Oxford Health Plans LLC v. Sutter , 133 S. Ct. 2064 ( 2013 )


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  • (Slip Opinion)              OCTOBER TERM, 2012                                       1
    Syllabus
    NOTE: Where it is feasible, a syllabus (headnote) will be released, as is
    being done in connection with this case, at the time the opinion is issued.
    The syllabus constitutes no part of the opinion of the Court but has been
    prepared by the Reporter of Decisions for the convenience of the reader.
    See United States v. Detroit Timber & Lumber Co., 
    200 U. S. 321
    , 337.
    SUPREME COURT OF THE UNITED STATES
    Syllabus
    OXFORD HEALTH PLANS LLC v. SUTTER
    CERTIORARI TO THE UNITED STATES COURT OF APPEALS FOR
    THE THIRD CIRCUIT
    No. 12–135.      Argued March 25, 2013—Decided June 10, 2013
    Respondent Sutter, a pediatrician, provided medical services to peti-
    tioner Oxford Health Plans’ insureds under a fee-for-services contract
    that required binding arbitration of contractual disputes. He none-
    theless filed a proposed class action in New Jersey Superior Court, al-
    leging that Oxford failed to fully and promptly pay him and other
    physicians with similar Oxford contracts. On Oxford’s motion, the
    court compelled arbitration. The parties agreed that the arbitrator
    should decide whether their contract authorized class arbitration,
    and he concluded that it did. Oxford filed a motion in federal court to
    vacate the arbitrator’s decision, claiming that he had “exceeded [his]
    powers” under §10(a)(4) of the Federal Arbitration Act (FAA), 
    9 U. S. C. §1
     et. seq. The District Court denied the motion, and the
    Third Circuit affirmed.
    After this Court decided Stolt-Nielsen S. A. v. AnimalFeeds Int’l
    Corp., 
    559 U. S. 662
    —holding that an arbitrator may employ class
    procedures only if the parties have authorized them—the arbitrator
    reaffirmed his conclusion that the contract approves class arbitration.
    Oxford renewed its motion to vacate that decision under §10(a)(4).
    The District Court denied the motion, and the Third Circuit affirmed.
    Held: The arbitrator’s decision survives the limited judicial review al-
    lowed by §10(a)(4). Pp. 4−9.
    (a) A party seeking relief under §10(a)(4) bears a heavy burden. “It
    is not enough . . . to show that the [arbitrator] committed an error—
    or even a serious error.” Stolt-Nielsen, 
    559 U. S., at 671
    . Because the
    parties “bargained for the arbitrator’s construction of their agree-
    ment,” an arbitral decision “even arguably construing or applying the
    contract” must stand, regardless of a court’s view of its (de)merits.
    Eastern Associated Coal Corp. v. Mine Workers, 
    531 U. S. 57
    , 62.
    2              OXFORD HEALTH PLANS LLC v. SUTTER
    Syllabus
    Thus, the sole question on judicial review is whether the arbitrator
    interpreted the parties’ contract, not whether he construed it correct-
    ly. Here, the arbitrator twice did what the parties asked: He consid-
    ered their contract and decided whether it reflected an agreement to
    permit class proceedings. That suffices to show that he did not ex-
    ceed his powers under §10(a)(4). Pp. 4−6.
    (b) Stolt-Neilsen does not support Oxford’s contrary view. There,
    the parties stipulated that they had not reached an agreement on
    class arbitration, so the arbitrators did not construe the contract, and
    did not identify any agreement authorizing class proceedings. This
    Court thus found not that they had misinterpreted the contract but
    that they had abandoned their interpretive role. Here, in stark con-
    trast, the arbitrator did construe the contract, and did find an
    agreement to permit class arbitration. So to overturn his decision,
    this Court would have to find that he misapprehended the parties’ in-
    tent. But §10(a)(4) bars that course: It permits courts to vacate an
    arbitral decision only when the arbitrator strayed from his delegated
    task of interpreting a contract, not when he performed that task
    poorly. Oxford’s remaining arguments go to the merits of the arbitra-
    tor’s contract interpretation and are thus irrelevant under §10(a)(4).
    Pp. 6−9.
    
