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The Boycott of the Law and the Law of the Boycott: Law, Labour, and Politics in British Columbia

Published online by Cambridge University Press:  27 December 2018

Abstract

This article uses a critical theoryllegal mobilization perspective to study the 1987–92 trade union boycott of the British Columbia labour law. The problems encountered establishing a total boycott–one that would eschew all contact with the state–and the subsequent modification of the parameters of the boycott through a selective reliance on the law offer an important case from which to learn more about the role of law and legal rights in highly regulated organizations and how collectives mobilize the law. The author argues that legal rights are important to unions because of their ability to mediate the complexity of labour relations through a decentralization of authority. At the same time, mobilization of the law for this purpose accentuates localized identities and unequal resources that operate in tension with a boycott ethos, necessitating a deliberative politics to legitimize the law. By exploring the tension between these two forms of mobilization around law–one to reduce complexity, another to legitimize broad collective norms–the author analyzes and draws some conclusions about the reproduction of social unionism in British Columbia.

Type
Articles
Copyright
Copyright © American Bar Foundation, 1996 

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References

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21. See, e.g., Michael McCann, Rights at Work: Pay Equity Reform and the Politics of Legal Mobilization (Chicago: University of Chicago Press, 1994) (“McCann, Rights at Work”); Neal Milner, “The Dilemmas of Legal Mobilization: Ideologies and Strategies of Mental Patient Liberation”, 8 Law & Pol'y 105 (1986); Stuart Scheingold, The Politics of Rights (New Haven, Conn.: Yale University Press, 1974), esp. at 83–148. See also Frances Zemans, “Legal Mobilization: The Neglected Role of the Law in the Political System,” 77 Am. Pol. Sci. Rev. 690 (1983); Paul Burstein & Kathleen Monaghan, “Equal Employment Opportunity and the Mobilization of Law,” 20 Law & Soc'y Rev. 355 (1986). McCann understands the theoretical position of contemporary legal mobilization theory to lie between neo-realism which underestimates law's constitutive power, and structuralism which overemphasizes the ideological impact of legal discourse. See Rights at Work 290–303.Google Scholar

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23. McCann, Rights at Work 261–62. See also Patricia Ewick & Susan Silbey, “Conformity, Contestation, and Resistance: An Account of Legal Consciousness,” 26 New Eng. L. Rev. 731 (1992); and Gordon Marshall, “Some Remarks on the Study of Working-Class Consciousness,” 12 Politics & Soc'y 263 (1983).Google Scholar

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29. Klaus Eder argues that such systems are “the mechanisms by which the dominant elites reproduce their positions in an increasingly complex modern society. Such differentiation is not a master trend; it is the trend of the masters.” Eder, New Politics 31 (cited in note 16). While Eder and I both acknowledge the counter-systemic nature of much collective action today both by social movements and labour, my counter-argument here is that mediatized communication and the systems which it makes possible are not per se antagonistic to labour's interests, something which I believe the boycott to reveal.Google Scholar

30. Teubner, “Enterprise Corporatism: New Industrial Policy and the ‘Essence’ of the Legal Person,” 36 Am. J. Comp. L. 130, 139 (1988). Also see the discussions of Philip Selznick, Law, Society, and Industrial Justice 45 (New York: Russell Sage Foundation, 1969), and Joseph Vining, Legal Identity: The Coming of Age of Public Law 31 (New Haven, Conn.: Yale University Press, 1978).Google Scholar

31. H. J. Glasbeek, “Agenda for Canadian Labour Law Reform: A Little Liberal Law, Much More Democratic Socialist Politics,” 31 Osgood Hall L.J. 233, 247–48 (1993).Google Scholar

32. These arguments can be found within the debates between Jürgen Habermas and Niklas Luhmann. See Jürgen Habermas & Niklas Luhmann, Theorie der Gesellschaft oder Sozialtechnologie, (Frankfurt: Suhrkamp, 1971). See also Luhmann, Ecological Communication 133–38 (Cambridge: Polity Press, 1989); Habermas, Discourse 368–85. For an excellent general discussion, see Robert Holub, Jürgen Habermas: Critic in the Public Sphere 106–32 (London: Routledge, 1991), and see the provocative criticisms of Eva Knodt, “Toward a Non-Foundationalist Epistemology: The Habermas/Luhmann Controversy Revisited,” 61 New German Critique 77 (1994).CrossRefGoogle Scholar

