[Code of Federal Regulations]
[Title 29, Volume 3]
[Revised as of July 1, 2004]
From the U.S. Government Printing Office via GPO Access
[CITE: 29CFR790.18]

[Page 729-732]
 
                             TITLE 29--LABOR
 
         CHAPTER V--WAGE AND HOUR DIVISION, DEPARTMENT OF LABOR
 
PART 790_GENERAL STATEMENT AS TO THE EFFECT OF THE PORTAL-TO-PORTAL ACT 
OF 1947 ON THE FAIR LABOR STANDARDS ACT OF 1938--Table of Contents
 
Sec. 790.18  ``Administrative practice or enforcement policy.''

    (a) The terms ``administrative practice or enforcement policy'' 
refer to courses of conduct or policies which an

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agency has determined to follow \111\ in the administration and 
enforcement of a statute, either generally, or with respect to specific 
classes of situations. \112\ Administrative practices and enforcement 
policies may be set forth in statements addressed by the agency to the 
public. \113\ Although they may be, and frequently are, based upon 
decisions or views which the agency has set forth in its regulations, 
orders, rulings, approvals, or interpretations, nevertheless 
administrative practices and enforcement policies differ from these 
forms of agency action in that such practices or policies are not 
limited to matters concerned with the meaning or legal effect of the 
statutes administered by the agency and may be based wholly or in part 
on other considerations.
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    \111\ The agency may have determined to follow the course of conduct 
or policy for a limited time only (see paragraphs (c) and (f), this 
section) or for an indefinite time (see paragraph (b), this section), or 
for a period terminable by the happening of some contingency, such as a 
final decision in pending litigation.
    \112\ See United States v. Minnesota, 270 U.S. 181 (1926); United 
States v. Boston & Maine R.R. Co., 279 U.S. 732 (1929); Lucas v. 
American Code Co., 280 U.S. 445 (1930); Estate of Sanford v. 
Commissioner of Internal Revenue, 308 U.S. 39 (1939). See also Final 
Report of Attorney General's Committee on Administrative Procedure in 
Government Agencies, pp. 26-29; 1 Von Baur, Federal Administrative Law 
(1942), p. 474.
    As to requirement that practice or policy be one with respect to a 
``class of employers,'' see paragraph (g) of this section.
    \113\ Pursuant to section 3 of the Administrative Procedure Act, 
statements of general policy formulated and adopted by the agency for 
the guidance of the public are published in the Federal Register. An 
example is the statement of the Secretary of Labor and the Administrator 
of the Wage and Hour Division, dated June 16, 1947, published in 12 FR 
3915.
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    (b) To illustrate this distinction, suppose the Administrator of the 
Wage and Hour Division issues a general statement indicating that in his 
opinion a certain class of employees come within a specified exemption 
from provisions of the Fair Labor Standards Act in any workweek when 
they do not engage in a substantial amount of nonexempt work. Such a 
statement is an ``interpretation'' within the meaning of sections 9 and 
10 of the Portal Act. Assume that at the same time, the Administrator 
states that for purposes of enforcement, until further notice such an 
employee will be considered as engaged in a substantial amount of 
nonexempt work in any workweek when he spends in excess of a specified 
percentage of his time in such nonexempt work. This latter type of 
statement announces an ``administrative practice or enforcement policy'' 
within the meaning of sections 9 and 10 of the Portal Act.
    (c) An administrative practice or enforcement policy may, under 
certain circumstances be at variance with the agency's current 
interpretation of the law. For example, suppose the Administrator 
announces that as a result of court decisions he has changed his view as 
to coverage of a certain class of employees under the Fair Labor 
Standards Act. However, he may at the same time announce that in order 
to give affected employers an opportunity to make the adjustments 
necessary for compliance with the changed interpretation, the Wage and 
Hour Division will not commence to enforce the Act on the basis of the 
new interpretation until the expiration of a specified period.
    (d) In the statement of the managers on the part of the House, 
accompanying the report of the Conference Committee on the Portal-to-
Portal Act, it is indicated (page 16) that under sections 9 and 10 ``an 
employer will be relieved from liability, in an action by an employee, 
because of reliance in good faith on an administrative practice or 
enforcement policy only (1) where such practice or policy was based on 
the ground that an act or omission was not a violation of the (Fair 
Labor Standards) Act, or (2) where a practice or policy of not enforcing 
the Act with respect to acts or omissions led the employer to believe in 
good faith that such acts or omissions were not violations of the Act.''
    (e) The statement explaining the Conference Committee Report goes on 
to say, ``However, the employer will be relieved from criminal 
proceedings or injunctions brought by the United States, not only in the 
cases described