    675 F. 3d 215
    , affirmed.
    KAGAN, J., delivered the opinion for a unanimous Court. ALITO, J.,
    filed a concurring opinion, in which THOMAS, J., joined.
    Cite as: 569 U. S. ____ (2013)                              1
    Opinion of the Court
    NOTICE: This opinion is subject to formal revision before publication in the
    preliminary print of the United States Reports. Readers are requested to
    notify the Reporter of Decisions, Supreme Court of the United States, Wash-
    ington, D. C. 20543, of any typographical or other formal errors, in order
    that corrections may be made before the preliminary print goes to press.
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 12–135
    _________________
    OXFORD HEALTH PLANS LLC, PETITIONER v.
    JOHN IVAN SUTTER
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE THIRD CIRCUIT
    [June 10, 2013]
    JUSTICE KAGAN delivered the opinion of the Court.
    Class arbitration is a matter of consent: An arbitrator
    may employ class procedures only if the parties have au-
    thorized them. See Stolt-Nielsen S. A. v. AnimalFeeds
    Int’l Corp., 
    559 U. S. 662
    , 684 (2010). In this case, an
    arbitrator found that the parties’ contract provided for
    class arbitration. The question presented is whether in
    doing so he “exceeded [his] powers” under §10(a)(4) of the
    Federal Arbitration Act (FAA or Act), 
    9 U. S. C. §1
     et seq.
    We conclude that the arbitrator’s decision survives the
    limited judicial review §10(a)(4) allows.
    I
    Respondent John Sutter, a pediatrician, entered into a
    contract with petitioner Oxford Health Plans, a health in-
    surance company. Sutter agreed to provide medical care
    to members of Oxford’s network, and Oxford agreed to pay
    for those services at prescribed rates. Several years later,
    Sutter filed suit against Oxford in New Jersey Superior
    Court on behalf of himself and a proposed class of other
    New Jersey physicians under contract with Oxford. The
    complaint alleged that Oxford had failed to make full and
    2          OXFORD HEALTH PLANS LLC v. SUTTER
    Opinion of the Court
    prompt payment to the doctors, in violation of their agree-
    ments and various state laws.
    Oxford moved to compel arbitration of Sutter’s claims,
    relying on the following clause in their contract:
    “No civil action concerning any dispute arising under
    this Agreement shall be instituted before any court,
    and all such disputes shall be submitted to final and
    binding arbitration in New Jersey, pursuant to the
    rules of the American Arbitration Association with
    one arbitrator.” App. 15–16.
    The state court granted Oxford’s motion, thus referring
    the suit to arbitration.
    The parties agreed that the arbitrator should decide
    whether their contract authorized class arbitration, and
    he determined that it did. Noting that the question
    turned on “construction of the parties’ agreement,” the
    arbitrator focused on the text of the arbitration clause
    quoted above. Id., at 30. He reasoned that the clause sent
    to arbitration “the same universal class of disputes” that it
    barred the parties from bringing “as civil actions” in court:
    The “intent of the clause” was “to vest in the arbitration
    process everything that is prohibited from the court pro-
    cess.” Id., at 31. And a class action, the arbitrator contin-
    ued, “is plainly one of the possible forms of civil action that
    could be brought in a court” absent the agreement. Ibid.
    Accordingly, he concluded that “on its face, the arbitration
    clause . . . expresses the parties’ intent that class arbitra-
    tion can be maintained.” Id., at 32.
    Oxford filed a motion in federal court to vacate the
    arbitrator’s decision on the ground that he had “exceeded
    [his] powers” under §10(a)(4) of the FAA. The District
    Court denied the motion, and the Court of Appeals for
    the Third Circuit affirmed. See 05–CV–2198, 
    2005 WL 6795061
     (D NJ, Oct. 31, 2005), aff ’d, 
    227 Fed. Appx. 135
    (2007).
    Cite as: 569 U. S. ____ (2013)            3
    Opinion of the Court
    While the arbitration proceeded, this Court held in
    Stolt-Nielsen that “a party may not be compelled under
    the FAA to submit to class arbitration unless there is a
    contractual basis for concluding that the party agreed to
    do so.” 
    559 U. S., at 684
    . The parties in Stolt-Nielsen
    had stipulated that they had never reached an agreement
    on class arbitration. Relying on §10(a)(4), we vacated the
    arbitrators’ decision approving class proceedings because,
    in the absence of such an agreement, the arbitrators had
    “simply . . . imposed [their] own view of sound policy.” Id.,
    at 672.
    Oxford immediately asked the arbitrator to reconsider
    his decision on class arbitration in light of Stolt-Nielsen.
    The arbitrator issued a new opinion holding that Stolt-
    Nielsen had no effect on the case because this agreement
    authorized class arbitration. Unlike in Stolt-Nielsen, the
    arbitrator explained, the parties here disputed the mean-
    ing of their contract; he had therefore been required “to
    construe the arbitration clause in the ordinary way to
    glean the parties’ intent.” App. 72. And in performing
    that task, the arbitrator continued, he had “found that
    the arbitration clause unambiguously evinced an intention
    to allow class arbitration.” Id., at 70. The arbitrator con-
    cluded by reconfirming his reasons for so construing the
    clause.
    Oxford then returned to federal court, renewing its
    effort to vacate the arbitrator’s decision under §10(a)(4).
    Once again, the District Court denied the motion, and the
    Third Circuit affirmed. The Court of Appeals first under-
    scored the limited scope of judicial review that §10(a)(4)
    allows: So long as an arbitrator “makes a good faith at-
    tempt” to interpret a contract, “even serious errors of law
    or fact will not subject his award to vacatur.” 
    675 F. 3d 215
    , 220 (2012). Oxford could not prevail under that
    standard, the court held, because the arbitrator had “en-
    deavored to give effect to the parties’ intent” and “articu-
    4               OXFORD HEALTH PLANS LLC v. SUTTER
    Opinion of the Court
