DocketNumber: No. 22073
Citation Numbers: 440 F.2d 174
Judges: Leventhal, MacKinnon
Filed Date: 6/30/1970
Status: Precedential
Modified Date: 11/26/2022
This appeal concerns the provisions of the National Labor Relations Act (“Act”), 29 U.S.C. § 141 et seq., applicable to jurisdictional disputes. The particular jurisdictional dispute involves whether the job of applying a coat of mortar on a wall to be tiled should be given to the Plasterers or the Tile Setters (that is, to petitioner, Plasterers Local Union No. 79, Operative Plasterers and Cement Masons’ International Assn., AFL-CIO, or to intervenor, Tile Terrazzo and Marble Setters Local Union No. 20 of the Bricklayers, Masons and Plasterers International Union).
Following a hearing pursuant to § 10 (k) of the National Labor Relations Act,
The Plasterers claim the Joint Board awarded the work to them,
These questions are before this court on the petition of Plasterers to review, and the cross-application of the Board to enforce, a June 27, 1968 order in which the Board found that Plasterers had committed an unfair labor practice in violation of § 8(b) (4) (D) of the Act
We agree with the Plasterers that the Board may not properly proceed to determine a jurisdictional dispute pursuant to § 10 (k) when the disputing unions have agreed to settle their dispute through binding arbitration. In as much as the Board’s finding of an 8(b) (4) (D) violation incorporates and relies on
I The Jurisdictional Disputes
The focus of these jurisdictional disputes can be traced to the development in the mid-1950’s of the thin-set or adhesive method of applying tile. Previously it was necessary to set tile in a bed of wet plaster so that moisture would not be absorbed from the bonding agent before it hardened and formed a firm bond. The application of this setting bed or float coat was the work of tile setters. The thin-set method, on the other hand, employed new bonding agents which made it possible to apply tile directly to a smooth surface of dry plaster on a thin coat of dry-set mortar. The Tile Setters contended that they should prepare this smooth plaster surface just as they had prepared the wet setting bed. The Plasterers took the position that the tile setter was only entitled to apply his setting bed and that in the thin-set method it was the dry-set mortar and not the smooth and dry plaster surface which constituted the setting bed.
The order concerns picketing which was directed against two different employers, at the sites of two unrelated jobs. The first was the M. D. Anderson Library Job at the University of Houston. Southwestern Construction Co., the general contractor for an addition to the library, had subcontracted to Texas State, a tile contractor employing members of the Tile Setters Union, the work of preparing walls and applying tile to four stairwells and two restrooms on each floor of the eight story building. The tile setters did their initial work in the lavatories where they applied the smooth coat of plaster. The Plasterers claimed this work as theirs, and when this claim was rejected by Tile Setters they submitted the dispute to the Joint Board.
On November 9, 1966, the Joint Board awarded the work in dispute to the Plasterers except that “any coat to be applied wet the same day under tile” was to be placed by Tile Setters. The award stated: “In the thin-set or adhesive method of applying tile to walls and ceilings, the plasterer shall apply the first and second coats of mortar that is the scratch coat and plumb coat. The plasterers shall plumb, rod and square all walls, rod and level all ceilings and the tile setter shall apply the final setting bed for his tile.”
Plasterers thereupon claimed the remaining work of applying a smooth plaster coat on the basis of the award. The Tile Setters refused to relinquish the work, contending that the smooth plaster coat was the tile setter’s “setting bed” and that therefore the Joint Board Award actually supported their claim. On January 24, 1967, Plasterers established a picketline on the jobsite and a work stoppage ensued. Southwestern Construction Company filed an unfair labor practice charge with the Board against Plasterers. On February 10, 1967, the United States District Court for the Southern District of Texas granted the application of the Board’s regional director for an injunction against the picketing and the pickets were removed.
On March 6, 1967, Plasterers requested that the Joint Board clarify its award in view of the contention of the Tile Setters that the award favored their claim. On March 15, 1967, the Joint Board issued a clarification which is set out in part in the footnote.
The second job at which picketing occurred was at the Rainbo Bakery. Here there was no general contractor. Martini, who did not employ plasterers, had a direct contract with the owner calling for the tiling of two walls in one area of the bakery. Tile setters undertook to perform the application of a smooth coat of plaster to metal lath which had been tacked to masonry walls, and the application of dry-set mortar and tile to this plaster surface. The dispute was never submitted to the Joint Board. On March 17, 1967, two days after the clarification by the Joint Board described above, Plasterers picketed the jobsite for the purpose of having transferred to them that part of the work consisting of application of the smooth coat.
