempt to

    pressure her into becoming a non-union advocate. Doulamis

    declined their invitation.

    As a result of this meeting, the Union filed unfair

    labor practice charges on November 29, 1993 with the National

    Labor Relations Board ("NLRB") against Chaulk, claiming that it

    coerced and intimidated Doulamis, a known union organizer, by

    questioning her regarding union activities and threatening

    retaliation for those union activities, in violation of the Act.

    On December 6 and 9, 1993, the Union filed two additional charges

    with the NLRB, both of which alleged that Chaulk interfered with

    Doulamis' labor activity rights and discriminated against her

    because of her union organization efforts.1

    Thereafter, the NLRB issued a complaint against Chaulk

    alleging specific violations of 8(a)(1) and (3) of the NLRA,

    and charging that Chaulk had interfered with, restrained and

    coerced several employees, including Doulamis, in the exercise of

    rights guaranteed by 7 of the Act. With respect to Doulamis,

    the complaint alleged that on November 29, 1993 Chaulk issued a

    ____________________

    1 The Union filed several additional unfair labor practice
    charges against Chaulk stemming from its alleged interference
    with the protected rights of numerous other employees. Here, we
    refer in particular only to those which, according to the
    parties, involve charges of unlawful conduct directed against
    Doulamis. Furthermore, while Doulamis is not named as the
    aggrieved employee in these charges, both parties agree that the
    employee referred to therein is, in fact, Doulamis.

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    written warning and on December 7, 1993 issued a letter addressed

    to Doulamis threatening her with discipline if she attended any

    future 401(K) meetings held by Chaulk with its employees. In

    addition, the complaint charged that on December 2, 1993, Chaulk

    suspended the coauthor of the pro-union letter, Eric Burgess.

    According to the complaint, Chaulk engaged in this conduct

    because it mistakenly believed that Doulamis, together with

    several of her fellow employees, had engaged in misconduct

    arising out of union or other protected concerted activity. See ___

    Complaint and Notice of Hearing at s 7-8. It is also alleged

    that these employees formed, joined and assisted the Union and

    otherwise engaged in concerted activities, and that Chaulk's

    conduct was a deliberate attempt to discourage the employees from

    engaging in these activities, in violation of sections 8(a)(3)

    and (1) of the Act. See Complaint and Notice of Hearing at s 7- ___

    10.

    A full and comprehensive settlement agreement was

    reached between Chaulk and the NLRB in March 1995 regarding these

    claims. As part of the settlement, Chaulk agreed to, inter alia, _____ ____

    expunge from its files any reference to the transfer of Eric

    Burgess; the written warnings set forth in the complaints of

    Doulamis, Richard Graham, Chris Adler, Gary Winitzer, Jim Taubert

    and Jean Taubert; the suspensions of Eric Burgess, Chris Adler,

    Jim Taubert, Jean Taubert, Gary Winitzer, Michael Cook, Kathryn

    Edwards and James McLaughlin; and the terminations of Fran

    Wilkerson, John Borden and McLaughlin. In addition, Chaulk


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    agreedto payout approximately$12,000in backpay tothese employees.

    Meanwhile, on December 1, 1993, after the Union had

    already filed its first charge with the NLRB, Doulamis filed a

    complaint with the MCAD against Chaulk, claiming she had been a

    victim of unlawful sex discrimination. Specifically, she

    complained of being harassed about her union activity, allegedly

    because of her gender, in that the "males who are also involved

    [in the union activity] are not being harassed."

    On February 18, 1994, Chaulk moved to dismiss Doulamis'

    complaint at the MCAD for lack of jurisdiction, on the grounds

    that it was preempted by federal law. On May 13, 1994, the MCAD

    issued an order denying the motion to dismiss and retaining

    jurisdiction over Doulamis' discrimination claims, reasoning that

    it did not have to address the merits of the underlying labor

    dispute in order to resolve the allegations of gender

    discrimination. The Commission then promptly issued a set of

    interrogatories to Chaulk, requesting detailed information about

    all known union organizers, their role in organizing efforts and

    any significant acts of union organizing known to appellant,

    including copies of any communications between Chaulk and

    Doulamis relative to the union organization effort.

    B. Proceedings Below B. Proceedings Below

    The present action was filed in the United States

    District Court for the District of Massachusetts on December 8,

    1994, seeking a declaratory judgment as well as an injunction

    barring the continued prosecution of Doulamis' complaint before


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    the MCAD. Chaulk claimed that the Commission's assertion of

    state authority over her charge directly threatened and

    significantly interfered with the jurisdiction of the NLRB. As

    noted above, the district court granted MCAD's motion to dismiss

    on abstention grounds. It did not decide the preemption issue.

    Chaulk now appeals the district court's judgment.

    II. ANALYSIS II. ANALYSIS ________

    A.Preemption A.Preemption

    Relying on the doctrine of preemption first enunciated

    in San Diego Building Trades v. Garmon, 359 U.S. 236 (1959), __________________________ ______

    appellant argues that the district court erred in allowing the

    Commission's motion to dismiss on the grounds of Younger _______

    abstention and that it should have decided the preemption issue.

    Citing primarily to Bud Antle, Inc. v. Barbosa, 35 F.3d 1355 (9th _______________ _______

    Cir. 1994), Chaulk asserts that when it is clear that the state

    tribunal is acting beyond the lawful limits of its authority,

    there is no principle of comity that is served by abstention.

    Id. at 1356. Accordingly, it urges us to find the Younger __ _______

    abstention doctrine inapplicable to this case, address the merits

    of its preemption claim, and declare that appellee's charge of

    sex discrimination before the Commission is indeed preempted by

    federal law.

    We begin by delineating the present scope of the so

    called Garmon preemption doctrine. The Supreme Court held in ______

    Garmon that when an activity is arguably subject to 7 or 8 of ______

    the National Labor Relations Act, the states as well as the


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    federal courts must defer to the exclusive competence of the NLRB

    if the danger of state interference with national labor policy is

    to be averted. Id. at 245. When Congress enacted the NLRA, it __

    enacted comprehensive procedural rules and created the NLRB to

    administer this specially designed regulatory structure. The

    result was a complex and interrelated scheme of federal law,

    remedies and administration designed to achieve uniformity in our

    national labor policy. Garmon, 359 U.S. at 242; New York ______ _________

    Telephone Co. v. New York Dept. of Labor, 440 U.S. 519, 527 _____________ __________________________

    (1979); Jones v. Truck Drivers Local Union No. 299, 838 F.2d 856, _____ _________________________________

    872 (6th Cir. 1988)(Merritt, J., concurring in part and

    dissenting in part).

    In order to achieve the desired uniformity, Congress

    entrusted the interpretation and enforcement of the NLRA to a

    centralized administrative agency, armed with its own procedures,

    and equipped with its specialized knowledge and cumulative

    experience. See Garmon, 359 U.S. at 242. This administrative ___ ______

    scheme was designed to avoid the danger of conflicting or

    incompatible adjudications such as would inevitably result from

    having multiple forums, with their diverse procedures, entertain

    claims under the NLRA. Garner v. Teamsters, Chauffeurs and ______ __________________________

    Helpers Local Union No. 776, 346 U.S. 485, 490-91 (1953). The ____________________________

    Garmon rule is therefore intended to preclude state interference ______

    with the NLRB's interpretation and enforcement of the integrated

    scheme of regulation established by the NLRA. Golden State ____________

    Transit Corp. v. City of Los Angeles, 475 U.S. 608, 613 (1986). _____________ ___________________


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    Withal, the Garmon rule admits of some exceptions to ______

    the NLRB's primary jurisdiction. For instance, where the conduct

    at issue is of only "peripheral concern" to federal labor policy,

    the states are not precluded from regulating the activity.

    Garmon, 359 U.S. at 243. Similarly, state action is not ______

    preempted where the regulated conduct touches interests "so

    deeply rooted in local feeling and responsibility that, in the

    absence of compelling congressional direction, courts cannot

    infer that Congress has deprived the states of the power to act."

    Id.2 __

    When called to determine whether these exceptions

    apply, courts must balance the state's interest in remedying the

    effects of the challenged conduct against both the interference

    with the NLRB's ability to adjudicate the controversy and the

    risk that the state will approve conduct that the NLRA prohibits.

    Belknap, Inc. v. Hale, 463 U.S. 491, 498-499 (1983); NLRB v. ______________ ____ ____

    State of Ill. Dept. of Emp. Sec., 988 F.2d 735, 739 (7th Cir. __________________________________

    1993). In doing so, we intentionally focus on the conduct at the

    ____________________

    2 Courts have recognized a third exception to the Garmon ______
    doctrine where Congress has expressly carved out such an
    exception to the NLRB's primary jurisdiction. See Tamburello v. ___ __________
    Comm-Tract Corporation, No. 95-1295, slip op. at 6 (1st Cir. _______________________
    October 2, 1995) (citing Vaca v. Sipes, 386 U.S. 171, 179-80 ____ _____
    (1967); Brennan v. Chestnut, 973 F.2d 644, 646 (8th Cir. 1992)). _______ ________
    Congress has not made an exception to the NLRB's primary
    jurisdiction for claims alleging sex discrimination in the
    context of an unfair labor practice. See Jones v. Truck Drivers ___ _____ _____________
    Local Union, 838 F.2d at 861 (sexual discrimination is a breach ___________
    of duty of fair representation and within scope of 8 of the
    NLRA); NLRB v. Local 106, 520 F.2d 693 (6th Cir. 1975)(same). ____ _________
    This exception therefore does not apply to the facts in this
    case.

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    root of this controversy, namely Chaulk's alleged interference

    with Doulamis' union activities, as opposed to the descriptive

    title of sex discrimination given to her cause of action before

    the MCAD. That is because preemption is designed to shield the

    system from conflicting regulation of conduct. "It is the _______

    conduct being regulated, not the formal description of governing

    legal standards that is the proper focus of concern."

    Amalgamated Ass'n of St., E.R. & M. C. Emp. v. Lockridge, 403 ______________________________________________ _________

    U.S. 274, 292 (1971). See also, Garmon, 359 U.S. at 246 ("It is ___ ____ ______

    not the label affixed to the cause of action under state law that

    controls the determination of the relationship between state and

    federal jurisdiction").