    late[d] a contractual basis for his decision.” 
    Id.,
     at
    223–224. Oxford’s objections to the ruling were “simply
    dressed-up arguments that the arbitrator interpreted its
    agreement erroneously.” 
    Id., at 224
    .
    We granted certiorari, 568 U. S. ___ (2012), to address
    a circuit split on whether §10(a)(4) allows a court to vacate
    an arbitral award in similar circumstances.1 Holding that
    it does not, we affirm the Court of Appeals.
    II
    Under the FAA, courts may vacate an arbitrator’s deci-
    sion “only in very unusual circumstances.” First Options
    of Chicago, Inc. v. Kaplan, 
    514 U. S. 938
    , 942 (1995).
    That limited judicial review, we have explained, “main-
    tain[s] arbitration’s essential virtue of resolving disputes
    straightaway.” Hall Street Associates, L. L. C. v. Mattel,
    Inc., 
    552 U. S. 576
    , 588 (2008). If parties could take
    “full-bore legal and evidentiary appeals,” arbitration would
    become “merely a prelude to a more cumbersome and time-
    consuming judicial review process.” 
    Ibid.
    Here, Oxford invokes §10(a)(4) of the Act, which author-
    izes a federal court to set aside an arbitral award “where
    the arbitrator[] exceeded [his] powers.” A party seeking
    relief under that provision bears a heavy burden. “It is
    not enough . . . to show that the [arbitrator] committed an
    error—or even a serious error.” Stolt-Nielsen, 
    559 U. S., at 671
    . Because the parties “bargained for the arbitra-
    tor’s construction of their agreement,” an arbitral decision
    “even arguably construing or applying the contract” must
    stand, regardless of a court’s view of its (de)merits. East-
    ern Associated Coal Corp. v. Mine Workers, 
    531 U. S. 57
    ,
    62 (2000) (quoting Steelworkers v. Enterprise Wheel & Car
    ——————
    1 Compare675 F. 3d 215 (CA3 2012) (case below) (vacatur not proper),
    and Jock v. Sterling Jewelers Inc., 
    646 F. 3d 113
     (CA2 2011) (same),
    with Reed v. Florida Metropolitan Univ., Inc., 
    681 F. 3d 630
     (CA5 2012)
    (vacatur proper).
    Cite as: 569 U. S. ____ (2013)                       5
    Opinion of the Court
    Corp., 
    363 U. S. 593
    , 599 (1960); Paperworkers v. Misco,
    Inc., 
    484 U. S. 29
    , 38 (1987); internal quotation marks
    omitted). Only if “the arbitrator act[s] outside the scope
    of his contractually delegated authority”—issuing an
    award that “simply reflect[s] [his] own notions of [economic]
    justice” rather than “draw[ing] its essence from the con-
    tract”—may a court overturn his determination. Eastern
    Associated Coal, 
    531 U. S., at 62
     (quoting Misco, 
    484 U. S., at 38
    ). So the sole question for us is whether the arbitra-
    tor (even arguably) interpreted the parties’ contract, not
    whether he got its meaning right or wrong.2
    And we have already all but answered that question just
    by summarizing the arbitrator’s decisions, see supra, at 2–
    3; they are, through and through, interpretations of the
    parties’ agreement. The arbitrator’s first ruling recited
    the “question of construction” the parties had submitted
    to him: “whether [their] Agreement allows for class action
    arbitration.” App. 29–30. To resolve that matter, the
    arbitrator focused on the arbitration clause’s text, analyz-
    ——————
    2 We would face a different issue if Oxford had argued below that the
    availability of class arbitration is a so-called “question of arbitrability.”
    Those questions—which “include certain gateway matters, such as
    whether parties have a valid arbitration agreement at all or whether
    a concededly binding arbitration clause applies to a certain type of
    controversy”—are presumptively for courts to decide. Green Tree
    Financial Corp. v. Bazzle, 
    539 U. S. 444
    , 452 (2003) (plurality opinion).
    A court may therefore review an arbitrator’s determination of such a
    matter de novo absent “clear[] and unmistakabl[e]” evidence that the
    parties wanted an arbitrator to resolve the dispute. AT&T Technolo-
    gies, Inc. v. Communications Workers, 
    475 U. S. 643
    , 649 (1986). Stolt-
    Nielsen made clear that this Court has not yet decided whether the
    availability of class arbitration is a question of arbitrability. See 
    559 U. S., at 680
    . But this case gives us no opportunity to do so because
    Oxford agreed that the arbitrator should determine whether its con-
    tract with Sutter authorized class procedures. See Brief for Petitioner
    38, n. 9 (conceding this point). Indeed, Oxford submitted that issue to
    the arbitrator not once, but twice—and the second time after Stolt-
    Nielsen flagged that it might be a question of arbitrability.
    6          OXFORD HEALTH PLANS LLC v. SUTTER
    Opinion of the Court
    ing (whether correctly or not makes no difference) the
    scope of both what it barred from court and what it sent
    to arbitration. The arbitrator concluded, based on that
    textual exegesis, that the clause “on its face . . . expresses
    the parties’ intent that class action arbitration can be
    maintained.” Id., at 32. When Oxford requested reconsid-
    eration in light of Stolt-Nielsen, the arbitrator explained
    that his prior decision was “concerned solely with the par-
    ties’ intent as evidenced by the words of the arbitration
    clause itself.” App. 69. He then ran through his textual
    analysis again, and reiterated his conclusion: “[T]he text of
    the clause itself authorizes” class arbitration. Id., at 73.
    Twice, then, the arbitrator did what the parties had asked:
    He considered their contract and decided whether it re-
    flected an agreement to permit class proceedings. That
    suffices to show that the arbitrator did not “exceed[ ] [his]
    powers.” §10(a)(4).
    Oxford’s contrary view relies principally on Stolt-
    Nielsen. As noted earlier, we found there that an arbitra-
    tion panel exceeded its powers under §10(a)(4) when it
    ordered a party to submit to class arbitration. See supra,
    at 3. Oxford takes that decision to mean that “even the
    ‘high hurdle’ of Section 10(a)(4) review is overcome when
    an arbitrator imposes class arbitration without a sufficient
    contractual basis.” Reply Brief 5 (quoting Stolt-Nielsen,
    
