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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, Washington, 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
--------
Nos. 91-261 AND 91-274
--------
BUILDING AND CONSTRUCTION TRADES
COUNCIL OF THE METROPOLITAN
DISTRICT, PETITIONER
91-261 v. __
ASSOCIATED BUILDERS AND CONTRACTORS
OF MASSACHUSETTS/RHODE ISLAND,
INC., ET AL.
MASSACHUSETTS WATER RESOURCES
AUTHORITY, ET AL., PETITIONERS
91-274 v. __
ASSOCIATED BUILDERS AND CONTRACTORS
OF MASSACHUSETTS/RHODE ISLAND,
INC., ET AL.
ON WRITS OF CERTIORARI TO THE UNITED
STATES COURT OF APPEALS FOR THE FIRST
CIRCUIT
[March 8, 1993]
JUSTICE BLACKMUN delivered the opinion of the Court.
The issue in this case is whether the National Labor Relations Act, 49 Stat.
449, as amended, 29 U. S. C. S151 et seq., pre-empts enforcement by a state _______
authority, acting as the owner of a construction project, of an otherwise lawful
prehire collective-bargaining agreement negotiated by private parties.
I
The Massachusetts Water Resources Authority (MWRA) is an independent
government agency charged by the Massachusetts Legislature with providing water-
supply 91-261 & 91-274 - OPINION
2 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
services, sewage collection, and treatment and disposal services for the eastern
half of Massachusetts. Mass. Gen. Laws, ch. 92 App., S1-1 et seq. (Supp. ________
1992). Following a lawsuit arising out of its failure to prevent the pollution
of Boston Harbor, in alleged violation of the Federal Water Pollution Control
Act, 86 Stat. 816, as amended, 33 U. S. C. S1251 et seq., MWRA was ordered to _______
clean up the Harbor. See United States v. Metropolitan Dist. Comm'n, 757 F. _____________ _________________________
Supp. 121, 123 (Mass. 1991). The clean-up project was expected to cost $6.1
billion over 10 years. 935 F. 2d 345, 347 (CA1 1991). The District Court re-
quired construction to proceed without interruption, making no allowance for
delays from causes such as labor disputes. App. 71 (Affidavit of Richard D.
Fox, Director of the Program Management Division of MWRA). MWRA has primary
responsibility for the project. Under its enabling statute and the
Commonwealth's public-bidding laws, MWRA provides the funds for construction
(assisted by state and federal grants), owns the sewage-treatment facilities to
be built, establishes all bid conditions, decides all contract awards, pays the
contractors, and generally supervises the project. See 935 F. 2d, at 347
(citing Mass. Gen. Laws, ch. 92 App. SS1-1 et seq. (Supp. 1992), ch. 149, SS 44A _______
to 44I, and ch. 30, S39M) (1991).
In the spring of 1988, MWRA selected Kaiser Engineers, Inc., as its project
manager. Kaiser was to be primarily in charge of managing and supervising
construction activity. Kaiser also was to advise MWRA on the development of a
labor-relations policy that would maintain worksite harmony, labor-management
peace, and overall stability throughout the duration of the project. To that
end, Kaiser suggested to MWRA that Kaiser be permitted to negotiate an agreement
with the Building and Construction Trades Council and affiliated organizations
(BCTC) that would assure labor stability over the life of the project. App. to
Pet. for Cert. in No. 91-274, p. 75a (MWRA Pet. App.). MWRA accepted Kaiser's
suggestion, 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 3 ____
and Kaiser accordingly proceeded to negotiate the Boston Harbor Wastewater
Treatment Facilities Project Labor Agreement. Ibid. The Agreement included: _____
recognition of BCTC as the exclusive bargaining agent for all craft employees;
use of specified methods for resolving all labor-related disputes; a requirement
that all employees be subject to union-security provisions compelling them to
become union members within seven days of their employment; the primary use of
BCTC's hiring halls to supply the project's craft labor force; a 10-year no-
strike commitment; and a requirement that all contractors and subcontractors
agree to be bound by the Agreement. 935 F. 2d, at 348. See generally MWRA Pet.