    Doulamis' complaint highlights the risk that a state

    cause of action will touch on an area of primary federal concern.

    She complains of incidents of interference with her union

    activities as a union organizer. The very same conduct provides

    the factual basis for the unfair labor practice charges brought

    by the Union on her behalf, which were eventually incorporated

    into the complaint and notice of hearing issued by the NLRB. Her

    claims are fundamentally grounded in an assertion that the rights

    which her employer interfered with involve her union activity.

    Where, as here, the case involves conduct arguably prohibited by

    8 of the Act, the NLRB has broad authority to determine the

    appropriate remedy for wronged employees.3 "In fact, since
    ____________________

    3 MCAD presses the argument that gender-based discrimination is
    not even within the realm of prohibited activities under the
    NLRA. According to MCAD, the scope of prohibited discrimination

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    remedies form an ingredient of any integrated scheme of

    regulation, to allow the state to grant a remedy here which has

    been withheld from the NLRB only accentuates the danger of

    conflict." Garmon, 359 U.S. at 247; Richardson v. Kruchko & ______ __________ _________

    Fries, 966 F.2d 153, 157 (4th Cir. 1992). Board authority over _____

    claims of interference with union activities is not merely of

    peripheral concern to the Act. Rather, the Board's authority to

    remedy such practices is central to its purpose. See Tamburello ___ __________

    v. Comm-Tract Corporation, No. 95-1295, slip op. at 9 n.5 (1st ______________________

    Cir. October 2, 1995).

    Moreover, the fact that the Union clearly considered

    Chaulk's conduct an unfair labor practice, and that the Board

    entertained such charges, only buttresses the Court's conclusion

    that said conduct is not only "arguably", but obviously

    prohibited under section 8(a) of the NLRA. It also highlights

    the very real danger of interference with the NLRB's

    jurisdiction, as it was precisely the Board's timely intervention

    which in this case led to the agreement through which Chaulk

    pledged, among other things, not to engage in the challenged

    conduct, or take similar actions to hinder its employees in their

    union activities.

    Significantly, the Supreme Court has held that in cases
    ____________________

    under the Act is limited to discrimination based on union
    activities or membership. Still, the argument has been made
    successfully that sexual discrimination constitutes an unfair
    labor practice under 8 of the NLRA. See Jones v. Truck Drivers ___ _____ _____________
    Local Union, 838 F.2d at 861 (sexual discrimination is a breach ___________
    of duty of fair representation and within scope of 8 of the
    NLRA); NLRB v. Local 106, 520 F.2d 693 (6th Cir. 1975)(same). ____ _________

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    where the underlying conduct is arguably prohibited by the NLRA,

    application of the so-called "local interests" exception hinges,

    in the first place, upon the existence of a significant state

    interest in protecting its citizens from the challenged conduct.

    In second place, the controversy which could be presented to the

    state court must be different from that which could have been

    presented to the NLRB. Sears, Roebuck & Co. v. San Diego County ____________________ ________________

    Dist. Council of Carpenters, 436 U.S. 180, 196-97 (1978). See ____________________________ ___

    also, Tamburello v. Comm-Tract Corporation, No. 95-1295, slip op. ____ __________ ______________________

    at 14 (1st Cir. October 2, 1995).

    Under the Sears rationale, the critical inquiry is _____

    whether the controversy presented to the state court is identical

    to or different from that which could have been presented to the

    NLRB.4 Sears, 436 U.S. at 197. The Court reasoned that it is _____

    only in the former situation that a state's exercise of

    jurisdiction necessarily involves a risk of interference with the

    unfair labor practice jurisdiction of the Board which the Garmon ______
    ____________________

    4 We note that Sears is not entirely on point, as it differs _____
    from the instant case in at least one fundamental respect. In
    that case, the Court was presented with a situation where the
    party seeking relief in the state forum had no right to invoke
    the Board's jurisdiction and the party that had the right to
    invoke the Board's jurisdiction had failed to do so. The Court
    expressed concern that in the circumstances of that case, Sears
    may not have a chance for a hearing on its claims if state
    jurisdiction were preempted without any assurance that the
    dispute might eventually be brought before the NLRB. The Court
    reasoned that preemption was justified only when an aggrieved
    party has a reasonable opportunity either to invoke the Board's
    jurisdiction himself or else to induce his adversary to do so.
    Id. at 201. Here, of course, there is no such concern, as the __
    Union filed the unfair labor practice charges with the NLRB even
    before Doulamis filed her gender discrimination claims before the
    Commission.

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    doctrine was designed to avoid. Id. We assume arguendo that the __ ________

    Commonwealth of Massachusetts has a significant interest in

    protecting its citizens against sex discrimination in their

    employment. Following the guidelines set forth by the Supreme

    Court in Sears, we therefore examine whether the controversy _____

    before the state forum would indeed be the same as that which

    could be brought before the NLRB. Id. __

    In this regard, it is telling that the Union, upon

    learning of Chaulk's alleged interference with Doulamis'

    activities as a union organizer, promptly filed an unfair labor

    practice charge on her behalf, claiming violations of 8 of the

    Act--thereby clearly characterizing the controversy as a labor

    dispute, subject to the NLRB's primary jurisdiction. For its

    part, the NLRB received the Union's allegations regarding

    Chaulk's conduct--the same conduct that would later form the

    basis for Doulamis' discrimination claim before the MCAD--

    investigated them, proceeded then to issue a Complaint and Notice

    of Hearing, and eventually settled the matter. Plainly, this is

    not a case where the NLRB declined to exercise its lawful

    jurisdiction over a labor controversy, or where the NLRB's actual

    exercise of jurisdiction remains a matter of speculation. On the

    contrary, the Board in this case moved aggressively to acquire

    such jurisdiction and bring the matter to a full and speedy

    resolution.

    Furthermore, even Doulamis' own pleadings before the

    Commission couch her claims in terms of a labor dispute within


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    the NLRB's primary jurisdiction. Her complaint accuses Chaulk of

    harassment "about [her] union activities." She also claims to

    have been "intimidated by Mr. O'Neil about involvement in union

    activity" and "accused of distracting the other employees with

    union activity." As noted above, such conduct on the part of

    Chaulk, if adequately established through competent evidence,

    would constitute an undue interference with Doulamis' rights

    under 7 of the NLRA and consequently a violation of 8(a)(1)

    of the Act. The application of additional remedies to the

    conduct here at issue only invites conflict. As the Supreme

    Court stated in Garmon, "[t]he obligation to pay compensation can ______

    be, indeed is designed to be, a potent method of governing

    conduct and controlling policy." Id. at 247. See Sears, Roebuck __ ___ ______________

    & Co., 436 U.S. at 193-94 ("[T]he pertinent inquiry is whether ______

    the two potentially conflicting statutes [are] brought to bear on

    precisely the same conduct.") (citations omitted). As discussed

    above, Doulamis' claim of sex discrimination is founded upon the

    identical facts which provided the basis for the unfair labor

    practices charge brought on her behalf by the Union.

    Accordingly, under the Garmon rationale, her claim before the ______

    Commission is expressly preempted.

    Moreover, as pointed out by Chaulk, the interrogatory

    issued by the MCAD in the course of the investigation and

    prosecution of Doulamis' case belies the Commission's assertion

    that it need not delve into the labor aspects of the controversy

    in order to dispose of her gender discrimination claims. Rather,


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    the interrogatory is further proof that issues of labor law

    ordinarily considered to be within the NLRB's primary

    jurisdiction are precisely the type of questions that lie at the

    heart of this controversy.

    Finally, in order to determine the merits of Doulamis'

    claims of sex disrimination, the MCAD will have to decide whether

    in fact Doulamis was engaged in protected union activity, and if

    so, whether she was engaged in the same type of union activity as

    the other union organizers. Such a finding requires that the

    MCAD become embroiled in a factual and legal determination of

    what constitutes union activity, a task which has been expressly

    reserved to the jurisdiction of the NLRB. More importantly, if

    the Commission were allowed to entertain Doulamis' claim of

    sexual discrimination, there is the potential risk that it will

    incorrectly apply the substantive rules governing labor

    controversies laid out by Congress in the NLRA. It is precisely

    this potential for incompatible or conflicting adjudications that

    Congress sought to avoid by leaving these determinations in the

    first instance to the NLRB.

    In the end, no recharacterization of this claim can

    obscure the fact that, at bottom, this is a classic example of an

    unfair labor practice claim of the kind traditionally handled in

    the first instance by the NLRB. Since the controversy before the

    MCAD and that resolved by the NLRB are the same in a fundamental

    respect, and the risk of interference with the Board's

    jurisdiction is obvious and substantial, we hold that the MCAD


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    has no jurisdiction to entertain Doulamis' charge of sexual

    discrimination based on her employer's alleged interference with

    her union activities. International Union of Operating Engineers __________________________________________

    v. Jones, 460 U.S. 669, 674 (1983).5 _____

    B.Abstention B.Abstention

    We turn now to what is in essence the threshold issue

    in this appeal-whether the district court erred in abstaining

    under the Younger doctrine. In Younger v. Harris, 401 U.S. 37 _______ _______ ______

    (1971), the Supreme Court held that a federal court should not

    enjoin a pending state criminal proceeding except in the very

    unusual situation that an injunction is necessary to prevent

    great and immediate irreparable injury. Younger stands for the _______

    proposition that principles of comity require "a proper respect

    for state functions, a recognition of the fact that the entire

    country is made up of a Union of separate state governments, and

    a continuance of the belief that the National Government will

    fare best if the States are left free to perform their separate

    functions in their separate ways." Id. at 44. The Court has __

    since applied its reasoning in Younger to civil proceedings in _______

    ____________________

    5 The dissent devotes a considerable number of pages to the
    issue of whether Title VII and the NLRA provide concurrent
    remedies. The Supreme Court has made clear however, that when a
    state proceeding is claimed to be preempted by the NLRA under
    Garmon, the issue is a choice-of-forum rather than a choice-of- ______
    law question. See International Longshoremen's Association v. ___ _________________________________________
    Davis, 476 U.S. 380, 391 (1986). As such, "it is a question _____
    whether the State or the Board has jurisdiction over the
    dispute." Id. If--as here--there is preemption under Garmon, __ ______
    then state jurisdiction is extinguished. Id. See also, __ ___ ____
    International Union of Operating Engineers v. Jones, 460 U.S. at ___________________________________________ _____
    680-81; Sears, 436 U.S. at 199 n.29; Garmon, 359 U.S. at 245. _____ ______