    559 U. S., at 671
    ). Under Stolt-Nielson, Oxford asserts, a
    court may thus vacate “as ultra vires” an arbitral decision
    like this one for misconstruing a contract to approve class
    proceedings. Reply Brief 7.
    But Oxford misreads Stolt-Nielsen: We overturned the
    arbitral decision there because it lacked any contractual
    basis for ordering class procedures, not because it lacked,
    in Oxford’s terminology, a “sufficient” one. The parties in
    Stolt-Nielsen had entered into an unusual stipulation that
    they had never reached an agreement on class arbitration.
    See 
    559 U. S., at
    668–669, 673. In that circumstance, we
    Cite as: 569 U. S. ____ (2013)            7
    Opinion of the Court
    noted, the panel’s decision was not—indeed, could not
    have been—“based on a determination regarding the
    parties’ intent.” 
    Id., at 673, n. 4
    ; see 
    id., at 676
     (“Th[e]
    stipulation left no room for an inquiry regarding the par-
    ties’ intent”). Nor, we continued, did the panel attempt to
    ascertain whether federal or state law established a “de-
    fault rule” to take effect absent an agreement. 
    Id., at 673
    .
    Instead, “the panel simply imposed its own conception of
    sound policy” when it ordered class proceedings. 
    Id., at 675
    . But “the task of an arbitrator,” we stated, “is to
    interpret and enforce a contract, not to make public policy.”
    