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34. Quotation from Habermas, “Postscript to Faktizitat und Geltung,” 20 Philosophy & Soc. Criticism 135, 136 (1994). For other examples of the jurisprudential development in Habermas's thought, see in addition Habermas, Justification and Application: Remarks on Discourse Ethics 147–76 (Cambridge, Mass.: MIT Press, 1993); and Habermas, “Law and Morality” (cited in note 2). Also see Habermas, Between Facts and Norms (Cambridge, Mass.: MIT Press, forthcoming). For a general discussion of this development, see James Bohman, “Complexity, Pluralism, and the Constitutional State: On Habermas's Faktizitat und Geltung,“ 28 Law & Soc'y Rev. 897 (1994); David Rasmussen, “How Is Valid Law Possible? A Review of Faktizitat und Geltung by Jürgen Habermas,” 20 Philosophy & Soc. Criticism 21 (1994); and Mathieu Deflem, “Introduction: Law in Habermas's Theory of Communicative Action,” 20 Philosophy & Soc. Criticism 1 (1994). In earlier writings, Habermas notes several “waves of juridification” that enhance freedom, including the distinction of the lifeworld in the bourgeois state, the invention of civil rights in the German bourgeois constitutional state, and political rights created in the democratic constitutional state of the French Revolution. In the welfare state, law that seeks to bridle the economic and political systems is more ambivalent, being both freedom enhancing and restricting. I am arguing that this ambivalence must be fully developed even within traditionally mediatized spheres such as industrial relations law. See similar arguments about the ambivalence of law in Tweedy & Hunt, 21 J.L. & Soc'y. Google Scholar

35. See the compatible arguments of Paul Weiler, Reconcilable Differences: New Directions in Canadian Labour Law (Toronto: Carswell Co., 1980).Google Scholar

36. The NDP was formed at the national level in 1961 with the merger of the Canadian Labour Congress and the Cooperative Commonwealth Federation, farm organizations, intellectuals, and other liberal groups. It has not acted as a labour party in the European model, in part because its constituency has been so mixed. As one study of the relationship between organized labour and the NDP has recently framed it, “In evaluating the linkage between organized labour and the NDP it becomes obvious that the party, like its organizational predecessor, the CCF, is not a labour party or a party controlled by organized labour. Rather it is a social democratic party with links of varying strength to the union movement, some of which are purposefully weak.” Keith Archer, Political Choices and Electoral Consequences: A Study of Organized Labour and the New Democratic Party, 39 (Montreal: McGill-Queen's University Press, 1990). Despite its broad base, the NDP has championed broader rights for workers. See also Elaine Bernard, “Labour, the New Democratic Party, and the 1988 Federal Election,” in Jenson & Mahon, Restructuring 137 (cited in note 8), and id., “The New Democratic Party and Labor Political Action in Canada,” 22 Lab. Res. Rev. 99 (1994).Google Scholar

37. Interview with Jean Swanson, official for Action Canada Network, 16 July 1994, Vancouver, B.C. See also essays by Art Kube and Rod Mickleburgh in Art Kube, Rod Mickleburgh, & Meyer Brownstone, eds., British Columbia's Operation Solidarity: What Can We Learn? (Ottawa: Canadian Centre for Policy Alternatives, 1984).Google Scholar

38. Also included was a series of reforms that would have affected certification of teachers unions known as Bill 20, Teaching Profession Act. Much of the organization around opposition to Bill 19 also included opposition to Bill 20, and teachers unions were working actively to support Bill 19. In this article, I economize in a manner consistent with the activists by addressing both proposed reforms under the name of the legislation that affected most of the organized workers of the province, Bill 19.Google Scholar