App. 107a (full text of Agreement). MWRA's Board of Directors approved and
adopted the Agreement in May 1989 and directed that Bid Specification 13.1 be
incorporated into its solicitation of bids for work on the
project. (Ftnote. 1) 935 F. 2d, at 347. Bid Specification 13.1 provides in (Ftnote. 1)
pertinent part:
"[E]ach successful bidder and any and all levels of subcontractors, as a
condition of being awarded a contract or subcontract, will agree to abide by
the provisions of the Boston Harbor Wastewater Treatment Facilities Project
Labor Agreement as executed and effective May 22, 1989, by and between Kaiser
. . . on behalf of [MWRA], and [BCTC] . . . and will be bound by the
provisions of that agreement in the same manner as any other provision of the
contract."
____________________
1) Massachusetts competitive-bidding laws require MWRA to state its 1)
preference for a contract term, such as a project labor agreement, in the form
of a bid specification. These laws, which MWRA's Enabling Act explicitly
incorporates, see Mass. Gen. Laws, ch. 92 App., S1-8(g) (Supp. 1992)
(incorporating Mass. Gen. Laws ch. 30, S39M, and ch. 149, SS 44A to 44H (1991)),
require that the competitive-bidding process be carried out by the awarding
authority. See Modern Continental Constr. Co. v. Lowell, 391 Mass. 829, 836, ______________________________ ______
465 N.E.2d 1173, 1177-1178 (1984). 91-261 & 91-274 - OPINION
4 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
MWRA Pet. App. 141a-142a.
In March 1990, a contractors' association not a party to this case filed a
charge with the National Labor Relations Board contending that the Agreement
violated the NLRA. The NLRB General Counsel refused to issue a complaint,
finding: (1) that the Agreement is a valid prehire agreement under S8(f) of
the NLRA, 29 U. S. C. S158(f), which authorizes such agreements in the
construction industry, and (2) that the Agreement's provisions limiting work on
the project to contractors who agree to abide by the agreement are lawful under
the construction-industry proviso to S8(e), 29 U. S. C. S 158(e). This proviso
sets forth an exception from S8(e)'s prohibition against "hot cargo" agreements
that require an employer to refrain from doing business with any person not
agreeing to be bound by a prehire agreement. Building & Trades Council (Kaiser _________________________________
Engineers, Inc.), Case 1-CE-71, NLRB Advice Memo, June 25, 1990, MWRA Pet. App.________________
88a.
Also in March 1990, respondent Associated Builders and Contractors of
Massachusetts/Rhode Island, Inc. (ABC), an organization representing nonunion
construction industry employers, brought this suit against MWRA, Kaiser, and
BCTC, seeking, among other things, to enjoin enforcement of Bid Specification
13.1. ABC alleged pre-emption under the NLRA, pre-emption under S514(c) of the
Employee Retirement Income Security Act, 88 Stat. 897, 29 U. S. C. S1144(c)
(ERISA), violations of the Equal Protection and Due Process Clauses of the
Fourteenth Amendment, conspiracy to reduce competition, in violation of the
Sherman Act, 26 Stat. 209, as amended, 15 U. S. C. S1, and various state-law
claims. Only NLRA pre-emption is at issue here.
The United States District Court for the District of Massachusetts rejected
each of ABC's claims and denied its motion for a preliminary injunction. MWRA
Pet. App. 76a-83a. The Court of Appeals for the First Circuit reversed and
directed entry of a preliminary injunction 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 5 ____
restraining the use of Bid Specification 13.1, reaching only the issue of NLRA
pre-emption. 135 LRRM 2713 (1990). The Court of Appeals subsequently granted a
petition for rehearing en banc, vacating the panel opinion. MWRA Pet. App. 84a.
Upon rehearing en banc, the Court of Appeals, by a 3-2 vote, again reversed the
judgment of the District Court, once more reaching only the pre-emption issue.
935 F. 2d, at 359-360. The court held that MWRA's intrusion into the bargaining
process was pervasive and not the sort of peripheral regulation that would be
permissible under San Diego Building Trades Council v. Garmon, 359 U. S. 236 ___________________________________ ______
(1959). See 935 F. 2d, at 353. It also held that Bid Specification 13.1 was
pre-empted under Machinists v. Wisconsin Employment Relations Comm'n, 427 U. S. __________ ______________________________________
132 (1976), because MWRA was regulating activities that Congress intended to be
unrestricted by governmental power. Because of the importance of the issue, we
granted certiorari, 504 U. S. ___ (1992).