II The NLRB Proceedings
On April 6, 7 and 10 through 14, 1967, the Board held a consolidated § 10 (k) hearing to determine these jurisdictional disputes. It issued its decision and determination on August 22, 1967. The Board rejected the Plasterers’ contention that the notice of hearing should be quashed because the disputing unions had agreed on a method for voluntary settlement. It stated: “The Board has consistently held that the employer who assigned the disputed work must be a party to an agreement that purports to settle an existing jurisdictional dispute.” On the merits of the dispute, the Board examined what it considered to be the relevant factors and concluded that Tile Setters were entitled to the work in dispute inasmuch as there was no significant difference between the two employee groups in terms of skill, and the various factors involved were all consistent with the employers’ assignment of the disputed work.
When Plasterers refused to comply with the Board’s determination of the work disputes, the General Counsel of the Board issued a complaint against petitioner alleging a violation of § 8(b) (4) (D) of the Act. At the unfair labor practice hearing held on October 30,1967, the parties agreed to submit on the record in the § 10 (k) proceeding. In its decision and order of June 27, 1968, the Board again rejected Plasterers’ claim that the 10 (k) proceeding was improperly held and found that the union had violated § 8(b) (4) (D). The Board’s order provides that the union shall cease and desist from the use of prohibited means to force or require Texas State or Martini to assign to Plasterers the disputed work at the Anderson Library and Rainbo jobs. The Board also ordered that Plasterers take the affirmative action of posting a notice indicating their intention to abide by the Board’s cease and desist order. The Board’s petition for enforcement is predicated on Plasterers’ refusal to take this affirmative action.
Ill Mootness
A motion to dismiss this case as moot has been filed by intervenor Tile Setters, and the other union intervenors associated with them.
Cease and desist orders of the Board aimed at remedying an unfair labor practice are frequently framed to account for changes in circumstances following the illegal practice. However, the issue of whether an unfair labor practice occurred is not mooted because the particular job involved has been completed. Local 74, United Brotherhood of Carpenters & Joiners v. NLRB, 341 U.S. 707, 715, 71 S.Ct. 966, 95 L.Ed. 1309 (1951); NLRB v. Pennsylvania Greyhound Lines, Inc., 303 U.S. 261, 271, 58 S.Ct. 571, 82 L.Ed. 831 (1938) ; NLRB v. Plumbers Union of Nassau County, 299 F.2d 497 (2d Cir. 1962).
There is precedent permitting the Board to quash a 10(k) proceeding where there could only be a stale hearing, held three years after the incident, and to dismiss the 8(b) (4) (D) complaint on the ground that “no affirmative order issued by the Board could have any effect on the parties to the original controversy since the work had long since been completed,” Tip Top Roofers, Inc. v. NLRB, 324 F.2d 773 (5th Cir. 1963). But here the Board has issued an affirmative order, requiring inter alia the posting of notices, and Plasterers has refused to comply. We see no basis on this record for concluding that the Board acted impermissibly in viewing the controversy as being sufficiently broad and enduring to make appropriate affirmative relief. If the posting order was lawful the Board was entitled to a judicial decree of enforcement. The case is not moot.
IV Proper Construction of Section 10 (k) of the National Labor Relations Act
The Board’s reliance on the 10 (k) record and determination in reaching its conclusion that Plasterers had committed an unfair labor practice preserves the 10 (k) issue as a part of the review of the unfair labor practice determination.
Another provision added at the same time was § 8(b) (4) (D), set forth in the footnote,
Section 10 (k), also set forth in footnote 9, empowers the Board to determine the jurisdictional dispute out of which the unfair labor practice charge has arisen, unless, in the words of an abstention provision, “the parties to such dispute submit to the Board satisfactory evidence that they have adjusted, or agreed upon methods for the voluntary adjustment of, the dispute.”
The Board held this abstention language of § 10 (k) inapplicable, even though the unions had agreed to be bound by the decisions of the Joint Board for the Settlement of Jurisdictional Disputes —a joint board with representatives of employers and employees,
In our view the Board erred in claiming authority under § 10(k) of the Act to determine the merits of a jurisdietional dispute between two unions when the unions had agreed on a method for binding arbitration of their disputes.