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    which important state interests are involved. See Huffman v. _______

    Pursue, Ltd., 420 U.S. 592 (1975); Juidice v. Vail, 430 U.S. 327 ____________ _______ ____

    (1977); Trainor v. Hern ndez, 431 U.S. 434 (1977). _______ _________

    In Ohio Civil Rights Comm'n v. Dayton Christian ___________________________ _________________

    Schools, 477 U.S. 619 (1986), the principles of comity first _______

    announced in Younger were made extensive to state administrative _______

    proceedings. As a result, where (1) vital state interests are

    involved, (2) in an ongoing state judicial (or administrative)

    proceeding, a federal court should abstain from exercising its

    jurisdiction over a claim, (3) unless state law clearly bars the

    interposition of the constitutional claims. See Middlesex County ________________

    Ethics Comm. v. Garden State Bar Assn, 457 U.S. 423, 432 (1982); ____________ _____________________

    Moore v. Sims, 442 U.S. 415 (1979). "The pertinent inquiry is _____ ____

    whether state proceedings afford an adequate opportunity to raise

    the constitutional claims." Middlesex, supra. _________

    The dissent asserts that, rather than a principle of

    discretionary deference, Younger abstention requires a district _______ ________

    court to abstain whenever a case falls within the doctrine's

    parameters. To the extent it relies on the Supreme Court's

    decision in Colorado River Water Conservation District v. United ___________________________________________ ______

    States, 424 U.S. 800, 816 n.22 as support for this blanket rule, ______

    however, we respectfully differ. The cited passage on which the

    dissent relies clearly refers to that category of cases where

    federal jurisdiction has been invoked for the purpose of

    restraining state criminal proceedings. And even for that ________

    category of cases, the Supreme Court makes clear that abstention


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    is only appropriate absent bad faith, harassment, or a patently

    invalid state statute. Id. at 816. In fact, Colorado River __ _______________

    strongly reaffirmed the basic principle that abstention from the

    exercise of federal jurisdiction is the exception, not the rule:

    The doctrine of abstention, under which a
    district court may decline to exercise or ___
    postpone the exercise of its
    jurisdiction, is an extraordinary and
    narrow exception to the duty of a
    district court to adjudicate a
    controversy properly before it.
    Abdication of the obligation to decide
    cases can be justified under this
    doctrine only in the exceptional
    circumstances where the order to the
    parties to repair to the state court
    would clearly serve an important
    countervailing interest. It was never a
    doctrine of equity that a federal court
    should exercise its judicial discretion ________ ___ ________ __________
    to dismiss a suit merely because a State
    court could entertain it."

    Colorado River, 424 U.S. at 813-14 (emphasis supplied; citations ______________

    omitted). See also, New Orleans Public Service, Inc. v. Council ___ ____ ________________________________ _______

    of the City of New Orleans, 491 U.S. 350, 359 (1989). __________________________

    The Commission argues that the case at bar fits

    squarely within the principles of Younger abstention. We _______

    disagree. First, the procedural posture of this case differs

    from that of the customary case where abstention is traditionally

    applied. Ordinarily, federal courts abstain from the exercise of

    jurisdiction over a particular controversy out of respect for an

    ongoing state proceeding begun before the federal action. It is

    thought that this procedural mechanism forestalls the friction

    that can arise when the business of the two systems--state and

    federal--overlaps. But the notion of comity, which to a great

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    extent underlies the Younger doctrine of abstention, must _______

    accommodate the legitimate interests of both the state and ____

    national governments. Younger, 401 U.S. at 44; Pennzoil Co. v. _______ _____________

    Texaco, Inc., 481 U.S. 1, 10 (1987). ____________

    In abstaining, the court below seemingly focused on the

    situation that existed on December 8, 1994, when Chaulk's

    complaint for declaratory and injunctive relief was filed in the

    United States District Court for the District of Massachusetts.

    In doing so however, the court ignored the fact that an unfair

    labor practice charge, based on the same facts underlying

    Doulamis' complaint of sex discrimination, had been filed against

    Chaulk prior to her discrimination claims and was pending before _____

    the NLRB at the time of the filing of her action before the

    Commission. In addition, shortly after Doulamis filed her

    action, additional charges were filed by the Union, and the Board

    continued to exercise its jurisdiction over these claims.

    Federal courts seek to avoid needless conflict with

    state agencies and withhold relief by way of injunction where

    state remedies are available and adequate. Alabama Public _______________

    Service Commission v. Southern Railroad Co., 341 U.S. 341 (1951). __________________ _____________________

    But where Congress, acting within its constitutional authority,

    has vested a federal agency with exclusive jurisdiction over a

    subject matter and the intrusion of a state would result in a

    conflict of functions, the federal court may enjoin the state

    proceeding in order to preserve the federal right. American ________

    Federation of Labor v. Watson, 327 U.S. 582, 593-95 (1946); ____________________ ______


    -18-












    Bowles v. Willingham, 321 U.S. 503, 510-11 (1944); Public ______ __________ ______

    Utilities Commission of Ohio v. United Fuel Gas Co., 317 U.S. _____________________________ ____________________

    456, 468-70 (1943).

    This case is similar to Freehold Cogeneration ______________________

    Associates, LP v. Board of Regulatory Commissioners of New _______________ ____________________________________________

    Jersey, 44 F.3d 1178 (3d Cir. 1995). In that case, Freehold ______

    sought a declaratory judgment in the United States District Court

    for the District of New Jersey that the Board of Regulatory

    Commissioners of the State of New Jersey ("BRC") was preempted by

    the Federal Public Utility Regulatory Policies Act ("PURPA") from

    modifying the terms of a previously approved power purchase

    agreement between Freehold and Jersey Central Power and Light

    Company ("JCP&L"), a New Jersey public utility. Freehold also

    sought an order enjoining the ongoing BRC proceedings. The

    district court dismissed for lack of subject matter jurisdiction.

    On appeal, one of the arguments raised by JCP&L was that the

    federal court should abstain from resolving the merits of the

    case even if it was found to possess subject matter jurisdiction.

    The Third Circuit rejected the argument saying:

    [O]ur concern is with carrying out a
    federal statutory scheme promoting the
    development of alternative energy
    sources. The alleged intrusive action is
    not by the federal government, but, on
    the contrary, by a state regulatory
    agency. We conclude that abstention is
    not appropriate in this case and does not
    warrant any extended discussion.

    Freehold Cogeneration, 44 F.3d at 1187 n.6. As in Freehold, we _____________________ ________

    are concerned here with carrying out a federal statutory scheme,


    -19-












    in this case one promoting the development of a uniform national

    labor policy. The alleged intrusive action is not by the federal

    government, but by the MCAD's purported regulation of conduct

    within the NLRB's jurisdiction.

    We note that in the particular context of this case,

    the application of Younger abstention would result in significant _______

    prejudice to Chaulk, who entered into a comprehensive settlement

    agreement with the NLRB through which all unfair labor practice

    claims were resolved, subject to Chaulk's compliance with the

    conditions set forth therein, only to be faced with the prospect

    of having to defend its actions once again, this time before a

    state forum. Such an expansive interpretation of the abstention

    doctrine would have the effect of encouraging duplicative

    litigation, with the resultant waste of judicial and

    administrative resources, as well as the danger to federal-state

    relations that could result from conflicting adjudications.

    Under these circumstances, where a federal agency with

    primary jurisdiction over the controversy has already exercised

    said jurisdiction, it would be inconsistent with the above

    mentioned principles of comity and equal respect for the

    interests of both the federal and state government for a federal

    court to abstain on Younger grounds from deciding a claim _______

    properly before it, in order to give way to a state

    administrative action filed after the federal proceedings are _____

    underway. Put simply, comity works both ways. ______ _____ ____ ____

    The Commission nevertheless urges us to extend the


    -20-












    application of Younger and its progeny to the circumstances of _______

    this case. To this end, MCAD argues that the facts before us

    satisfy the relevant three part test set out by the Supreme Court

    in Middlesex, 457 U.S. at 432. As it is however, even an _________

    analysis of the case within this framework leads us to the same

    conclusion. Abstention was improper in this case. We explain.

    A number of courts have held that Younger abstention is _______

    inappropriate where a claim of preemption is "facially

    conclusive" or "readily apparent", because no significant state

    interests are served when it is clear that the state tribunal is

    acting beyond the lawful limits of its authority. Bud Antle, ___________

    Inc. v. Barbosa, 35 F.3d 1355, 1365-66 (9th Cir. 1994), as ____ _______

    amended by, 45 F.3d 1261, 1272-73 (9th Cir. 1994); Gartrell ________

    Construction, Inc. v. Aubry, 940 F.2d 437, 441 (9th Cir. ___________________ _____

    1991)(citing Champion International Corp. v. Brown, 731 F.2d 1406 ____________________________ _____

    (9th Cir. 1984); National R.R. Passenger Corp. v. Florida, 929 ______________________________ _______

    F.2d 1532, 1537 n.12 (11th Cir. 1991)(citing Baggett v. _______

    Department of Professional Registration, 717 F.2d 521, 524 (11th _______________________________________

    Cir. 1983)); Southwestern Bell Tel. v. Ark. Public Service ________________________ _____________________

    Commission, 824 F.2d 672, 673 (8th Cir. 1987); Kentucky W. Va. __________ _______________

    Gas Co. v. Pennsylvania Pub. Util. Comm'n, 791 F.2d 1111, 1115 ________ _______________________________

    (3d Cir. 1986). Chaulk asserts that the Commission is patently

    acting beyond its jurisdictional boundaries and therefore, no

    principle of comity precluded the district court from

    entertaining its claim of preemption on the merits. In response,

    the Commission cites the Supreme Court's decision in New Orleans ___________


    -21-












    Public Service, Inc. v. Council of the City of New Orleans, 491 ____________________ ___________________________________

    U.S. 350 (1989) ("NOPSI") for the proposition that the mere

    assertion of a substantial constitutional challenge to state

    action, such as an argument of federal preemption engenders, will

    not alone compel the exercise of federal jurisdiction. Whatever

    the merits of MCAD's assertion however, even the NOPSI decision _____

    leaves open the possibility that a "facially conclusive" claim of

    preemption might render abstention inappropriate. Id. at 367. __

    Consequently, we examine the merits of Chaulk's contention that

    abstention is also inappropriate because preemption is readily

    apparent in this context.