II
The NLRA contains no express pre-emption provision. Therefore, in accordance
with settled pre-emption principles, we should not find MWRA's bid specification
pre-empted "` " . . . unless it conflicts with federal law or would frustrate
the federal scheme, or unless [we] discern from the totality of the
circumstances that Congress sought to occupy the field to the exclusion of the
States."' " Metropolitan Life Ins. Co. v. Massachusetts, 471 U. S. 724, 747-748 __________________________ _____________
(1985) (citations omitted). We are reluctant to infer pre-emption. See
Cippolone v. Liggett Group, Inc., 504 U. S. _____, _____-_____ (1992) (slip op._________ ___________________
9-10); Rice v. Santa Fe Elevator Corp., 331 U. S. 218, 230 (1947). ____ ___________________________
"Consideration under the Supremacy Clause starts with the basic assumption that
Congress did not intend to displace state law." Maryland v. Louisiana, 451 ________ _________
U. S. 725, 746 (1981). With these general principles in mind, 91-261 & 91-274 - OPINION
6 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
we turn to the particular pre-emption doctrines that have developed around the
NLRA.
In Metropolitan Life Ins. Co. v. Massachusetts, 471 U. S., at 748, we noted: __________________________ _____________
"The Court has articulated two distinct NLRA pre-emption principles." The
first, "Garmon pre-emption," see San Diego Building Trades Council v. Garmon, ______ ___________________________________ ______
supra, forbids state and local regulation of activities that are "protected by_____
S7 of the [NLRA], or constitute an unfair labor practice under S 8." 359
U. S., at 244. See also Garner v. Teamsters, 346 U. S. 485, 498-499 (1953) ______ _________
("[W]hen two separate remedies are brought to bear on the same activity, a
conflict is imminent"). Garmon pre-emption prohibits regulation even of ______
activities that the NLRA only arguably protects or prohibits. See Wisconsin ________ _________
Dept. of Industry v. Gould Inc., 475 U. S. 282, 286 (1986). This rule of pre-_________________ ___________
emption is designed to prevent conflict between, on the one hand, state and
local regulation and, on the other, Congress' "integrated scheme of regulation,"
Garmon, 359 U. S., at 247, embodied in SS7 and 8 of the NLRA, which includes______
the choice of the NLRB, rather than state or federal courts, as the appropriate
body to implement the Act. Metropolitan Life Ins. Co. v. Massachusetts, 471 ___________________________ _____________
U. S., at 748-749, and n. 26.
In Garmon, this Court held that a state court was precluded from awarding ______
damages to employers for economic injuries resulting from peaceful picketing by
labor unions that had not been selected by a majority of employees as their
bargaining agent. 359 U. S., at 246. The Court said: "Our concern is with
delimiting areas of conduct which must be free from state regulation if national
policy is to be left unhampered." Ibid. In Gould, we held that the NLRA pre- _____ _____
empts a statute that disqualifies from doing business with the State persons who
have violated the NLRA three times within a 5-year period. We emphasized there
that "the Garmon rule prevents States not only from setting forth standards of ______
conduct 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 7 ____
inconsistent with the substantive requirements of the NLRA, but also from
providing their own regulatory or judicial remedies for conduct prohibited or
arguably prohibited by the Act." 475 U. S., at 286 (citing 359 U. S., at 247).
A second pre-emption principle, "Machinists pre-emption," see Machinists v. __________ __________
Wisconsin Employment Relations Comm'n, 427 U. S., at 147, prohibits state and______________________________________
municipal regulation of areas that have been left "`to be controlled by the
free play of economic forces.'" Id., at 140 (citation omitted). See also ___
Golden State Transit Corp. v. Los Angeles, 475 U. S. 608, 614 (1986) (Golden___________________________ ___________ ______
State I); Golden State Transit Corp. v. Los Angeles, 493 U. S. 103, 111 (1989)_______ ___________________________ ___________
(Golden State II). Machinists pre-emption preserves Congress' "intentional ________________ __________
balance `"between the uncontrolled power of management and labor to further
their respective interests."' " Golden State I, 475 U. S., at 614 (citations _______________
omitted).