Meaning of Abstention Provision of § 10 (k)
The crucial abstention provision does not require voluntary adjustment, or agreement on a method for voluntary adjustment, on the part of all parties to the 8(b) (4) (D) proceeding, or even all parties to the 10 (k) proceeding. Abstention is commanded when “the parties to such dispute” have adjusted the dispute, or agreed on a method for the adjustment of the dispute. The text of § 10(k) shows that the term “such dispute” refers to the underlying jurisdictional “dispute out of which such unfair labor practice shall have arisen.” It is not the employer but the rival unions (or other employee groups) who are the parties to the jurisdictional dispute contesting which employees are entitled to seek the work in question.
Congress could have written § 10 (k) so that the employer would be a necessary party to a procedure for voluntary
Although the precise question before us is in any meaningful sense, one of first impression in the federal court,
Protection Pending Determination under Voluntary Procedure
We interject preliminarily the observation that the provision for Board abstention pending resort to a voluntary adjustment procedure does not remove the machinery provided by the Act for interim protection against work stoppages.
Congress gave to the Board authority to insure that the jurisdictional dispute will not be the cause for further work stoppage while either voluntary procedures, or Board-conducted procedures for determination under § 10 (k), are running their course. Section 10 (l), quoted in the footnote,
CBS Opinion
Focusing on § 10(k) we find guidance and indeed instruction on its meaning, its inter-relationship with § 8(b) (4) (D), and the pertinent legislative history, in NLRB v. Radio and Television Broadcast Engineers Union [CBS], 364 U.S. 573, 81 S.Ct. 330, 5 L.Ed.2d 302 (1961).
First, as to the meaning of the terms of § 10(k), the Supreme Court said (364 U.S. at 579, 81 S.Ct. at 334): “[T]he clause ‘the dispute out of which such unfair labor practice shall have arisen’ can have no other meaning except a jurisdictional dispute under § 8(b) (4) (D) which is a dispute between two or more groups of employees over which is entitled to do certain work for an employer.” Since a jurisdictional dispute for purposes of § 10 (k) is a “dispute between two or more groups of employees,” it follows that these employee groups are “the parties to such dispute” for purposes of determining whether there exists a voluntary adjustment procedure within the abstention provision of 10(k).
Second, as to the purpose of § 10 (k), the Court stressed that “§ 10 (k) offers strong inducements to quarrelling unions to settle their differences * * * ” 364 U.S. at 577, 81 S.Ct. at 333.
As to the purpose of § 10 (k) and § 8 (b) (4) (D) taken together, the Court noted that the legislative history contained a recognition of “the necessity of enacting legislation to protect employers from being ‘the helpless victims of quarrels that do not concern them at all’,” id. at 580-581, 81 S.Ct. at 335, i. e. to protect the neutral employer caught in the crossfire between the disputing unions and unable to satisfy either, in other words “caught between the devil and the deep blue.” 364 U.S. at 575, 81 S.Ct. at 332. The purpose of protecting the neutral employer is fully served by any binding settlement between the disputing employee groups. The neutral employer is one who cares not how the dispute is decided but wants merely that it be decided.
Further Examination of Legislative History
We have undertaken a fresh examination of the relevant legislative history. That history forcefully supports the conclusion that Congress intended in § 10 (k) to encourage disputing unions to establish inter-union machinery for settling jurisdiction disputes and to afford them an opportunity to exhaust this machinery.
The original House bill contained nothing comparable to § 10(k). Senator Morse, who proposed the forerunner provision which emerged, with relatively minor modification, as § 10(k), prepared a “definitional” memorandum, which stated that while there are various kinds of “jurisdictional disputes” they have as their common ingredient a controversy between two or more labor unions.” I Legis.Hist. 951.