    We have explained above the particularities of

    Doulamis' claims before the Commission. She complains of

    incidents of interference with her union activities as a union ____ ___ _____ __________ _____

    organizer. We have observed that the very same conduct provides _________

    the factual basis for the unfair labor practice charges brought

    by the Union on her behalf. We have also highlighted the fact

    that the NLRB incorporated these charges into a complaint and

    notice of hearing claiming violations to sections 8(a)(1) and

    8(a)(3) of the NLRA. As we have noted, her claims are

    fundamentally grounded in an assertion that the rights which her

    employer interfered with involve her union activity. _____ ________

    Under these circumstances, were we to allow Doulamis'

    state claims to go forward by simply artfully pleading her claim

    of unfair labor practices as one motivated by a discriminatory

    animus because of her gender, we would be compromising the NLRB's


    -22-












    role as chief arbiter of labor disputes. Indeed, there are few

    unfair labor practices which could not be similarly repackaged.

    Similarly aggrieved individuals could use such an opening to

    bypass the NLRB merely by ascribing a myriad of discriminatory

    motives to the relevant conduct (i.e. age, race, religious

    belief, etc.), thereby creating a system of labor dispute

    adjudication parallel to the NLRB, leaving the state and federal

    courts to grapple piecemeal with issues Congress intended

    primarily for NLRB resolution.

    Faced with this particular factual scenario, we find

    that under the Garmon doctrine it is "readily apparent" that the ______

    Commission is acting beyond its jurisdictional authority by

    entertaining Doulamis' complaint, for it is readily apparent that

    Chaulk's conduct at issue is at least arguably prohibited by, and

    thus subject to the NLRA. Accordingly, we hold that abstention

    was inappropriate and that the district court abused its

    discretion when it dismissed Chaulk's complaint on the basis of

    Younger abstention. _______

    III. CONCLUSION III. CONCLUSION __________

    In sum, pursuant to the Garmon preemption doctrine, we ______

    find that Ms. Doulamis' claims are preempted by the NLRA, thereby

    depriving the MCAD of jurisdiction to entertain her action based

    on gender discrimination. In addition, we find that abstention

    was inappropriate in this case, as the principles of comity and

    of equal respect for state and federal functions weighed against

    such an abdication of federal jurisdiction over the present


    -23-












    controversy. Accordingly, Chaulk is entitled to injunctive

    relief, consistent with this opinion.

    Finally, with regard to MCAD's argument that the

    Eleventh Amendment bars Chaulk's claims against the Commission,

    we point out that the Supreme Court has recognized that the

    Eleventh Amendment does not preclude properly pleaded actions

    against state officials when the relief sought is prospective and

    equitable in nature. See Ex Parte Young, 209 U.S. 123 (1908); ___ _______________

    Will v. Michigan Department of State Police, 491 U.S. 58 (1989). ____ ___________________________________

    We therefore reverse the judgment of the district court and

    remand the case, so that Chaulk may address any pleading

    deficiencies that currently preclude the continued prosecution of

    its petition for relief.

    Reversed and remanded. _____________________

    LYNCH, Circuit Judge, dissenting. Because Congress has LYNCH, Circuit Judge, dissenting. _____________

    clearly expressed its intent to allow state anti-discrimination

    statutes to operate in areas such as this that may overlap with

    the National Labor Relations Act ("NLRA"), Petrina

    Doulamis/Sullivan's action is not, I believe, preempted. Because

    the federal courts are being asked to enjoin the Massachusetts

    Commission Against Discrimination ("MCAD") from hearing an

    ongoing gender discrimination action over which the state agency

    plainly has jurisdiction, I believe that abstention is

    appropriate. I respectfully dissent.

    Under San Diego Building Trades Council, Millmen's ________________________________________________

    Union, Local 2020 v. Garmon, 359 U.S. 236 (1959), and its ___________________ ______


    -24-












    progeny, and in light of the clear congressional mandate under

    Title VII, 42 U.S.C.A. 2000e to e-17 (West 1994 & Supp. 1995),

    that state anti-discrimination statutes have authority over

    claims for discrimination coextensive with Title VII, Doulamis'

    MCAD claim coexists with and is not displaced by the federal

    labor laws. The employer's defense here presents no "facially

    conclusive" claim for preemption. See New Orleans Public ___ ____________________

    Service, Inc. v. Council of City of New Orleans, 491 U.S. 350, _____________ _______________________________

    367 (1989). Garmon preemption is a question over which the state ______

    courts have concurrent jurisdiction and Chaulk Services, Inc.

    ("Chaulk") will have a full and fair opportunity to present the

    question to the Massachusetts courts. In my view, abstention is

    required under Younger v. Harris, 401 U.S. 37 (1971). _______ ______




























    -25-












    I.

    Garmon says that "[w]hen an activity is arguably ______

    subject to 7 or 8 of the [NLRA], the States as well as the

    federal courts must defer to the exclusive competence of the

    National Labor Relations Board ["NLRB"] if the danger of state

    interference with national policy is to be averted." Garmon, 359 ______

    U.S. at 245.6 Garmon also says that this principle is not ______

    absolute. There is no need to defer to the NLRB where the

    conduct at issue is of "peripheral concern" to federal labor

    policy or where the state regulated activities touch "interests .

    . . deeply rooted in local feeling and responsibility." Id. at ___

    243-44.

    The Massachusetts anti-discrimination statute touches

    "interests so deeply rooted in local feeling and responsibility

    that, in the absence of compelling congressional direction,

    [courts cannot] infer that Congress [has] deprived the States of

    the power to act." Garmon, 359 U.S. at 244. This is so whether ______

    or not invidious discrimination in employment can be described as

    being of "peripheral concern" to the NLRA. Cf. Massachusetts ___ _____________

    Electric Co. v. Massachusetts Commission Against Discrimination, ____________ ________________________________________________

    375 Mass. 160, 174 (1978) (employment discrimination of

    peripheral concern to the NLRA); Walker Mfg. Co. v. Industrial ________________ __________

    Commission, 27 Wis. 2d 669, 681 (1965) (age discrimination of __________

    peripheral concern to Labor Management Relations Act).
    ____________________

    6 Sex discrimination is not specifically addressed in the NLRA
    and so it is not "clearly prohibited" by 8 or "clearly
    protected" by 7 of the NLRA.

    -26-












    Originally enacted in 1946, the Massachusetts anti-discrimination

    statute, Mass. Gen. L. ch. 151B, 1-10 (1994), is eighteen

    years older than Title VII. See 1946 Mass. Acts 368. It ___

    regulates conduct in employment in order to carry out the

    Commonwealth's interest in ensuring that its workplaces are free

    from particular categories of discrimination. It represents no

    less an exercise of Massachusetts' police power than building

    codes or fire regulations. The interests it protects are at

    least as weighty as the interests sought to be vindicated in

    actions the Supreme Court has specifically held not preempted by

    Garmon. See Belknap, Inc. v. Hale, 463 U.S. 491 (1983) (breach ______ ___ ______________ ____

    of contract and misrepresentation actions by replacement

    workers); Farmer v. United Brotherhood of Carpenters and Joiners ______ _____________________________________________

    of America, Local 25, 430 U.S. 290 (1977) (infliction of _______________________

    emotional distress); Linn v. United Plant Guard Workers of ____ ________________________________

    America, Local 114, 383 U.S. 53 (1966) (libel). __________________

    That chapter 151B touches interests deeply rooted in

    local feeling and responsibility is not disputed. Rather, the

    majority asserts that Doulamis' claim is not really a sex

    discrimination claim, describing Doulamis' claim as the product

    of "artful[] pleading." With deference, I believe the record

    establishes that Doulamis' claim is clearly one for sex

    discrimination and has been treated as such by the MCAD.7
    ____________________

    7 Doulamis' claim cannot be preempted simply because the case
    arises from a labor dispute. The Supreme Court has squarely held
    that Garmon preemption does not turn on whether a claim arises in ______
    the context of a labor dispute. Linn, 383 U.S. at 63 ("Nor ____
    should the fact that defamation arises during a labor dispute

    -27-












    On the facts as alleged, Doulamis has stated a claim

    before the MCAD for sex discrimination under chapter 151B. She

    asserts, inter alia: _____ ____

    On November 10, 1993, I was harassed
    about my union activity. I believe the
    reason is because I am a female. The
    males who are also involved are not being
    harassed. Therefore, I charge Respondent
    with unlawful discrimination against me,
    in violation of M.G.L. Chapter 151B . . .
    and Title VII . . . .

    I believe that I am being single[d] out
    by the Respondent because I am a female.
    There are numerous other male union
    organizers who are not being harassed.

    That Doulamis asserts a bona fide sex discrimination

    claim is buttressed by the underlying papers in the pleadings

    submitted by Chaulk to the district court. Doulamis was

    apparently a well-respected employee and was featured in Chaulk's

    publicity materials. From the time she began working at Chaulk

    in 1990 until the autumn of 1993, Doulamis received no written

    warnings and no patient complaints. In the middle of 1993, the

    International Association of EMTs and Paramedics began a union

    organizing campaign at Chaulk. Although not initially involved,

    Doulamis became involved in the campaign during the fall of 1993,

    when she and Eric Burgess, a male Chaulk employee, wrote a letter

    to the president of Chaulk's parent company calling for

    organization of a union. On November 10, 1993, Doulamis was

    called from a training session to meet with the CEO of Chaulk,

    ____________________

    give the Board exclusive jurisdiction to remedy its
    consequences.").

    -28-












    Nicholas O'Neil, and a vice president, Joseph Gilmore. The two

    men told Doulamis at that meeting that she was "pretty" and that

    they believed that the other employees at Chaulk would listen to

    her because she was "pretty." They asked her to become a non-

    union advocate, saying that her physical appearance would

    persuade other employees to vote against the union. She refused.