    Id., at 672
    . In “impos[ing] its own policy choice,” the
    panel “thus exceeded its powers.” 
    Id., at 677
    .
    The contrast with this case is stark. In Stolt-Nielsen,
    the arbitrators did not construe the parties’ contract, and
    did not identify any agreement authorizing class proceed-
    ings. So in setting aside the arbitrators’ decision, we
    found not that they had misinterpreted the contract, but
    that they had abandoned their interpretive role. Here, the
    arbitrator did construe the contract (focusing, per usual,
    on its language), and did find an agreement to permit
    class arbitration. So to overturn his decision, we would
    have to rely on a finding that he misapprehended the par-
    ties’ intent. But §10(a)(4) bars that course: It permits
    courts to vacate an arbitral decision only when the arbi-
    trator strayed from his delegated task of interpreting a
    contract, not when he performed that task poorly. Stolt-
    Nielsen and this case thus fall on opposite sides of the line
    that §10(a)(4) draws to delimit judicial review of arbitral
    decisions.
    The remainder of Oxford’s argument addresses merely
    the merits: The arbitrator, Oxford contends at length,
    badly misunderstood the contract’s arbitration clause. See
    Brief for Petitioner 21–28. The key text, again, goes as
    follows: “No civil action concerning any dispute arising
    under this Agreement shall be instituted before any court,
    8          OXFORD HEALTH PLANS LLC v. SUTTER
    Opinion of the Court
    and all such disputes shall be submitted to final and bind-
    ing arbitration.” App. 15–16. The arbitrator thought that
    clause sent to arbitration all “civil action[s]” barred from
    court, and viewed class actions as falling within that
    category. See supra, at 2. But Oxford points out that the
    provision submits to arbitration not any “civil action[s],”
    but instead any “dispute arising under” the agreement.
    And in any event, Oxford claims, a class action is not a
    form of “civil action,” as the arbitrator thought, but merely
    a procedural device that may be available in a court. At
    bottom, Oxford maintains, this is a garden-variety arbi-
    tration clause, lacking any of the terms or features that
    would indicate an agreement to use class procedures.
    We reject this argument because, and only because, it is
    not properly addressed to a court. Nothing we say in this
    opinion should be taken to reflect any agreement with the
    arbitrator’s contract interpretation, or any quarrel with
    Oxford’s contrary reading. All we say is that convincing a
    court of an arbitrator’s error—even his grave error—is not
    enough. So long as the arbitrator was “arguably constru-
    ing” the contract—which this one was—a court may not
    correct his mistakes under §10(a)(4). Eastern Associated
    Coal, 
    531 U. S., at 62
     (internal quotation marks omitted).
    The potential for those mistakes is the price of agreeing
    to arbitration. As we have held before, we hold again: “It
    is the arbitrator’s construction [of the contract] which was
    bargained for; and so far as the arbitrator’s decision con-
    cerns construction of the contract, the courts have no
    business overruling him because their interpretation of
    the contract is different from his.” Enterprise Wheel, 
    363 U. S. at 599
    . The arbitrator’s construction holds, however
    good, bad, or ugly.
    In sum, Oxford chose arbitration, and it must now live
    with that choice. Oxford agreed with Sutter that an arbi-
    trator should determine what their contract meant, in-
    cluding whether its terms approved class arbitration. The
    Cite as: 569 U. S. ____ (2013)                  9
    Opinion of the Court
    arbitrator did what the parties requested: He provided an
    interpretation of the contract resolving that disputed
    issue. His interpretation went against Oxford, maybe
    mistakenly so. But still, Oxford does not get to rerun
    the matter in a court. Under §10(a)(4), the question for a
    judge is not whether the arbitrator construed the parties’
    contract correctly, but whether he construed it at all.
    Because he did, and therefore did not “exceed his powers,”
    we cannot give Oxford the relief it wants. We accordingly
    affirm the judgment of the Court of Appeals.
    It is so ordered.
    Cite as: 569 U. S. ____ (2013)            1
    ALITO, J., concurring