Senator Morse proposed a subsection (k) which, as appears from its text in the footnote,
[P]robably one of the greatest benefits that will come from the adoption of such amendments to the Wagner Act as I am proposing this afternoon will be action on the part of the unions themselves to see to it that it does not become necessary, unless in exceptional eases, to resort to the machinery which I have proposed in these amendments * * * because the unions themselves will proceed to establish within their own organizations machinery capable of settling such disputes short of economic action.17
While in some respects the Congress departed from Senator Morse’s proposals,
In its recommendation for adoption of § 10(k), the House Conference Report stated:
The Senate amendment also contained a new section 10 (k), which had no counterpart in the House bill. This section would empower and direct the Board to hear and determine disputes between unions giving rise to unfair labor practices under section 8(b) (4) (D) (jurisdictional strikes). [Emphasis added.]19
There was general agreement on the view that § 10(k) had merit as stimulating settlement machinery within the ranks of labor, agreement even from legislators opposed to other elements of the new law.
Consideration of the Board’s Contrary Construction of § 10 (k)
The meaning of § 10(k) as we understand it is contrary to the construction announced by the Board. That agency’s construction is entitled to deference. However, the text, legislative history and purpose, and precedent, combine to negative the aura of doubt which creates the occasion for giving weight to the Board’s construction. See CBS, supra, 364 U.S. at 585, 81 S.Ct. 330, 5 L.Ed.2d 302; Truck Drivers and Helpers Local Union 728 of Intern. Brotherhood of Teamsters, Chauffeurs, Warehouse-men and Helpers of America, AFL-CIO v. NLRB, 101 U.S.App.D.C. 420, 249 F.2d 512 (1957), cert. denied, 355 U.S. 958, 78 S.Ct. 543, 2 L.Ed.2d 533 (1958). If there was room for doubt prior to CBS, that decision should have alerted the Board to modify its interpretation.
Although the Taft-Hartley Act was amended in 1959, there is no indication that Congress gave consideration to the issue now before us, or even to the subject of jurisdictional strikes. Its inaction concerning a provision whose meaning we do not find really doubtful is not accompanied by any circumstances or indications from which we can discern a “clear design” to accept the Board’s rulings.
Additional Court Precedent
We are in accord with the reasoning in Penello for and on behalf of N.L.R.B. v. Local Union No. 59, Sheet Metal Wkrs. Int. Assn., 195 F.Supp. 458 (D.Del.1961), which rejected the view that the employer’s resistance “could be the sole factor making inoperative” the “voluntary adjustment” abstention provision of § 10(k). Judge Wright declared (at p. 466):
Petitioner would have the Court ignore this policy of § 10 (k), however, for his theory apparently is that no agreement between the groups of employees involved can stay the operation of § 8(b) (4) (D) so long as the employer does not agree. But this argument proves too much, for not only does the Supreme Court view the policies of § 10 (k) as directed towards inducing voluntary settlement between the groups of employees involved, but also the language of that section would seem to compel it.
Rejection of Policy Argument of Board Counsel Overstressing Need To Obtain Employer Acquiescence
To this court counsel for the Board presented an argument on policy grounds that the Board’s construction of § 10 (k) is sound because it is best suited to preservation of industrial peace. We were not specifically cited to Board opinions wherein this policy was set forth by the Board as contrasted with argument of counsel. See Braniff Airways, Inc. v. CAB, 126 U.S.App.D.C. 399, 379 F.2d 453 (1967). But let us consider the contention on its merits.
Board counsel argue (Brief at 17):
Employer acceptance of the “voluntary adjustment” is a prerequisite of final resolution of the dispute, because the employer does not commit an unfair labor practice by ignoring the award made under Section 10(k). * * * Securing the employer’s participation in the dispute-settlement phase enhances the likelihood * * * that he will accept the result. * * *
A similar starting point, that the employer is not bound by the 10(k) deter
For, in the vast majority of eases, such a narrow determination would leave the broader problem of work assignments in the hands of the employer, exactly where it was before the enactment of § 10(k) — with the same old basic jurisdictional dispute likely continuing to vex him, and the rival unions, short of striking, would still be free to adopt other forms of pressure upon the employer.
Scope Given Voluntary Arbitration Procedures
Our conclusion that agreement for binding arbitration between the disputing unions is effective to stay a determination by the Board under § 10(k) is also supported by the general principle that full scope should be given to voluntary arbitration procedures. Carey v. Westinghouse Corp., 375 U.S. 261, 84 S.Ct. 401, 11 L.Ed.2d 320 (1964). Not least of the advantages is the relative speed of voluntary arbitration, as compared with Board adjudicatory procedures — a matter of manifest significance in the handling of jurisdictional strikes.