    Shortly thereafter, Doulamis began receiving a series of

    harassing warnings from Chaulk management about her conduct on

    the job and her union activities. Burgess, who had co-authored

    the pro-union letter with Doulamis, did not receive such

    harassment.

    Doulamis believed that she was being singled out for

    punishment for her union activities because of her sex. The ___________________

    heart of her complaint before the MCAD was that she was being

    harassed for her union activities while male union organizers --

    including one who had co-authored the letter precipitating the

    harassment -- were not (or at least were not until after Doulamis

    filed her complaint with the MCAD). This allegation states a

    prima facie claim of sex discrimination under chapter 151B. See ___

    Ramsdell v. Western Massachusetts Bus Lines, Inc., 415 Mass. 673, ________ _____________________________________

    679 (1993); see also Blare v. Husky Injection Molding Sys. ___ ____ _____ _______________________________

    Boston, Inc., 419 Mass. 437 (1995). ____________

    Under the facts of this case Doulamis could allege two

    distinct wrongs -- a claim for unfair labor practices and a claim

    for sex discrimination. Characterizing Doulamis' latter claim as

    artful pleading assumes away the difficult legal question raised


    -29-












    by Doulamis' case and squarely presented in the briefs: whether

    a sex discrimination claim based on state law is preempted if it

    arises out of a course of events that also may give rise to an

    unfair labor practice charge.

    The Supreme Court in Sears, Roebuck & Co. v. San Diego ____________________ _________

    County District Council of Carpenters, 436 U.S. 180 (1978), held ______________________________________

    that even if a case may come within the scope of the Garmon ______

    preemption doctrine when applied in a "mechanical fashion," id. ___

    at 188, there is still no preemption over conduct arguably

    prohibited by the NLRA unless the controversy before the state

    court is identical to the dispute that could have been presented _________

    under the NLRB. Id. at 197.8 Doulamis' MCAD claim is not ___
    ____________________

    8 At issue in Sears was conduct that could be analyzed in two _____
    distinct ways. The conduct was both "arguably protected" and
    "arguably prohibited" by the NLRA. The Court drew a distinction
    between those two categories of conduct (although in that case,
    the same conduct happened to qualify as both) and imposed two
    distinct lines of analysis. If the activity at issue is
    "arguably protected," a finding of preemption is required where
    an aggrieved party has a reasonable opportunity of invoking the
    NLRB jurisdiction or of inducing his adversary to do so. Id. at ___
    207. If an activity is "arguably prohibited," state jurisdiction
    is preempted only if the issues presented to the state court are
    identical to those that could be presented to the NLRB. The
    latter rubric leaves much more room for state regulation. Id. at ___
    200. Since sex discrimination is clearly not protected by the
    NLRA, the conduct at issue in this case falls under the more
    generous "arguably prohibited" rubric.

    The majority appears to apply to this case criteria that Sears _____
    made applicable to "arguably protected" conduct. For example, in
    determining that the controversy here is identical to that which
    could have been put to the NLRB the majority says, "[p]lainly
    this is not a case where the NLRB declined to exercise its lawful
    jurisdiction over a labor controversy, or where the NLRB's actual
    exercise of jurisdiction remains a matter of speculation."
    Majority Op. at typescript 12; see also Majority Op. at ___ ____
    typescript 10 n.4. While this consideration is important to
    cases involving "arguably protected" conduct, it is not to

    -30-












    identical to that which could have been heard by the NLRB.

    To make out her claim on her chapter 151B action

    Doulamis needs to show (1) a prima facie case of discrimination

    and (2) "either that the employer's articulated reasons are a

    pretext or by direct evidence that the actual motivation was

    discrimination." Blare, 419 Mass. at 444. The action before the _____

    NLRB could not have turned on such an inquiry. Further, the

    terms of the employer's settlement agreement with the NLRB do not

    establish that Doulamis' claim before the MCAD is not a bona fide

    sex discrimination claim.9

    On the alleged facts of this case -- where Doulamis and

    Burgess were engaged in the same activity (co-authoring the

    letter) -- the MCAD will not have to decide as a matter of law

    whether one of the two was engaged in union activity, while the

    other was not. In other words, insofar as Doulamis and Burgess

    were doing the same thing (yet only one was harassed), the

    ____________________

    "arguably prohibited" conduct.


    9 There also seems to be an absence of record support for either
    the proposition that the sex discrimination action was addressed
    before the NLRB or the proposition that the settlement is
    "comprehensive." The settlement agreement, dated March 22, 1995,
    does not refer to alleged sex discrimination. Also, according to
    its terms, the agreement applies "only [to] the allegations in
    the above captioned cases and does not constitute a settlement of
    any other cases or matters." The "above captioned cases" are
    docket numbers "1-CA-31196, 31945(2), 32267, 32378, 32504, 32534,
    32645, 32661." Only one of those docket numbers, 1-CA-31196,
    filed December 9, 1993, involves Doulamis. Apparently not
    included in the settlement are the other two claims that were,
    according to Chaulk, made by Doulamis: docket numbers 1-CA-
    31157, filed November 29, 1993, and 1-CA-31181-2, filed December
    6, 1993.

    -31-












    question of whether the activities were protected union

    activities cancels out of the equation.

    This is why the MCAD, when presented with Chaulk's

    claim of preemption, said:

    In the Complainant's presentation of
    her discrimination case before this
    Commission, the 'merits' of the
    underlying labor dispute need not be
    resolved. It is not necessary for this
    Commission to find that the Respondent
    did, in fact, interfere with the
    Complainant's efforts to organize union
    activities; nor is it necessary for a
    determination to be made regarding the
    Respondent's anti-union animus, if one
    should exist. Rather, the Complainant
    must show that she was treated
    dissimilarly by the Respondent, and that
    the impetus for that dissimilar treatment
    was due to her gender. It is neither the
    role nor the goal of this Commission to
    assess the catalyst of the Respondent's
    actions. It is, however, this
    Commission's purpose to ensure that such
    actions are not gender motivated.

    In the present case, the Commission may
    decide the issue in dispute without
    making a threshold determination of
    whether the employer had interfered with
    the employee's union activities. It need
    only determine whether the treatment the
    Complainant received, rightly or wrongly,
    was different from that of her male
    counterparts and motivated by her gender.

    It is in this context that the MCAD's interrogatory

    must be understood. While it is true that the MCAD has asked

    Chaulk questions relating to union organizing activities (and has

    perhaps shown insufficient sensitivity to the possible

    jurisdictional problem), it has done so for the purpose of

    determining factually whether Doulamis was treated differently


    -32-












    than men for doing the same thing, and not to define legally what

    is or is not a union activity under the NLRA. As the MCAD has

    recognized, Doulamis' sex discrimination claim exists

    independently of any labor law claim. Chaulk's conduct was not

    wrongful only by virtue of, or with reference to, the labor laws.

    Cf. Tamburello v. Comm-Tract Corporation, No. 95-1295, slip op. ___ __________ ______________________

    at 10-11 (1st Cir. October 2, 1995) (RICO claim preempted under

    Garmon where reviewing court would be forced to decide whether ______

    some portion of defendant's conduct violated federal labor laws

    to determine whether the plaintiff had established a RICO

    predicate act).10

    The Sears inquiry suggests that the MCAD claim does not _____

    fall within the scope of Garmon preemption. There is, however, ______

    an even more compelling consideration that yields the same

    conclusion. Of paramount importance in any preemption inquiry,

    including one under Garmon, is congressional intent. See ______ ___

    Metropolitan Life Ins. Co. v. Massachusetts, 471 U.S. 724, 747 ___________________________ _____________

    ____________________

    10 Significantly, particularly with respect to the Younger _______
    issues raised in Part II, any issue concerning whether Doulamis
    was or was not engaged in union activity will arise in this case,
    if at all, by way of Chaulk's potential defense to the action --
    that Doulamis was treated differently than Burgess and other male
    organizers because the male organizers were engaged in protected
    union activity, while Doulamis was not. The Supreme Court has
    said in the analogous context of 301 preemption under the Labor
    Management Relations Act that a defense of preemption is not even
    a sufficient basis for removal of the action to federal court.
    See Caterpillar Inc. v. Williams, 482 U.S. 386, 399 (1987) ("[A] ___ ________________ ________
    defendant cannot, merely by injecting a federal question into an _________
    action that asserts what is plainly a state-law claim, transform
    the action into one arising under federal law, thereby selecting
    the forum in which the claim shall be litigated.") (emphasis in
    original).

    -33-












    (1985) (stating, in discussing NLRA preemption, including Garmon ______

    preemption, that "as in any preemption analysis, [t]he purpose of

    Congress is the ultimate touchstone") (internal quotations

    omitted). If Congress has clearly evidenced its intent one way

    or the other on the question of whether states may regulate an

    area of conduct, federal courts must follow it. Congress has

    clearly evidenced its belief that state anti-discrimination

    statutes do not unduly interfere with federal labor policy.

    Doulamis' claims not only come under chapter 151B but

    also come within the scope of Title VII, 42 U.S.C.A. 2000e to

    e-17 (West 1994 & Supp. 1995), and are within the jurisdiction of

    the Equal Employment Opportunity Commission ("EEOC"). She has in

    fact alleged a violation of Title VII and has indicated in her

    MCAD complaint that she wishes to have her charges filed with the

    EEOC.

    The Supreme Court has said that the NLRA and Title VII

    provide concurrent remedies. See Alexander v. Gardner-Denver ___ _________ ______________

    Co., 415 U.S. 36, 47-48 (1974); see also Beverly v. Lone Star ___ ___ ____ _______ _________

    Lead Construction Corp., 437 F.2d 1136, 1140 n.22 (5th Cir. _________________________

    1971); cf. Britt v. Grocers Supply Co., Inc., 978 F.2d 1441, ___ _____ _________________________

    1447 (5th Cir. 1992) ("[W]e have held that claims under Title VII

    are not preempted by the NLRA. [Our] cases hold that a remedy is

    available under both the NLRA and Title VII and recognize

    concurrent jurisdiction between Title VII and the NLRA."