39. See Graham Leslie, Breach of Promise: Socred Ethics under Vander Zalm (Madeira Park, B.C.: Harbour Publishing, 1991), for a memoir of Socred policy development by the Deputy Minister of Labour under Vander Zalm. See also Vancouver Sun, 26 Feb. 1987, and George Dobie, “British Columbia Labour Legislation: Getting a Grip on Unions,” 2 Gov't Union Rev. 1 (1987).Google Scholar

40. Memo from Cliff Andstein, Vice President, to Ken Georgetti, President, 14 April 1987, BCFed offices, Burnaby, B.C.Google Scholar

41. Minutes of the Officers’ Meeting, 5 March 1987, BCFed Offices, Burnaby, B.C.Google Scholar

42. Minutes of the Special Officers’ Meeting, 9 March 1987, BCFed Offices, Burnaby, B.C.Google Scholar

43. Minutes of the Special Officers’ Meeting, 6 April 1987, BCFed Offices, Burnaby, B.C. The NDP was only apprised after this meeting of the decision to consider a boycott for which the party formally gave their support at their convention. Minutes of the Emergency Officers’ Meeting, 11 April 1987, BCFed Offices, Burnaby, B.C.Google Scholar

44. The Confederation of Canadian Unions was formed in 1969 among a handful of unions who broke from internationals often because of poor servicing or undemocratic practices in those unions. The CCU is left-wing and united about 20,000 workers in British Columbia during the 1980s. See Craig Heron, The Canadian Labour Movement: A Short History 115 (Toronto: James Lorimer & Co., 1989).Google Scholar

45. Interview with Jess Succamore, Area Director of Canadian Auto Workers union and past spokesperson for the CCU, 14 July 1994, Vancouver, B.C.Google Scholar

46. Interview with John Fitzpatrick, Secretary of Vancouver & District Labour Council, 20 July 1994, Vancouver, B.C.Google Scholar

47. Minutes of the Executive Officers’ Meeting, 23 April 1987; Minutes of the Officers’ Meeting, 26 May 1987, BCFed Offices, Burnaby, B.C.Google Scholar

48. Several major unions including the IWA, Labourers, Hotel Workers, and public health care unions received suspensions and were grieving these punishments as much as a year later. Private files, BCFed Offices, Burnaby, B.C.Google Scholar

49. Province, 2 June 1987, § A at 1; Vancouver Sun, 3 June 1987, § B at 3.Google Scholar

50. The Province, in an unsigned editorial (“A Double Whammy from Government,” 2 June 1987, § B at 3), wrote: “The Vander Zalm government has taken leave of its senses in going to court Monday for an injunction that would, in effect, muzzle all labour opposition to Bill 19. It had better come back down to earth before it does any more damage to peace, order and good government in B.C. After Monday's general strike it has pressed every panic button in sight and threatens to turn B.C. into an unnerving version of South Africa.”Google Scholar

51. Val Casselton, “B.C. Fed Poll Finds Majority Favor a Pause of Action,” Vancouver Sun, 10 June 1987, § A, at 6.Google Scholar

52. Forbath, Shaping 84 (cited in note 5). See also Karen Orren, Belated Feudalism: Labor, the Law, and Liberal Development in the United States 135–44 (Cambridge: Cambridge University Press, 1991).Google Scholar

53. For a discussion of traditional forms of decision making in the BCFed, see George Pavlich, “The British Columbia Federation of Labour” (unpub. paper; part of the project on “Counter-Hegemony in Theory and Practice: Coalition-Formation in the New Social Movements”; copy with British Columbia Federation of Labour, n.d.).Google Scholar

54. The appointed Advisory Committee on the boycott reported in October 1987: [T]he committee had considerable discussion over our ability to carry on a boycott of any kind for a long period of time, and the overall effectiveness of a long-term boycott. It was our opinion that the short-term impact was paramount and that we should discount the long-term accordingly. For a number of our unions, especially the building trades, the major impact of Bill 19 is going to be in the immediate future. Therefore, it is important that we respond with a strategy that takes this into account and discounts longer term actions. We consider it important that the situation is not quiet during the short-term, in other words, that Peck's agency [the IRC] does not have time to settle themselves in.”Google Scholar