Importance of Permanent Resolution of Dispute
Furthermore, and significantly, the availability of a binding agreement between the disputing unions creates means of enforcing a permanent resolution of the jurisdictional dispute not otherwise available to the Board. The Act does not authorize the Board to compel an employer to change his assignment, or a union to renounce an assignment that the employer is willing to give. But an award arising out of voluntary binding arbitration can be enforced by peaceful means. The impetus for unions to live up to inter-union agreements rests on reinforcing considerations of honor, reciprocity, mutuality — and enforceability. The winning union may bring an action, either in federal court under § 301 of the Taft-Hartley Act or in state court, to secure injunctive relief against a union that has failed to abide by its agreement to honor the Joint Board decision and renounce the work.
The construction of § 10(k) approved today means that proceedings on 8(b) (4) (D) unfair labor practices charges may be terminated because of union agreements reached after the proceedings are begun. But that is precisely the purpose of § 10 (k) as expressed in CBS, where the Court said (364 U.S. at 576-577, 81 S.Ct. at 332):
Section 10 (k) * * * quite plainly emphasizes the belief of Congress that it is more important to industrial peace that jurisdictional disputes be settled permanently than it is that unfair labor practice sanctions for jurisdictional strikes be imposed upon unions.
It also means that proceedings may be dismissed although an employer is dissatisfied with, and would prefer to contest and litigate, the agreement reached by the unions. The special provisions were passed, however, to protect the employer who was “neutral” in the dispute.
Special Provisions of § 10 (Jc) Inapplicable to Employers Not Truly Neutral in Jurisdictional Dispute
An employer properly has standing under these provisions when he is plagued by employee groups that do not agree, and not when he is dissatisfied with the way they do agree. This principle has indeed been recognized by the Board’s so-called Safeway doctrine in cases where an unfair labor practice violation has been followed by actual agreement between unions, with renunciation of the work.
The essential point is that the employer’s economic interests do not require the Board to pursue the matter under § 10 (k) even though (a) there was an unfair labor practice under § 8(b) (4) (D) in the first instance and (b) the employer is not really neutral as between the unions but makes it clear that he is dissatisfied with the adjustment on which they have agreed. The same principle is fairly operative when the unions have agreed on a method for obtaining an adjustment, a binding arbitration that the unions will generally observe and have power to enforce.
The Taft-Hartley Act, though broad and unqualified in its terms, must be taken in light of its dominant purpose to protect “neutral” employers. This
We need not consider whether in some other case the Board could continue with a § 10(k) proceeding because the rival employee groups had not reached an actual agreement and their agreement on a procedure for adjustment was subject to an infirmity that undercut its fairness and reliability as a method of achieving the industrial peace that is the ultimate objective of Congress.
Our understanding of the thrust of Federal labor policy as developed by Congress proceeds along lines congruous to those developed by the Supreme Court in Boys Markets, Inc. v. Retail Clerks, supra. There the Court reversed a ruling of but nine years standing in order to maintain the efficacy of the arbitration remedy — -viewed in the large as furthered by an injunction preserving the status quo pending the arbitral process. The Court stressed the importance of mutuality — that an employer could not be
Accordingly the petition to review is granted; the petition for enforcement is denied; and the Board’s order of June 27, 1968, 172 NLRB No. 77 is set aside.
So ordered
. 29 U.S.C. § 160(k).
. The Board’s Decision and Determination of Disputes under § 10 (k) was issued on August 22, 1967, and is reported at 167 NLRB No. 23.
. The Plasterers also argue that assuming statutory authority to make an award, the Board’s decision and order were arbitrary as reflecting an excessive weight given by the Board to the factor of the employer’s assignment, and a failure to give due consideration to other factors which supported the Plasterers claim. Our disposition of this appeal makes it unnecessary to reacli this question.
. 29 U.S.C. § 158(b) (4) (D).
. Tlie Board’s Decision and Order in the unfair labor practice phase of the case is reported at 172 NLRB No. 77.
. The Joint Board voted to clarify its job decision by stating that the coat of plaster material which is applied directly to the initial scratch coat or directly to clay tile or cement block walls is for the primary purpose of plumbing, rodding and squaring of walls to receive tile and, in accordance with the agreement of record and the decision of record referred to above, shall be assigned to plasterers.