    (footnote omitted)), cert. denied, 113 S. Ct. 2929 (1993); Morgan _____ ______ ______

    v. Massachusetts General Hosp., 901 F.2d 186, 194 (1st Cir. 1990) ___________________________


    -34-












    ("Clearly, if an employee has engaged in expression against

    employer policies, even within the context of union activities,

    which violate the Civil Rights Act, such as discriminatory

    treatment of minorities or sexual harassment, and the employee

    alleges discharge for that expression, section 704(a) [of the

    Civil Rights Act] would be implicated for the narrow expression-

    related claims.").11

    Thus, even accepting the majority's view that the

    factual basis for the sex discrimination claim provides the same

    basis for the unfair employment practice claim and that the sex

    discrimination claim is identical to that before the NLRB,

    Doulamis is still entitled to pursue her claim under Title VII

    before the EEOC. See Alexander, 415 U.S. at 47-48. Since the ___ _________

    conduct prohibited by Title VII is nearly the same as that

    proscribed by chapter 151B and Congress intended Title VII to

    provide a concurrent remedy to the NLRA in areas of overlap, it

    would be difficult to impute to Congress any hostility to the

    enforcement of chapter 151B with respect to areas of potential

    overlap with the NLRA.

    There is, however, no need to rely on such a general

    proposition in this case because Congress has affirmatively

    stated in the language and through the structure of Title VII

    itself that state anti-discrimination laws may provide a remedy

    that overlaps with the NLRA. Not only did Congress affirmatively
    ____________________

    11 It is clear also that jurisdiction is concurrent between the
    EEOC and NLRB over claims that may fall within each statute. See ___
    Beverly, 437 F.2d at 1140, n.22. _______

    -35-












    preserve the operation of state anti-discrimination laws in Title

    VII, see 42 U.S.C.A. 2000e-7, but it made the state anti- ___

    discrimination statutes an integral component of the Title VII

    enforcement structure. See 42 U.S.C.A. 2000e-5(c) ("section ___

    706(c)"). Section 706(c) of Title VII explicitly provides that

    in states like Massachusetts (which have anti-discrimination

    statutes and an agency charged with enforcing the state statute)

    jurisdiction in the state administrative agency is exclusive for _________

    the first 60 days after a claim is filed. See 42 U.S.C.A. ___

    2000e-5(c).

    The importance of state anti-discrimination statutes in

    the enforcement scheme of Title VII was of major concern to

    Congress in enacting Title VII. Isaac v. Harvard University, 769 _____ __________________

    F.2d 817, 822 (1st Cir. 1985) ("The issue reflected in section

    706(c), the relationship between federal and state remedies for

    employment discrimination, received much attention throughout the

    legislative process."). The legislative history shows that

    section 706(c) of Title VII was enacted "'to keep primary,

    exclusive jurisdiction in the hands of the State commissions for

    a sufficient period of time to let them work out their own

    problems at the local level.'" Id. (quoting 110 Cong. Rec. 13087 ___

    (1964) (comments of Senator Dirksen)).12 It was critical to
    ____________________

    12 The EEOC has recognized the importance of allowing state
    anti-discrimination statutes to operate in order to effectuate
    Congress' purposes for Title VII. See, e.g., 29 C.F.R. ___ ____
    1601.13(a)(3)(i) (1995) ("In order to give full weight to the
    policy of section 706(c) of title VII, which affords State and
    local fair employment practice ["FEP"] agencies that come within
    the provisions of that section an opportunity to remedy alleged

    -36-












    the passage of Title VII that the federal government initially

    defer to the states in matters involving discrimination.

    Moreover, Congress did not devise this enforcement structure

    simply for administrative convenience (i.e., to avoid duplication

    of effort). As this court has previously said, section 706(c)

    "was first, and foremost, a statute of deference." Isaac, 769 _____

    F.2d at 824; see also id. at 824 n.9 (citing Oscar Mayer & Co. v. ___ ____ ___ _________________

    Evans, 441 U.S. 750 (1979) and stating that "[t]he Court's _____

    implicit message appears to be that deference, and not

    duplication, was at the heart of section 706(c)").13 And

    Congress clearly had the NLRA in mind when it mandated this

    principle of deference to the state anti-discrimination statutes.

    See Alexander, 415 U.S. at 48 n.9 (quoting 110 Cong. Rec. 7207 ___ _________

    (1964) (where Senator Joseph Clark, one of the sponsors of the

    bill, introduced an interpretive memorandum specifically

    mentioning the relationship between Title VII and the NLRA)).

    If Congress believed that state anti-discrimination

    statutes could not regulate coextensively with Title VII, then

    perhaps preemption would be appropriate. But that is not the

    case. Nothing in Title VII says that state anti-discrimination
    ____________________

    discrimination concurrently regulated by title VII or the ADA and
    State or local law, the Commission adopts the following
    procedures with respect to allegations of discrimination filed
    with the Commission.").


    13 Under the EEOC's regulations the MCAD is not only a
    designated FEP agency, see 29 C.F.R. 1601.74 (1995), but it is ___
    a certified designated FEP agency, see 1601.80 (1995), to which _________ ___
    the EEOC gives a higher level of deference than it otherwise does
    to designated FEPs. See 29 C.F.R. 1601.75(a) (1995). ___

    -37-












    statutes cannot apply coextensively with Title VII. More

    significantly, there clearly is nothing that says that the

    exclusive jurisdiction of state administrative agencies under

    section 706(c) is limited to cases under Title VII that do not

    overlap with the NLRA.

    It is possible to draw at least two conclusions

    relevant to congressional intent from Title VII. First, Congress

    affirmatively intended that state anti-discrimination statutes

    would operate to regulate conduct covered by Title VII to the

    same extent as Title VII itself and, thus, in areas that might

    also be covered by the NLRA. Second, Congress could not have

    intended to eliminate the operation of state anti-discrimination

    statutes over claims covered by Title VII because that would

    actively impair the operation of Title VII and frustrate the ______

    enforcement scheme Congress envisioned. Not even ERISA

    preemption, which is arguably much broader than Garmon ______

    preemption, see Metropolitan Life Ins. Co. v. Massachusetts, 471 ___ ___________________________ _____________

    U.S. 724, 747 (1985) (distinguishing ERISA preemption from NLRA

    preemption by stating that ERISA preemption is statutorily

    mandated), allows preemption where it would impair the operation

    of Title VII. See Shaw v. Delta Airlines, Inc., 463 U.S. 85, 102 ___ ____ ____________________

    (1983) (where ERISA preemption of a state anti-discrimination

    statute would impair the operation of Title VII, there is no

    preemption). The reasonable conclusion is that Congress intended

    to allow state anti-discrimination statutes to overlap with the

    NLRA.


    -38-












    The Supreme Court's decision in Alexander v. Gardner- _________ ________

    Denver Co., 415 U.S. 36 (1974), reinforces this conclusion. In __________

    Alexander the Court was called upon to determine the relationship _________

    between the federal courts and the grievance-arbitration

    machinery of collective bargaining agreements in the resolution

    and enforcement of an individual's rights under Title VII. There

    an employee had a claim for discrimination that was clearly

    covered by a collective bargaining agreement.14 At issue was

    whether the employee's remedies provided in the collective

    bargaining agreement (and subject to arbitration) precluded a

    suit in federal court based on Title VII.15 The Court

    unanimously held that it did not, saying:

    [L]egislative enactments in this area
    have long evinced a general intent to
    accord parallel or overlapping remedies
    against discrimination. In the Civil
    Rights Act of 1964, 42 U.S.C. 2000a et __
    seq., Congress indicated that it ____
    considered the policy against
    discrimination to be of the "highest
    priority." Newman v. Piggie Park ______ ____________
    Enterprises, [390 U.S. 400, 402 (1968)]. ___________
    Consistent with this view, Title VII
    provides for consideration of employment-
    discrimination claims in several forums.
    See 42 U.S.C. 2000e-5(b) (1970 ed., ___
    Supp. II) (EEOC); 42 U.S.C. 2000e-5(c)
    (1970 ed., Supp. II) (state and local ________________
    agencies); 42 U.S.C. 2000e-5(f) (1970 ________
    ed., Supp. II) (federal courts). And, in
    general, submission of a claim to one
    ____________________

    14 The right to bargain collectively is, of course, an NLRA
    conferred right. Allis-Chalmers Corp. v. Lueck, 471 U.S. 202, ____________________ _____
    213 n.8 (1985).

    15 In Alexander, as here, there had been no waiver of statutory _________
    rights. See Gilmer v. Interstate/Johnson Lane Corp., 500 U.S. ___ ______ ______________________________
    20, 35 (1991).

    -39-












    forum does not preclude a later
    submission to another. Moreover, the
    legislative history of Title VII
    manifests a congressional intent to allow
    an individual to pursue independently his
    rights under both Title VII and other _____
    applicable state and federal statutes. _____________________________________

    Alexander, 415 U.S. at 47-48 (emphasis supplied; footnotes _________

    omitted);16 see also Brown v. Hotel and Restaurant Employees ___ ____ _____ ________________________________

    and Bartenders Intern. Union, Local 54, 468 U.S. 491 (1984).17 ______________________________________
    ____________________

    16 The Court has applied a similar analysis in analogous
    situations. See Lingle v. Norge Division of Magic Chef, Inc., ___ ______ ___________________________________
    486 U.S. 399, 412 (1988) (suggesting that " 301 does not preempt
    state anti-discrimination laws, even though a suit under these
    laws, like a suit alleging retaliatory discharge, requires a
    state court to determine whether just cause existed to justify
    the discharge." (citation omitted)); Colorado Anti-Discrimination ____________________________
    Commission v. Continental Air Lines, Inc., 372 U.S. 714, 724 __________ ____________________________
    (1963) (rejecting a claim that a state anti-discrimination law
    was preempted by the Railway Labor Act, which is similar to the
    National Labor Relations Act).