Files, BCFed offices, Burnaby, B.C. The building trades were most vulnerable to changes in certifications which could result from loosened rules of successorship. Simple changes in employers’ situations such as altering the name of the corporation could provide adequate legal challenge to certifications for entire job sites under the new rules. At the same time, renegade unions such as the General Workers Union and Canadian Iron and Steel Industrial Workers Unions were opportunistically organized for the purposes of gaining new certifications with sweetheart contracts as the boycott began. Interview with Bruce Ferguson, Director, Tunnel and Rock Workers, 15 July 1994, Vancouver, B.C. Letter from Cecil McIntosh, Bridge, Structural and Ornamental Iron Workers to Ken Georgetti, 6 Oct. 1987, BCFed Offices, Burnaby, B.C.

55. Minutes of the Executive Council, 4 Aug. 1987, BCFed Offices, Burnaby, B.C. John Baigent, the Federation's chief attorney, wrote:Google Scholar

I believe a successful boycott must be total with a possible exception for teachers in the area of certification. I will not belabor the point but do want to emphasize that a partial boycott has certain pitfalls. If a partial boycott is to proceed, then an awareness of those dangers is imperative. The problems of a partial boycott include:

  1. A.

    A. A certain loss of credibility since unions will be seen to Boycott only those procedures that might adversely affect them but finding the Council okay on other occasions.

  2. B.

    B. There will be an inexorable tendency for the partial boycott to contract as time goes on. This tendency will increase depending on the Boycott's flexibility and the absence of clear guidelines concerning exceptions.

  3. C.

    C. The BCFed as the referee of when exceptions should occur, will be in a difficult position and open to charges of inconsistency, etc., etc.

Letter from John Baigent to BCFed attn: Cliff Andstein, 31 July 1987, BCFed Offices, Burnaby, B.C.

56. Georgetti announced in an 18 August 1987 officers’ meeting that since 8 August, calls received from affiliates were “fairly consistent—affiliates were asking to appear before the Board, especially on certifications, and on those cases that were before the Labour Relations Board prior to Bill 19.” Minutes of the Officers’ Meeting, 18 Aug. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

57. Condensed Analysis of Industrial Relations Reform Act (Bill 19), c. April 1987, BCFed Offices, Burnaby, B.C. In an informal paper written on the boycott, the Federation's attorney echoed similar sentiments. Regarding the realist promise by the NDP to go to the polls fighting Bill 19, “this is understandable but it is inconsistent with the underlying notion of labour legislation as a relatively neutral means of allowing workers and employers to reach compromises that fairly serve the interests of both constituencies.” John Baigent, “The Boycott: A Different Perspective” (unpub. White Paper, 1988, on file with BCFed Offices, Burnaby, B.C.) (“Baigent, ‘Boycott’ ”).Google Scholar

58. Donald Carter, “The Changing Face of Canadian Labour Relations Law” 2–3 (Kingston, Ont.: Industrial Relations Centre, Queen's University, 1985); David Beatty, “Labouring Outside the Charter,” 29 Osgoode Hall L.J. 839, 840 (1991).Google Scholar

59. R.W.D.S.U. v. Dolphin Delivery, 2 S.C.R. 573 (1986) (arguing that restricting the freedom of workers to engage in picketing was not a violation of the Charter since the labour law was a common law rule beyond the purview of the Charter); Labour Trilogy (Reference Re Alberta Public Service Employee Relations Act, 1 S.C.R. 313 (1987); P.S.A.C. v. Canada, 1 S.C.R. 424 (1987); R.W.D.S.U. v. Saskatchewan, 1 S.C.R. 460 (1987)) and Professional Institute of the Public Service of Canada v. Northwest Territories, 2 S.C.R. 367 (1990), excluding legislation bearing on the freedom of workers to strike and bargain collectively from protection of the Charter and constitutional review.Google Scholar

60. Baigent, “Boycott” at 2. This attitude was substantiated in the early years of the boycott when it became clear that employers were taking IRC decisions to court for enforcement. In the first half of 1987, no employers took LRB decisions to court for enforcement (although unions did 18 times). In the second half of 1987, employers took orders to court 39 times, something which one Federation officer found disturbing. “I think the conclusion that you can draw from this is that the only reason the IRC is having any effect at all against unions is because its orders are being filed in court. This is never a desirable situation in labour relations. Basically, blue collar working people are law abiding and therefore not very many of those court orders go disobeyed but labour relations in this province is being run by force.” Memo by Patty Lane to Ken Georgetti, 7 Jan. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