    SUPREME COURT OF THE UNITED STATES
    _________________
    No. 12–135
    _________________
    OXFORD HEALTH PLANS LLC, PETITIONER v.
    JOHN IVAN SUTTER
    ON WRIT OF CERTIORARI TO THE UNITED STATES COURT OF
    APPEALS FOR THE THIRD CIRCUIT
    [June 10, 2013]
    JUSTICE ALITO, with whom JUSTICE THOMAS joins,
    concurring.
    As the Court explains, “[c]lass arbitration is a matter of
    consent,” ante, at 1, and petitioner consented to the arbi-
    trator’s authority by conceding that he should decide in
    the first instance whether the contract authorizes class
    arbitration. The Court accordingly refuses to set aside the
    arbitrator’s ruling because he was “ ‘arguably construing
    . . . the contract’ ” when he allowed respondent to proceed
    on a classwide basis. Ante, at 8 (quoting Eastern Associated
    Coal Corp. v. Mine Workers, 
    531 U. S. 57
    , 62 (2000)).
    Today’s result follows directly from petitioner’s concession
    and the narrow judicial review that federal law allows in
    arbitration cases. See 
    9 U. S. C. §10
    (a).
    But unlike petitioner, absent members of the plaintiff
    class never conceded that the contract authorizes the ar-
    bitrator to decide whether to conduct class arbitration.
    It doesn’t. If we were reviewing the arbitrator’s interpre-
    tation of the contract de novo, we would have little trouble
    concluding that he improperly inferred “[a]n implicit
    agreement to authorize class-action arbitration . . . from
    the fact of the parties’ agreement to arbitrate.” Stolt-
    Nielsen S. A. v. AnimalFeeds Int’l Corp., 
    559 U. S. 662
    ,
    685 (2010).
    With no reason to think that the absent class members
    2          OXFORD HEALTH PLANS LLC v. SUTTER
    ALITO, J., concurring
    ever agreed to class arbitration, it is far from clear that
    they will be bound by the arbitrator’s ultimate resolution
    of this dispute. Arbitration “is a matter of consent, not
    coercion,” Volt Information Sciences, Inc. v. Board of Trus-
    tees of Leland Stanford Junior Univ., 
    489 U. S. 468
    , 479
    (1989), and the absent members of the plaintiff class have
    not submitted themselves to this arbitrator’s authority in
    any way. It is true that they signed contracts with arbi-
    tration clauses materially identical to those signed by the
    plaintiff who brought this suit. But an arbitrator’s erro-
    neous interpretation of contracts that do not authorize
    class arbitration cannot bind someone who has not author-
    ized the arbitrator to make that determination. As the
    Court explains, “[a]n arbitrator may employ class proce-
    dures only if the parties have authorized them.” Ante,
    at 1.
    The distribution of opt-out notices does not cure this
    fundamental flaw in the class arbitration proceeding in
    this case. “[A]rbitration is simply a matter of contract
    between the parties,” First Options of Chicago, Inc. v.
    Kaplan, 
    514 U. S. 938
    , 943 (1995), and an offeree’s silence
    does not normally modify the terms of a contract, 1 Re-
    statement (Second) of Contracts §69(1) (1979). Accord-
    ingly, at least where absent class members have not been
    required to opt in, it is difficult to see how an arbitrator’s
    decision to conduct class proceedings could bind absent
    class members who have not authorized the arbitrator to
    decide on a classwide basis which arbitration procedures
    are to be used.
    Class arbitrations that are vulnerable to collateral at-
    tack allow absent class members to unfairly claim the
    “benefit from a favorable judgment without subjecting
    themselves to the binding effect of an unfavorable one,”
    American Pipe & Constr. Co. v. Utah, 
    414 U. S. 538
    , 546–
    547 (1974). In the absence of concessions like Oxford’s,
    this possibility should give courts pause before concluding
    Cite as: 569 U. S. ____ (2013)             3
    ALITO, J., concurring
    that the availability of class arbitration is a question the
    arbitrator should decide. But because that argument was
    not available to petitioner in light of its concession below,
    I join the opinion of the Court.
    

Document Info

Docket Number: 12-135

Citation Numbers: 186 L. Ed. 2d 113, 133 S. Ct. 2064, 2013 U.S. LEXIS 4358

Filed Date: 6/10/2013

Precedential Status: Precedential

Modified Date: 5/7/2020

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