The Joint Board, in recognition of the problems created by having two different trades working at the same time on separately identifiable work operations, further voted that if the tile to be adhered to the coat of plaster material applied to the initial scratch coat or directly to clay tile or cement block walls is set during the same work day in which such coat is applied the plaster materials
. The other Union Intervenors are: Bricklayers, Masons and Plasterers International Union of America, hereafter “Bricklayers”, International Association of Marble, Slate and Stone Polishers, Rubbers & Sawyers, Tile & Marble Setters’ Helpers & Marble, Mosaic and Terrazzo Workers’ Helpers, hereafter “Helpers,” and Local 108 of the Helpers. Bricklayers is the parent organization of Tile Setters Local 20, whose members were performing the work sought by the Plasterers. The Helpers Union was also interested in the dispute because its members work directly with the Tile Setters, and would be replaced by members of another organization (Laborers’ International Union of America) if the disputed work were assigned to the Plasterers.
. “Since there is no independent review of § 10 (k) work assignments, the only stage at which the [union] can contest the work award is on review of the § 8(b) (i) (ii) (D) unfair labor practice order. If the § 10 (k) order falls, the unfair labor practice order falls with it.” NLRB v. Local 991, ILA, 332 F.2d 66 (5th Cir. 1964).
. (b) It shall be an unfair labor practice for a labor organization or its agents—
* * * * *
(4) (i) to engage in, or to induce or encourage any individual employed by any person engaged in commerce or in an industry affecting commerce to engage in, a strike or a refusal in the course of his employment to use, manufacture, process, transport, or otherwise handle or work on any goods, articles, materials, or commodities or to perform any services; or (ii) to threaten, coerce, or restrain any person engaged in commerce or in an industry affecting commerce, where in either case an object thereof is—
*****
(D) forcing or requiring any employer to assign particular work to employees in a particular labor organization or in a particular trade, craft, or class rather than to employees in another labor organization or in another trade, craft, or class, unless such employer is failing to conform to an order or certification of the Board determining the bargaining representative for employees performing such work.
* sH sjc * *
However, § 8(b) (4) (D) must be read in the light of § 10(k) which provides:
(k) Whenever it is charged that any person has engaged in an unfair labor practice within the meaning of paragraph (4) (D) of section 8(b), the*180 Board is empowered and directed to hear and determine the dispute out of which such unfair labor practice shall have arisen, unless, within ten days after notice that such charge has been filed, the parties to such dispute submit to the Board satisfactory evidence that they have adjusted, or agreed upon methods for the voluntary adjustment of, the dispute. Upon compliance by the parties to the dispute with the decision of the Board or upon such voluntary adjustment of the dispute, such charge shall be dismissed.
. The amicus brief filed by the Building and Construction Trades Department, AFL-CIO, urging the adoption of the construction of § 10(k) advanced by Plasterers, describes the operation of the Joint Board. Article X of the Department’s constitution provides that all jurisdictional disputes shall be settled and adjusted according to a plan established by the Department and that such plan “shall be recognized ns final and binding upon the Department and upon all affiliated Xational or International Unions and their affiliated Local Unions.” The disputing unions in the instant case, the Bricklayers and the Plasterers International Unions and their affiliated locals, the petitioner and intervenor, are affiliated with the Department.
The present “Plan for Xational Joint Board for Settlement of Jurisdictional Disputes” became effective on April 1, 1965. The Plan operates through the Joint Board, the Appeals Board and Hearings Panels established to render nationally effective decisions on an ad hoc basis. These Boards and Panels have both labor and contractor members, and the criteria for decision include inter-union agreements dividing work (the Green Book), established trade practice, practice in the locality and such factors as efficiency and economy of operation. The machinery of the Plan is operative regardless of whether or not the particular employer affected by such a dispute decides to be bound to the Plan. The Plan provides that any decision of the Joint Board, or of the Appeals Board if an appeal is taken, “shall be immediately accepted and complied with by all parties to this Agreement.”
. We do not read the cases cited in footnote 2 of the dissenting opinion as autlioratative support for the Board’s position. While we would not pass over a reasoned view contrary to the one here taken, these cases do not attempt to grapple with the issue before us apparently for the reason that they are not cases where the Board’s interpretation was challenged or where disposition turned on the resolution of this issue. The Board’s brief candidly admits that these cases have no more than “adverted to” the issue before us and contends merely that they “reflect” its view.