    17 At issue in Brown was whether 86 and 93 of the New Jersey _____
    Casino Control Act (which set qualifications for union officials)
    were preempted by 7 of the NLRA. It was argued that the New
    Jersey statute was preempted because it interfered with the right
    protected under 7 of employees to choose their union officials.
    The Supreme Court held that 7 did not completely preempt 86
    and 93 of the New Jersey statute. In the Court's view, Congress
    had, through the passage of the Labor-Management Reporting and
    Disclosure Act ("LMRDA"), disclaimed any intent to pre-empt all
    state regulation which touched upon the specific right of
    employees to decide which individuals will serve as officials of
    their bargaining representatives. The LMRDA had imposed, in
    504(a), federal qualification standards for union
    representatives. Because the LMRDA affirmatively preserved the
    operation of state laws in 603 and made 504(a) itself
    dependent in part on state laws for its enforcement, the Court
    held that state laws could impose their own similar qualification
    standards on union officials. Id. at 509. ___

    Brown is highly instructive on the type of approach required _____
    for this case. In Brown, the Court focussed on the indicia of _____
    congressional intent that could be found not just in the NLRA,
    but also in a parallel federal statute. The parallel federal
    statute there specifically reserved a place for state regulation
    over the conduct coming within its scope. While the LMRDA does

    -40-












    National labor relations policy does not begin and end

    with the NLRA. Title VII is as much a part of the network of

    labor relations law as is the NLRA. Where Congress has so

    clearly indicated that state anti-discrimination laws are to

    operate hand in hand with Title VII (indeed, for a limited period

    to the exclusion of Title VII) it is difficult to conclude

    Congress intended preemption under the circumstances here. In

    the words of Garmon, preemption should not be found absent ______

    "compelling congressional direction." Garmon, 359 U.S. at 244. ______

    Here, all the congressional direction is to the effect that state

    anti-discrimination statutes may supplement federal laws,

    including federal labor laws, and Garmon preemption is therefore ______

    inappropriate.

    II.

    Having stated my disagreement with the view that

    Doulamis' sex discrimination claim is preempted by the NLRA, I

    consider what perhaps may be a conceptually prior issue, the

    issue of abstention. By seeking an injunction against the state

    proceedings, Chaulk has effectively asked the federal court to

    enjoin the state courts from deciding the Garmon issue. Thus, ______

    the potentially dispositive question, apart from whether Garmon ______

    preemption is appropriate, is whether this federal court should
    ____________________

    not bear on this case, Title VII does, and Title VII makes clear
    that Congress intended federal and state regulation of
    discrimination to overlap. The differences between Brown and _____
    this case do not affect the central instruction of Brown: that a _____
    federal court must defer to congressional intent in making any
    preemption analysis, even one involving the NLRA and even if it
    is expressed in another federal statute.

    -41-












    bar the state fair employment agency from hearing this claim and

    so bar Massachusetts state courts from deciding the Garmon issue ______

    themselves, or, to the contrary, abstain from decision and allow

    the state agency and courts to proceed. As with the preemption

    issue, this issue is difficult, but on balance I would hold here

    under Younger v. Harris, 401 U.S. 37 (1971), and its progeny, _______ ______

    that abstention is appropriate.

    Younger prevents interference with pending state _______

    administrative proceedings if they are of a judicial nature,

    implicate an important state interest, and provide the federal

    plaintiff an adequate opportunity to litigate his constitutional

    claim. Ohio Civil Rights Commission v. Dayton Christian Schools, ____________________________ _________________________

    Inc., 477 U.S. 619, 627 (1985). Although Chaulk claims that ____

    Younger abstention is a principle of "discretionary deference," _______

    the Supreme Court has stated that where a case falls within the

    Younger parameters, a district court has no discretion to provide _______

    injunctive relief and must abstain. See Colorado River Water ___ _____________________

    Conservation District v. United States, 424 U.S. 800, 816 n.22 _____________________ _____________

    (1976) ("Where a case is properly within [the Younger] category _______

    of cases, there is no discretion to grant injunctive relief.");

    see also Sun Refining & Marketing Co. v. Brennan, 921 F.2d 635, ___ ____ _____________________________ _______

    639 (6th Cir. 1990) ("[U]nlike other forms of abstention, when a

    case is properly within the Younger category of cases, there is _______

    no discretion on the part of the federal court to grant

    injunctive relief."); Seneca-Cayuga Tribe v. State ex rel. ____________________ _______________

    Thompson, 874 F.2d 709, 711 (10th Cir. 1989) (Younger abstention ________ _______


    -42-












    not discretionary once conditions are met, absent extraordinary

    circumstances that render a state court unable to give litigants

    a full and fair hearing on their federal claims).18

    There is no question that the MCAD proceedings were

    ongoing at the time Chaulk's district court complaint was filed,

    see Bettencourt v. Board of Registration in Medicine, 904 F.2d ___ ___________ __________________________________

    772, 777 (1st Cir. 1990) (in determining interference "the proper

    point of reference is the date plaintiff filed his federal

    complaint"), and that the proceedings are judicial in nature.

    See Dayton Christian Schools, 477 U.S. at 629 (finding Ohio Civil ___ ________________________

    Rights Commission proceedings sufficiently judicial in nature).

    The significant questions here are whether the state interest in

    deciding sex discrimination claims is important and whether there

    will be an adequate opportunity for Chaulk to raise the Garmon ______

    preemption question in the Massachusetts state forum.

    The Supreme Court has said that remedying sex

    discrimination is a sufficiently important state interest to

    trigger Younger. See Dayton Christian Schools, 477 U.S. at 628 _______ ___ ________________________

    ("We have no doubt that the elimination of prohibited sex

    discrimination is a sufficiently important state interest to

    bring the present case within the ambit of [Younger and its _______

    progeny]."). Although Chaulk has suggested that there can be no

    significant state interest in this case because it is preempted,
    ____________________

    18 The majority quarrels with this proposition stating that the
    Colorado River case was discussing criminal cases. Colorado _______________ ________
    River, however, was discussing Younger abstention and Younger _____ _______ _______
    clearly applies to non-criminal state administrative proceedings.
    See Dayton Christian Schools, 477 U.S. at 627 & n.2. ___ ________________________

    -43-












    such an argument, I believe, is most likely foreclosed by New ___

    Orleans Public Service, Inc. v. Council of City of New Orleans, ____________________________ _______________________________

    491 U.S. 350, 365 (1989) ("NOPSI"). In NOPSI the Court said that _____ _____

    in determining the importance of the state interest courts should

    "not look narrowly to its interest in the outcome of the

    particular case -- which could arguably be offset by a

    substantial federal interest in the opposite outcome." Id. ___

    Courts rather must look to the "importance of the generic

    proceedings to the State." Id. (citing Dayton Christian ___ _________________

    Schools). As Dayton Christian Schools made explicit, _______ ____________________________

    Massachusetts has a legitimate and important state interest in

    preventing sex discrimination. Thus the important state interest

    prong of Younger is satisfied in this case. _______

    Where there is an important state interest, the Supreme

    Court has noted that a federal court should abstain unless state

    law clearly bars the interposition of the federal plaintiff's

    constitutional claim. Middlesex County Ethics Committee v. ___________________________________

    Garden State Bar Ass'n, 457 U.S. 423, 432 (1982). Here, we have ______________________

    no reason to doubt that the Massachusetts state courts will

    provide Chaulk with a full and fair opportunity to raise the

    Garmon preemption question. Chaulk raised the preemption ______

    argument before the MCAD and will have a further opportunity to

    pursue it before the Massachusetts appellate courts. Dayton ______

    Christian Schools, 477 U.S. at 629 ("[I]t is sufficient . . . _________________

    that constitutional claims may be raised in state-court judicial

    review of the administrative proceeding.") (citation omitted).


    -44-












    If federal law barred the Massachusetts state courts

    from deciding the Garmon preemption question, then the "adequate ______

    opportunity" prong would not be met. Indeed such a proposition

    appears to be at the heart of Chaulk's argument. Chaulk argues:

    "[W]here conduct is arguably protected or prohibited by the NLRA,

    jurisdiction over that conduct is preempted in the labor context

    and is exclusively federal. The determination of whether the __________________________________

    case arguably falls within the preempted field is also to be made _________________________________________________________________

    by the federal courts, not State courts or State tribunals" ________________________________________________________________

    (emphasis supplied).

    But that proposition is untenable and inconsistent with

    the Supreme Court's case law. Although state courts may be

    deprived of jurisdiction to decide a case once it is preempted ____

    under Garmon, they are not deprived of jurisdiction to decide ______

    whether a case is so preempted. State courts have concurrent _______

    jurisdiction to decide federal preemption issues. See Chick Kam ___ _________

    Choo v. Exxon Corp., 486 U.S. 140, 149-50 (1988) ("[W]hen a state ____ ___________

    proceeding presents a federal issue, even a pre-emption issue,

    the proper course is to seek resolution of that issue by the

    state court."); see also Turnbow v. Pacific Mut. Life Ins. Co., ___ ____ _______ ___________________________

    934 F.2d 1100, 1103 (9th Cir. 1991) (no jurisdictional bar to

    state court deciding ERISA preemption question); Sun Refining & ______________

    Marketing Co. v. Brennan, 921 F.2d 635, 641 (6th Cir. 1990) ______________ _______

    (discussing possibility of Younger abstention question in _______

    situation involving state action that was arguably subject to the

    exclusive jurisdiction of Occupational Safety and Health


    -45-












    Administration ("OSHA") and stating, "it is undisputed that

    concurrent jurisdiction exists in the Ohio state courts to decide

    the federal pre-emption issue").

    Garmon preemption is no exception to this principle. ______

    Cf. International Longshoremen's Ass'n, AFL-CIO v. Davis, 476 ___ _____________________________________________ _____

    U.S. 380, 393 (1985) ("when a claim of Garmon preemption is ______

    raised [in state court], it must be considered and resolved by _______________________________________

    the state court" (emphasis supplied)). Because the Massachusetts _______________

    state courts have concurrent jurisdiction to decide the Garmon ______

    preemption issue, Chaulk will have an adequate opportunity to

    raise its Garmon preemption claim in the Massachusetts courts, ______

    and thus the "adequate opportunity" prong of Younger is also met _______

    here.

    Perhaps recognizing that Younger applies to this case, _______

    Chaulk has argued that preemption cases should be treated

    differently than typical Younger abstention cases. It says that _______

    "[t]he real issue in this case is whether a doctrine of comity

    should be applied in a Garmon preemption case." It argues that ______

    treating this case under Younger "confuses two federal concepts _______

    which are rooted in very different soil"; and that while Younger _______

    "is predicated upon discretionary deference by the federal

    government to fundamental State interests," preemption "is

    mandatory and arises under the Constitution, specifically, the

    Supremacy Clause." According to Chaulk "[t]o elevate the

    equitable doctrine of abstention over the Constitutional doctrine

    of preemption would truly be to elevate form over substance."