In Machinists, we held that the Wisconsin Employment Relations Commission __________
could not designate as an unfair labor practice under state law a concerted
refusal by a union and its members to work overtime, because Congress did not
mean such self-help activity to be regulable by the States. 427 U. S., at
148-150. We said that it would frustrate Congress' intent to "sanction state
regulation of such economic pressure deemed by the federal Act `desirabl[y]
. . . left for the free play of contending economic forces . . . ." Id., at 150 ___
(citation omitted). In Golden State I, we applied the Machinists doctrine to _______________ __________
hold that the city of Los Angeles was pre-empted from conditioning renewal of a
taxicab operating license upon the settlement of a labor dispute. 475 U. S., at
618. We reiterated the principle that a "local government . . . lacks the
authority to `"introduce some standard of properly `balanced' bargaining power"
. . . or to define "what economic sanctions might be permitted negotiating
parties in an `ideal' or `balanced' state of collective bar- 91-261 & 91-274 - OPINION
8 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
gaining."' " Id., at 619 (quoting Machinists, 427 U. S., at 149-150) (internal ___ __________
citation omitted). In Golden State II, 493 U. S. 103 (1989), we determined that _______________
the taxicab employer who was challenging the city's conduct in Golden State I ______________
was entitled to maintain an action under 42 U. S. C. S 1983 for compensatory
damages against the city. In so holding, we stated that the Machinists rule __________
created a zone free from all regulations, whether state or federal. 493 U. S.,
at 112.
III
When we say that the NLRA pre-empts state law, we mean that the NLRA prevents
a State from regulating within a protected zone, whether it be a zone protected
and reserved for market freedom, see Machinists, or for NLRB jurisdiction, see __________
Garmon. A State does not regulate, however, simply by acting within one of______
these protected areas. When a State owns and manages property, for example, it
must interact with private participants in the marketplace. In so doing, the
State is not subject to pre-emption by the NLRA, because pre-emption doctrines
apply only to state regulation. __________
Our decisions in this area support the distinction between government as
regulator and government as proprietor. We have held consistently that the NLRA
was intended to supplant state labor regulation, not all legitimate state __________
activity that affects labor. In Machinists, for example, we referred to __________
Congress' pre-emptive intent to "leave some activities unregulated," 427 U. S., ___________
at 144 (emphasis added), and held that the activities at issue - workers
deciding together to refuse overtime work - were not "regulable by States." _________
Id., at 149 (emphasis added). In Golden State I, we held that the reason Los___ ______________
Angeles could not condition renewal of a taxicab franchise upon settlement of a
labor dispute was that "Machinists pre-emption . . . precludes state and munici- __________
pal regulation `concerning conduct that Congress intended to __________ 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 9 ____
be unregulated.'" 475 U. S., at 614 (emphasis added) (quoting Metropolitan ___________ ____________
Life Ins. Co. v. Massachusetts, 471 U. S., at 749). We refused to permit the_____________ _____________
city's exercise of its regulatory power of license nonrenewal to restrict Golden
State's right to use lawful economic weapons in its dispute with its union. See
475 U. S., at 615-619. As petitioners point out, a very different case would
have been presented had the city of Los Angeles purchased taxi services from
Golden State in order to transport city employees. Brief for Petitioners 35.
In that situation, if the strike had produced serious interruptions in the
services the city had purchased, the city would not necessarily have been pre-
empted from advising Golden State that it would hire another company if the
labor dispute were not resolved and services resumed by a specific deadline.
In Gould, we rejected the argument that the State was acting as proprietor _____
rather than regulator for purposes of Garmon pre-emption when the State refused ______
to do business with persons who had violated the NLRA three times within five
years. We noted in doing so that in that case, "debarment . . . serves plainly ____________
as a means of enforcing the NLRA." 475 U. S., at 287. We said there that
"[t]he State concedes, as we think it must, that the point of the statute is to
deter labor law violations"; we concluded that "[n]o other purpose could
credibly be ascribed." Ibid. _____
Respondents quote the following passage from Gould, arguing that it stands for _____
the proposition that the State as proprietor is subject to the same pre-emption
limitations as the State as regulator:
"Nothing in the NLRA, of course, prevents private purchasers from
boycotting labor law violators. But government occupies a unique position of
power in our society, and its conduct, regardless of form, is rightly subject
to special restraints. Outside the area of Commerce Clause jurisprudence, it
is far from unusual for federal law to prohibit States from making 91-261 & 91-274 - OPINION
10 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
spending decisions in ways that are permissible for private parties . . . .