. (Z) Whenever it is charged that any person has engaged in an unfair labor practice within the meaning of paragraph (4) (A), (B), or (C) of section 158(b) of this title, or section 158(e) of this title or section 158(b) (7) of this title, the preliminary investigation of such charge shall be made forthwith and given priority over all other cases except cases of like character in the office where it is filed or to which it is referred. If, after such investigation, the officer or regional attorney to whom the matter may be referred has reasonable cause to believe such charge is true and that a complaint should issue, he shall, on behalf of the Board, petition any United States district court within any district where the unfair labor pi’actice in question has occurred, is alleged to have occurred, or wherein such person resides or transacts business, for appropriate injunctive relief pending the final adjudication of the Board with respect to such matter. Upon the filing of any such petition the district court shall have jurisdiction to grant such injunctive relief or temporary restraining order as it deems just and proper, notwithstanding any other provision of law: Provided further, That no temporary restraining order shall be issued without notice unless a petition alleges that substantial and irreparable injury to the charging party will be unavoidable and such temporary restraining order shall be effective for no longer than five days and will become void at the expiration of such period: Provided further, That such officer or regional attorney shall not apply for any restraining order under section 158(b) (7) of this title if a charge against the employer under section 158(a) (2) of this title has
The vigilance of the General Counsel in applying for injunctions in 8(b) (4) (D) cases was noted in K. Strand, Jurisdictional Disputes in Construction: The Causes, the Joint Board and The NLRB 119, n. 1 (1961).
. Local 450, International Union of Operating Engineers, AFL-CIO v. Elliott, Regional Director, 256 F.2d 630, 634 (5th Cir. 1958).
. This is reenforced by the Court’s reference, to the history of these provisions, which came in the wake of a “continuing and widely expressed dissatisfaction with jurisdictional strikes.” See 364 U.S. at 580, 81 S.Ct. at 335, where the Court continued:
As one of the forerunners to these very provisions of the Act, President Truman told the Congress in 1947 that disputes “involving the question of which labor union is entitled to perform a particular task” should be settled, and that if the “rival unions are unable to settle such disputes themselves, provision must be made for peaceful and binding determination of the issues.”
. “Legis. Hist.” refers to the compiled Legislative History of the Labor Management Relations Act, 1947, published by the NLRB (1948).
. See II Legis. Hist. 987: “ (k) Whenever it is charged that any person has engaged in an unfair labor practice within the meaning of paragraph (2) (A) of section 8(b), the Board is empowered to hear and determine the dispute out of which such unfair labor practice shall have arisen or to appoint an arbitrator to hear and determine such dispute, unless, within 10 days after notice that such charge has been filed, the parties to such dispute submit to the Board satisfactory evidence that they have adjusted or agreed upon methods for the voluntary adjustment of the dispute. Upon compliance by the parties to the dispute with the decision of the Board or the arbitrator appointed by the Board or upon such voluntary adjustment of the dispute, such charge shall be dismissed.”
The § 8(b) (2) (A) proposed by Senator Morse was similar to what has become § 8(b) (4) (D), though it defined an unfair labor practice in terms of an inducement to refuse services “because particular work tasks of such employer or any other employer are performed by employees who are or are not members of a particular labor organization.” II Legis. Hist. 986.
. II Legis. Hist. 983.
. 1-Iis subsection (k) was modified so as to make Board determination compulsory rather than discretionary and to remove the provision authorizing reference by the Board to an arbitrator.
. I Legis.I-Iist. 561.
. See Legis.I-Iist. 1046, setting forth Senator Murray’s favorable comment on this provision:
We are confident that the mere threat of governmental action will have a beneficial effect in stimulating labor organizations to set up appropriate machinery for the settlement of such controversies within their own ranks, where they properly should be settled.
. In the wake of CBS, departing as it did from long-standing precedents and approach of the Board, commentators probing the various interrelated problems in depth attacked the Board’s continuance of its definition of “parties” for purposes of § 10 (k) abstention provision.