61. Letter from Ken Georgetti to Don Vinoly, Business Manager and Secretary-Treasurer, Boilermakers Union, 8 Jan. 1988, BCFed Offices, Burnaby, B.C. The brief claimed in part that Bill 19 denied freedom of association rights under the Charter to maintain trade unions, bargain, strike, and picket. Brief, International Brotherhood of Boilermakers v. Her Majesty the Queen, In the Supreme Court of British Columbia, File no. B014685, 28 July 1987 (copy in BCFed Offices, Burnaby, B.C.).Google Scholar

62. Letter from Ken Georgetti to Marguerite Jackson, 29 Sept. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

63. Letter from John Hodgins to Ken Georgetti, 23 Oct. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

64. Minutes of the Officers’ Meeting, 9 Sept. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

65. Report of the Advisory Committee on the Bill 19 Boycott, BCFed Offices, Burnaby, B.C.Google Scholar

66. Letter from Cliff Andstein to all affiliates, 22 July 1987, BCFed Offices, Burnaby, B.C.Google Scholar

67. Press release, 11 Sept. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

68. The IRC administration's response to the sporadic lifting of the boycott was to change its manner of collecting statistics in order to demonstrate the agency's legitimacy. Early in the boycott, this involved counting cases which had continued from the previous labour board. Later, these statistics were compiled using the renegade unions which had been using the IRC regularly and miscounting the Federation's use of the Council. According to the IRC's head statistician as well as the leadership of the present Labour Relations Board, unfair labour practices were counted under the IRC by the number of code violations rather than by the union complaint; appointments to observe strike votes were counted by the number of appointees; mediation figures were also systematically inflated to show comparable numbers of cases when the mediation department was almost never busy. Interviews with Jackie Johnson, Head Statistician of the Labour Relations Board and former IRC, 19 July 1994; Brian Foley, Associate Chair, Mediation Department of the LRB, 19 July 1994; Stan Lanyon, Chair, Labour Relations Board, 19 July 1994.Google Scholar

69. Letter to all affiliates from Ken Georgetti, 10 Sept. 1987, BCFed offices, Burnaby, B.C.Google Scholar

70. Minutes of the Expanded Executive Council meeting, 19 Sept. 1987, BCFed Offices, Burnaby, B.C. “Brother Andstein said that unions would be persuaded to organize workers rather than get involved in jurisdictional disputes.”Google Scholar

71. Boycott support committee files, BCFed Offices, Burnaby, B.C.Google Scholar

72. Interview with Jean Swanson, official for Action Canada Network, 16 July 1994, Vancouver, B.C.Google Scholar

73. Case No. 1430, “Complaint against the Government of Canada (British Columbia) Presented by the Canadian Labour Congress.”Google Scholar

74. Citation Industries v. United Brotherhood of Carpenters & Jointers of America, Local 1928, 20 July 1988.Google Scholar

75. Memo from Ken Georgetti to Federation Officers, 13 Aug. 1987, BCFed Offices, Burnaby, B.C.Google Scholar

76. In one case involving individual rights against the interest of the International Woodworkers of America, the committee allowed an exemption based on the fact that the matter was “five years old, and is a good example of the IRC making work for itself. In light of the Sanders decision, it is important to test the emerging jurisprudence of the IRC with a good fact pattern. The officers felt that this was such a case.” The employee's application failed and this case was pursued no further. Boycott Exemption files, BCFed Offices, Burnaby, B.C.Google Scholar

77. Consider the following case involving a multi-employer bargaining unit: “In making the decision, the Officers took into account that your desire to file an application is part of an overall strategy to take the particular employer into the criminal courts. The officers also considered that your having a great deal of trouble organization the non-union arm of the employer, and that your Section 37 [multi-employer] application has a good chance of success” [sic]. Exemption files, BCFed Offices, Burnaby, B.C.Google Scholar