The NLRA, moreover, has long been understood to protect a range of conduct
against state but not private interference . . . . The Act treats state
action differently from private action not merely because they frequently
take different forms, but also because in our system States simply are
different from private parties and have a different role to play." Id., at ___
290.
The above passage does not bear the weight that respondents would have it
support. The conduct at issue in Gould was a state agency's attempt to compel _____
conformity with the NLRA. Because the statute at issue in Gould addressed _____
employer conduct unrelated to the employer's performance of contractual
obligations to the State, and because the State's reason for such conduct was to
deter NLRA violations, we concluded: "Wisconsin `simply is not functioning as a
private purchaser of services,' . . . [and therefore,] for all practical
purposes, Wisconsin's debarment scheme is tantamount to regulation." Id., at ___
289. We emphasized that we were "not say[ing] that state purchasing decisions
may never be influenced by labor considerations." Id., at 291. ___
The conceptual distinction between regulator and purchaser exists to a limited
extent in the private sphere as well. A private actor, for example, can
participate in a boycott of a supplier on the basis of a labor policy concern
rather than a profit motive. See id., at 290. The private actor under such ___
circumstances would be attempting to "regulate" the suppliers and would not be
acting as a typical proprietor. The fact that a private actor may "regulate"
does not mean, of course, that the private actor may be "pre-empted" by the
NLRA; the Supremacy Clause does not require pre-emption of private conduct.
Private actors therefore may "regulate" as they please, as long as their conduct
does not violate the law. As the above passage in Gould makes clear, however, _____
States have a 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 11 ____
qualitatively different role to play from private parties. Id., at 290. When ___
the State acts as regulator, it performs a role that is characteristically a
governmental rather than a private role, boycotts notwithstanding. Moreover, as
regulator of private conduct, the State is more powerful than private parties.
These distinctions are far less significant when the State acts as a market
participant with no interest in setting policy.
In Gould, we did not address fully the implications of these distinctions. We _____
left open the question whether a State may act without offending the pre-emption
principles of the NLRA when it acts as a proprietor and its acts therefore are
not "tantamount to regulation," or policy-making. As explained more fully
below, we now answer this question in the affirmative.
IV
Permitting the States to participate freely in the marketplace is not only
consistent with NLRA pre-emption principles generally but also, in this case,
promotes the legislative goals that animated the passage of the SS8(e) and 8(f)
exceptions for the construction industry. In 1959, Congress amended the NLRA to
add S8(f) and modify S8(e). Section 8(f) explicitly permits employers in the
construction industry - but no other employers - to enter into prehire
agreements. Prehire agreements are collective-bargaining agreements providing
for union recognition, compulsory union dues or equivalents, and mandatory use
of union hiring halls, prior to the hiring of any employees. 935 F. 2d, at 356;
Jim McNeff, Inc. v. Todd, 461 U. S. 260, 265-266 (1983). The 1959 amendment________________ ____
adding a proviso to subsection (e) permits a general contractor's prehire
agreement to require an employer not to hire other contractors performing work
on that particular project site unless they agree to become bound by the terms
of that labor agreement. See Woelke & Romero Framing, Inc. v. NLRB, 456 U. S. _____________________________ ____
645, 657 (1982). 91-261 & 91-274 - OPINION
12 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
Section 8(f) contains a final proviso that permits employees, once hired, to
utilize the NLRB election process under SS9(c) and 9(e) of the Act, 29 U. S. C.
SS159(c) and (e), if they wish to reject the bargaining representative or to
cancel the union security provisions of the prehire agreement. See NLRB v. Iron ____ ____
Workers, 434 U. S. 335, 345 (1978)._______
It is undisputed that the Agreement between Kaiser and BCTC is a valid labor
contract under SS8(e) and (f). As noted above, those sections explicitly
authorize this type of contract between a union and an employer like Kaiser,
which is engaged primarily in the construction industry, covering employees
engaged in that industry.
Of course, the exceptions provided for the construction industry in SS8(e) and
8(f), like the prohibitions from which they provide relief, are not made
specifically applicable to the State. This is because the State is excluded
from the definition of the term "employer" under the NLRA, see 29 U. S. C.