    -46-












    Whatever the merits of Chaulk's argument in theory, the

    Supreme Court has apparently rejected it. In NOPSI the Court _____

    said that preemption issues do not involve a greater federal

    interest than other constitutional challenges:

    There is no greater federal interest in
    enforcing the supremacy of federal
    statutes than in enforcing the supremacy
    of explicit constitutional guarantees,
    and constitutional challenges to state
    action, no less than pre-emption-based
    challenges, call into question the
    legitimacy of the State's interest in its
    proceedings reviewing or enforcing that
    action. Yet it is clear that the mere
    assertion of a substantial constitutional
    challenge to state action will not alone
    compel the exercise of federal
    jurisdiction. . . . [P]reemption-based
    challenges merit a similar focus . . . .

    Id. at 365. Thus, courts are to analyze Younger abstention cases ___ _______

    involving preemption claims no differently than any other Younger _______

    abstention case, see Sun Refining, 921 F.2d at 639, and even a ___ ____________

    substantial claim of federal preemption is not sufficient to

    overcome Younger. See NOPSI, 491 U.S. at 365-66.19 _______ ___ _____
    ____________________

    19 A distinction exists between preemption involving a choice of
    forum and preemption involving a choice of law. Cf. Violette v. ___ ________
    Smith & Nephew Dyonics, Inc., 62 F.3d 8, 11 (1st Cir. 1995) ______________________________
    (choice of forum preemption is jurisdictional and cannot be
    waived, while choice of law is not and may be waived). The
    argument might be made that because Garmon involves choice of ______
    forum preemption there is a greater federal interest to protect
    than in a case involving choice of law and that, accordingly,
    abstention here might not be appropriate here even if abstention
    for choice of law preemption would be. NOPSI, however, says that _____
    the federal interest is not to be weighed against the state
    interest. See Sun Refining, 921 F.2d at 641. Thus even if the ___ ____________
    federal interest in Garmon preemption is weightier than in choice ______
    of law preemption cases, that consideration does not affect the
    Younger inquiry; abstention is appropriate as long as an _______
    important state interest is identified and the other requirements
    are met. See Middlesex County, 457 U.S. at 431-32; Sun ___ ________________ ___

    -47-












    The exception to Younger that provides that abstention _______

    may be improper where the plaintiff might suffer irreparable

    injury absent equitable relief is not applicable here. A

    sufficient risk of irreparable injury may exist where the

    challenged state statute is "flagrantly and patently violative of

    express constitutional prohibitions. . . ." Younger, 401 U.S. at _______

    53-54. But chapter 151B is hardly flagrantly unconstitutional

    and, given the complexities of the preemption question, it is

    difficult to describe the MCAD's actions as flagrantly or

    patently violative of the Garmon preemption principle. ______

    Further, although the Supreme Court in NOPSI left open _____

    the question of whether a "facially conclusive" claim for

    preemption might fall within the exception to Younger, see NOPSI, _______ ___ _____

    491 U.S. at 367, the preemption claim here is not facially

    conclusive. For Chaulk's preemption claim to be facially

    conclusive the federal courts must be able to determine the state

    action is preempted "without further factual inquiry." Id. ___

    Chaulk cannot meet this standard.

    The MCAD has not sought directly to regulate unfair

    labor practices nor has it questioned the authority of the NLRB

    to adjudicate the unfair labor practices claim. Cf. NOPSI, 491 ___ _____

    U.S. at 367. It has in fact said that "the issue of union

    interference is properly left to the provinces of the NLRB."

    Neither has it challenged the non-admission settlement agreement

    that Chaulk has entered, nor does it appear that the MCAD action
    ____________________

    Refining, 921 F.2d at 641. ________

    -48-












    will undermine that agreement.20 Even if there were reason to

    doubt whether Doulamis has a bona fide claim for sex

    discrimination or whether the MCAD should adjudicate the dispute,

    it would be impossible "conclusively [to] say [the MCAD] is wrong

    without further factual inquiry -- and what requires further

    factual inquiry can hardly be deemed 'flagrantly' unlawful for

    purposes of a threshold abstention determination." NOPSI, 491 _____

    U.S. at 367.21

    Finally, the fact that the union filed a complaint with

    the NLRB before Doulamis filed her complaint before the MCAD does

    not resolve the matter.22 To begin with, Chaulk never raised

    ____________________

    20 There is nothing in the record to show that the NLRB even
    considered Doulamis' claims for sex discrimination in the context
    of the unfair labor practice charges. Moreover, the settlement
    agreement itself "does not preclude persons from filing charges,
    the General Counsel from prosecuting complaints, or the Board and
    the courts from finding violations with respect to matters which __________
    precede the date of the approval of this Agreement regardless of
    whether such matters are known to the General Counsel or are
    readily discoverable" (emphasis supplied).

    21 There may be situations in which the preemption claim could
    be facially conclusive and abstention would not be appropriate.
    For example, this case would be viewed quite differently had
    Doulamis alleged before the MCAD that the discrimination Chaulk
    engaged in was simply based on her potential affiliation in the
    union, as opposed to her gender. In such a case, the question
    whether the claim was within the exclusive jurisdiction of the
    NLRA would not turn on deciding whether her claim was a case of
    artful pleading. No more facts would need be determined and
    under such circumstances abstention would probably not be
    appropriate. Moreover, were the MCAD to assert jurisdiction
    under such circumstances, there would be a good argument that the
    MCAD was behaving in flagrant disregard of the Garmon preemption ______
    principle.

    22 Although Doulamis' complaint before the MCAD was filed on
    December 1, 1993 the proceedings before the MCAD began on
    November 23, 1993 when Doulamis underwent her intake interview.

    -49-












    such a theory as a basis to prevent abstention. Its initial

    brief, its reply brief, and the supplemental letter memorandum

    requested by the panel at oral argument are devoid of any

    argument that abstention is inappropriate because the NLRB

    proceeding was pending at the time of the MCAD complaint. It is

    therefore waived. See Grella v. Salem Five Cent Savings Bank, 42 ___ ______ ____________________________

    F.3d 26, 36 (1st Cir. 1994).

    Moreover, there does not appear to be case law squarely

    supporting such a theory. Indeed, such a theory of abstention

    appears to be at odds with the treatment of the issue in at least

    one other circuit. See Sun Refining, 921 F.2d at 639-42 ___ _____________

    (abstention was appropriate despite claim that the state law

    action violated the exclusive jurisdiction of OSHA and despite

    fact that OSHA action had been pending and concluded months

    before the state action was brought). As a matter of policy, the

    existence of a NLRB action at the time a parallel state

    proceeding is filed should not control the matter here. The

    NLRB, if it so chose, could have sought an injunction against the

    state proceedings if it thought the state proceedings conflicted

    with its exclusive jurisdiction. NLRB v. Nash-Finch Co., 404 ____ _______________

    U.S. 138, 142-44 (1971).23 The fact that the NLRB did not so
    ____________________

    23 Even the cases cited for the proposition that a federal court
    may enjoin a state court's intrusion into a federal agency's
    exclusive jurisdiction do not stand for such a broad proposition.
    In the only labor case cited, American Federation of Labor v. _____________________________
    Watson, 327 U.S. 582 (1946), the court specifically said that for ______
    such an injunction to issue there must be an immediate threat of
    irreparable injury, such as an "imminent threat to an entire
    system of collective bargaining." Id. at 595. No comparable ___
    threat exists here. In fact, in Watson the Court explicitly said ______

    -50-












    move speaks volumes.

    I respectfully dissent.











































    ____________________

    that the threat of multiple prosecutions under the state law
    would not be sufficient to justify an injunction. See id. The ___ ___ ___
    Court also abstained under the doctrine of Railroad Commission of _________ ______________________
    Texas v. Pullman Co., 312 U.S. 496 (1941). See id. at 599. _____ ___________ ___ ___

    -51-






Document Info

Docket Number: 95-1249

Filed Date: 11/27/1995

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (43)

Metropolitan Life Insurance v. Massachusetts , 105 S. Ct. 2380 ( 1985 )

Farmer v. United Brotherhood of Carpenters & Joiners of ... , 97 S. Ct. 1056 ( 1977 )

Alexander v. Gardner-Denver Co. , 94 S. Ct. 1011 ( 1974 )

Huffman v. Pursue, Ltd. , 95 S. Ct. 1200 ( 1975 )

Colorado Anti-Discrimination Commission v. Continental Air ... , 83 S. Ct. 1022 ( 1963 )

Shaw v. Delta Air Lines, Inc. , 103 S. Ct. 2890 ( 1983 )

southwestern-bell-telephone-company-v-arkansas-public-service-commission , 824 F.2d 672 ( 1987 )

Ramsdell v. Western Massachusetts Bus Lines, Inc. , 415 Mass. 673 ( 1993 )

Walker Manufacturing Co. v. Industrial Commission , 27 Wis. 2d 669 ( 1965 )

Oscar Mayer & Co. v. Evans , 99 S. Ct. 2066 ( 1979 )

Allis-Chalmers Corp. v. Lueck , 105 S. Ct. 1904 ( 1985 )

Caterpillar Inc. v. Williams , 107 S. Ct. 2425 ( 1987 )

Lingle v. Norge Division of Magic Chef, Inc. , 108 S. Ct. 1877 ( 1988 )

New Orleans Public Service, Inc. v. Council of City of New ... , 109 S. Ct. 2506 ( 1989 )

National Labor Relations Board v. State of Illinois ... , 988 F.2d 735 ( 1993 )

Paul J. Grella, Trustee v. Salem Five Cent Savings Bank , 42 F.3d 26 ( 1994 )

kentucky-west-virginia-gas-company-equitable-gas-company-a-division-of , 791 F.2d 1111 ( 1986 )

bud-antle-inc-dba-bud-of-california-v-j-antonio-barbosa-personally , 35 F.3d 1355 ( 1994 )

New York Telephone Co. v. New York State Department of Labor , 99 S. Ct. 1328 ( 1979 )

Younger v. Harris , 91 S. Ct. 746 ( 1971 )

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