78. In one case that was denied the panel wrote, “nothing in the recent history of the IRC gives the Officers any confidence that the matter would stop there.” Exemptions files, BCFed Offices, Burnaby, B.C.Google Scholar

79. Letter to Bill Petterson, President of Sunshine Labour Council, from Ken Georgetti, 13 Jan. 1989, BCFed Offices, Burnaby, B.C.Google Scholar

80. Letter to Ken Georgetti from Len Stevens, Director District 3, USWA, 11 May 1988, BCFed Offices, Burnaby, B.C.Google Scholar

81. Letter to Len Stevens from Ken Georgetti, 2 June 1988, BCFed Offices, Burnaby, B.C.Google Scholar

82. Letter to Ken Georgetti from Donn Stanley, national representative of Canadian Union of Public Employees, 9 March 1988, BCFed Offices, Burnaby, B.C.Google Scholar

83. Robert Mnookin & Lewis Kornhauser, “Bargaining in the Shadow of the Law: The Case of Divorce,” 88 Yale L.J. 951 (1979).Google Scholar

84. In 1988, 8 exemptions were given to public unions to litigate unit changes and only 4 to private unions. In the next two years that ratio increased to 16 to 5, and then 11 to 4. That reflected government attempts to exclude managerial workers from bargaining units. The integration of managerial workers (unlike American unions) had long been a major source of solidarity.Google Scholar

85. Robert Flanagan, Labor Relations and the Litigation Explosion (Washington: Brookings Institution, 1987).Google Scholar

86. The BCFed's Exemption Files do not record telephone exemptions which were usually much more routine concerns than those for which hearings took place. Tallies of telephone exemptions were kept only for 1988 and 1989; 100 total exemptions were made in 1988, 54 by the Exemptions Committee; 223 total exemptions were made in 1989, 96 by the Committee. Assuming this holds throughout the four-year period of the boycott, the data reported here constitute about 46% of the total exemptions.Google Scholar

87. Letter to Ken Georgetti from Brooke Sundin, President and CEO, UFCW, 9 May 1991, BCFed Offices, Burnaby, B.C.Google Scholar

88. Statistics from Labour Relations Board Annual Report, 1986 (Vancouver, B.C.).Google Scholar

89. For example, one exemption panel's decision recommended that a union requesting adjudication of a bargaining unit dispute “first … should ask your counsel to attempt to get the employer to agree to an independent arbitrator to hear the case and render a binding decision based on previous Labour Relations Board jurisprudence. If this measure fails, the panel has granted an exemption to appear before the IRC pursuant to this matter.” Boycott Exemption Files, BCFed Offices, Burnaby, B.C.Google Scholar

90. Defense Fund Operating Statement, 31 July 1988, BCFed Offices, Burnaby, B.C.Google Scholar

91. B.C. Federation of Labour Omnibus Survey, 4 June 1990, Viewpoints Research Ltd., BCFed Offices, Burnaby, B.C. The difference between union members’ opinions and those of the nonunion public is statistically significant.Google Scholar

92. Survey done for British Columbia Federation of Labour by Viewpoints Research, 13 May 1992, BCFed Offices, Burnaby, B.C. Differential union viewpoint statistically significant.Google Scholar

93. Habermas has remained somewhat skeptical about the progressive consequences of communication about rights, following the Dworkinian maxim that rights are trumps in social interaction. For a sampling of communitarian theorists who argue a less absolute and more communicatively transparent understanding of rights, see Tweedy & Hunt, 21 J.L. & Soc'y (cited in note 25); Drucilla Cornell, “Gender, Sex and Equivalent Rights,” in Judith Butler & Joan Scott, eds., Feminists Theorize the Political 280 (New York: Routledge, 1992); and Minow, Difference (cited in note 22); and see the comments about modifying the pure notion of communicative action by Benhabib, Self (cited in note 24), and Thomas McCarthy, “Complexity and Democracy: Or the Seducements of Systems Theory,” in Axel Honneth & Hans Joas, eds., Communicative Action 119 (Cambridge, Mass.: MIT Press, 1991).Google Scholar