S152(2), and because the State, in any event, is acting not as an employer but
as a purchaser in this case. Nevertheless, the general goals behind passage of
SS8(e) and 8(f) are still relevant to determining what Congress intended with
respect to the State and its relationship to the agreements authorized by these
sections.
It is evident from the face of the statute that in enacting exemptions
authorizing certain kinds of project labor agreements in the construction
industry, Congress intended to accommodate conditions specific to that industry.
Such conditions include, among others, the short-term nature of employment which
makes post-hire collective bargaining difficult, the contractor's need for
predictable costs and a steady supply of skilled labor, and a longstanding
custom of prehire bargaining in the industry. See S. Rep. No. 187, 86th Cong.,
1st Sess., 28, 55-56 (1959); H.R. Rep. No. 741, 86th Cong., 1st Sess., 19-20
(1959). 91-261 & 91-274 - OPINION
BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS 13 ____
There is no reason to expect these defining features of the construction
industry to depend upon the public or private nature of the entity purchasing
contracting services. To the extent that a private purchaser may choose a
contractor based upon that contractor's willingness to enter into a prehire
agreement, a public entity as purchaser should be permitted to do the same. _____________
Confronted with such a purchaser, those contractors who do not normally enter
such agreements are faced with a choice. They may alter their usual mode of
operation to secure the business opportunity at hand, or seek business from
purchasers whose perceived needs do not include a project labor agreement. In
the absence of any express or implied indication by Congress that a State may
not manage its own property when it pursues its purely proprietary interests,
and where analogous private conduct would be permitted, this Court will not
infer such a restriction. See, e.g., Maryland v. Louisiana, 451 U. S., at 746 ____ _ ________ _________
("Consideration under the Supremacy Clause starts with the basic assumption that
Congress did not intend to displace state law"). (Ftnote. 2) Indeed, there is (Ftnote. 2)
some force to petitioners' argument, Brief for Petitioners 25, that denying an
option to public owner-developers that is available to private owner-developers
itself places a restriction on Congress' intended free play of economic forces
identified in Machinists. __________
V
In the instant case, MWRA acted on the advice of a manager hired to organize
performance of a clean-up job
____________________
2) Respondents suggest in their brief, Brief for Respondents 22, n. 12, that 2)
under H.K. Porter Co. v. NLRB, 397 U. S. 99, 103 (1970), S8(d) of the NLRA _______________ ____
expressly prohibits the conduct of MWRA at issue in this case. The Court of
Appeals did not rely on this section of the statute, nor did we grant certiorari
on this question. We therefore decline the invitation to address the
application, if any, of S8(d) to Bid Specification 13.1. 91-261 & 91-274 - OPINION
14 BUILDING TRADES COUNCIL v. ASSOCIATED BUILDERS ____
over which, under Massachusetts law, MWRA is the proprietor. There is no
question but that MWRA was attempting to ensure an efficient project that would
be completed as quickly and effectively as possible at the lowest cost. As
petitioners note, moreover, Brief for Petitioners 26, the challenged action in
this case was specifically tailored to one particular job, the Boston Harbor
clean-up project. There is therefore no basis on which to distinguish the
incentives at work here from those that operate elsewhere in the construction
industry, incentives that this Court has recognized as legitimate. See Woelke & ________
Romero Framing Co. v. NLRB, 456 U. S., at 662, and n. 14.__________________ ____
We hold today that Bid Specification 13.1 is not government regulation and
that it is therefore subject to neither Garmon nor Machinists pre-emption. Bid ______ __________
Specification 13.1 constitutes proprietary conduct on the part of the
Commonwealth of Massachusetts, which legally has enforced a valid project labor
agreement. As Chief Judge Breyer aptly noted in his dissent in the Court of
Appeals, "when the MWRA, acting in the role of purchaser of construction
services, acts just like a private contractor would act, and conditions its
purchasing upon the very sort of labor agreement that Congress explicitly
authorized and expected frequently to find, it does not `regulate' the workings
of the market forces that Congress expected to find; it exemplifies them." 935
F. 2d, at 361.
Because we find that Bid Specification 13.1 is not pre-empted by the NLRA, it
follows that a preliminary injunction against enforcement of this bid
specification was improper. We therefore reverse the judgment of the Court of
Appeals and remand the case for further proceedings consistent with this
opinion.
It is so ordered. ________________