See Sussman, Section 10 (k): Mandate for Change?, 1967 B.U.L.Rev. 201, 229 (“The NLRB is incorrect in presently requiring that the employer be a party to an agreement procedure before it satisfies the standards necessary to avoid a Section 10(k) hearing”); ABA Sec
. It argued tliat if a striking union which liad no claim to the work under a Board order or certification, or a contract, established its right to the work upon the basis of such factors as custom, tradition, etc., it would be necessary, in order to prevent the 10 (k) determination from being “virtually pointless,” to construe 8(b) (4) (D) as permitting a union to strike to compel compliance with a 10 (k) award. (Br. for NLRB at 9, 10, 20-26.) This would “encourage the very jurisdictional strikes which the Sections were intended to prevent.” (Br. for NLRB at 25.)
. K. Strand, Jurisdictional Disputes in Construction: The Causes, The Joint Board and the NLRB 103-104 (1961).
. Additional avenues to enforcement are provided by the Joint Board itself. The Joint Board’s procedural Rules and Regulations set out compliance procedures which provide, inter alia, that when a union is declared to be in noncompliance, no job decisions shall be issued in favor of that trade pending compliance.
. Highway Truckdrivers & Helpers, Local 107, Int’l Bhd. of Teamsters (Safeway Stores, Inc.), 134 NLRB 1320 (1961); Local 1905, Carpet Linoleum & Soft Tile Layers (Butcher and Sweeney Constr. Co.), 143 NLRB 251 (1963).
In Quinn v. NLRB (Don Cartage Co.) 61 LRRM 2690 (1966) this court remanded a Board disposition of a 10 (k) proceeding made on the basis of a decision by one union renouncing the particular work. This was not accepted as a settlement of the dispute by the other union. The Board decided that the dispute before it in the 10 (k) proceeding should be limited to the particular work, leaving the broader dispute for reference to the new Joint Board established in 1965, which heightened provision for employer participation and attention to employer interests (see note 27, infra). That 1965 procedure to settle the broad dispute was established more than 10 days after the charge was filed in 1964, and hence, under the terms of § 10 (k), came too late to be a mandatory procedure even if the 10 (k) proceeding was viewed as extending to the broad dispute. This court held that the 10 (k) dispute involved in that case was a broad dispute— the case having taken shape, by agreement of all parties, including the Board’s General Counsel, as relating to the broad, continuing dispute, and a long proceeding, with full evidence, had been held on the issue given this scope. All that was involved was a ruling that on the facts of that case the Board had abused its discretion in endeavoring to narrow the dispute awaiting its determination.
. National Woodwork Mfrs. Ass’n v. NLRB, 386 U.S. 612, 625, 87 S.Ct. 1250, 18 L.Ed.2d 357; International Bhd. of Elec. Workers, Local 501 v. NLRB, 181 F.2d 34, 37 (2d Cir. 1950), affd., 341 U.S. 694, 71 S.Ct. 954, 95 L.Ed. 1299 (1951).
. Thus, we need not consider the efficacy for purposes of § 10(k) of an inter-union proceeding that made no realistic provision for meaningful attention to the interest of the employer and to questions of efficiency. In the case before us we have a Joint Board of employers and employees and one that was specifically organized and maintained for the purpose of coping with the requirements of the Taft-I-Iartley Act and the need for the effective resolution of jurisdictional disputes. It is a Board that takes into account factors of economy and efficiency of operation. The construction industry is typically beset by conflicts in which a group of employees and their employers (sometimes, cf course, subcontractors) are likely to be aligned with each other as against another alignment of a different group of employees and their employers.
. Wo do not determine whether the rule of this decision should be retroactive to prior 10 (k) determinations in eases other than the one before us. The Supreme Court has in various instances given only prospective effect to rulings that upset a previous course of decision. See Desist v. United States. 394 U.S. 244, 89 S.Ct. 1030, 22 L.Ed.2d 248 (1969) and cases there cited. In some cases our court, in overturning a long-standing administrative construction of a statute, has held that the balance of public interest is best served by withholding completely retroactive effect to our ruling. Blair v. Freeman, 125 U.S.App.D.C. 207, 370 F.2d 229 (1966). Certainly our ruling would be applicable to any subsequent 10 (k) decision, for the Board would be on notice of the infirmity. See Zuber v. Allen, 396 U.S. 168, 197, 90 S.Ct. 314, 24 L.Ed.2d 345 (1969). As to the applicability of our ruling to decisions previously issued by the Board, we do not clearly discern the possible shape of the problem, and therefore wo defer decision on what course will best effectuate the Federal labor policy contemplated by Congress.