[[Page 731]]

in the preceding paragraph, but also where the practice or policy was 
such as to lead him in good faith to believe that he would not be 
proceeded against by the United States.''
    (f) The statement explaining the Conference Committee Report gives 
the following illustrations of the above rules:

    An employer will not be relieved from liability under the Fair Labor 
Standards Act of 1938 to his employees (in an action by them) for the 
period December 26, 1946, to March 1, 1947, if he is not exempt under 
the ``Area of Production'' regulations published in the Federal Register 
of December 25, 1946, notwithstanding the press release issued by the 
Administrator of the Wage and Hour Division of the Department of Labor, 
in which he stated that he would not enforce the Fair Labor Standards 
Act of 1938 on account of acts or omissions occurring prior to March 1, 
1947. On the other hand, he will, by reason of the enforcement policy 
set forth in such press releases, have a good defense to a criminal 
proceeding or injunction brought by the United States based on an act or 
omission prior to March 1, 1947.

    (g) It is to be noted that, under the language of sections 9 and 10, 
an employer has a defense for good faith reliance on an administrative 
practice or an enforcement policy only when such practice or policy is 
``with respect to the class of employers to which he belonged.'' \114\ 
Thus where an enforcement policy has been announced pertaining to 
laundries and linen-supply companies serving industrial or commercial 
establishments the operator of an establishment furnishing window-
washing service to industrial and commercial concerns, who relied upon 
that policy in regard to his employees, has no defense under sections 9 
and 10. The enforcement policy upon which he claimed reliance did not 
pertain to ``the class of employers to which he belonged.''
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    \114\ This provision, which appeared for the first time in the 
conference bill, to which the term ``practice'' was restored after 
elimination by the Senate, was apparently designed to meet some of the 
objections which led to elimination of the word ``practice'' from the 
bill reported by the Senate judiciary Committee. Cf. remarks of Senator 
Murray, 93 Cong. Rec. 2238; remarks of Senator Johnston, 93 Cong. Rec. 
2373; colloquy between Senators Lucas and Donnell, 93 Cong. Rec. 2185; 
remarks of Senator McGrath, 93 Cong. Rec. 2254-2256.
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    (h) Administrative practices and enforcement policies, similar to 
administrative regulations, orders, rulings, approvals and 
interpretations required affirmative action by an administrative agency. 
\115\ This should not be construed as meaning that an agency may not 
have administrative practices or policies to refrain from taking certain 
action as well as practices or policies contemplating positive acts of 
some kind. \116\ But before it can be determined that an agency actually 
has a practice or policy to refrain from acting, there must be evidence 
of its adoption by the agency through some affirmative action 
establishing it as the practice or policy of the agency. \117\ Suppose, 
for example, that shoe factories in a particular area were not 
investigated by Wage and Hour Division inspectors operating in the area. 
This fact would not establish the existence of a practice or policy of 
the Administrator to treat the employees of such establishments, for 
enforcement purposes, as not subject to the provisions of the Fair Labor 
Standards Act, in the absence of proof of some affirmative action by the 
Administrator adopting such a practice or policy. A failure to inspect 
might be due to any one of a number of different reasons. It might,

[[Page 732]]

for instance, be due entirely to the fact that the inspectors' time was 
fully occupied in inspections of other industries in the area.
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    \115\ See Union Stockyards & Transit Co. v. United States, 308 U.S. 
213, 223 (1939); and United States v. American Union Transport, Inc., 
327 U.S. 437, 454 (1946). Cf. Federal Trade Commission v. Bunte 
Brothers, Inc., 312 U.S. 349, 351 (1941). See also President's message 
of May 14, 1947, 93 Cong. Rec. 5281.
    \116\ See, for example, Mintz v. Baldwin, 289 U.S. 346, 349 (1933), 
where the Department of Agriculture announced ``its policy for the 
present is to leave the control (of Bang's disease) with the various 
States.'' See also in this connection the statement of June 23, 1947, by 
the Senate Committee on the Judiciary regarding the President's message 
of May 14, 1947, on the Portal-to-Portal Act, 93 Cong. Rec. 5281.
    \117\ Union Stockyards & Transit Co. v. United States, supra. It may 
be noted in this connection that examples given by the sponsors of the 
legislation, in discussing the terms ``administrative practice or 
enforcement policy,'' involved situations in which affirmative action 
had been taken by the agency. Conference Report, p. 16; 93 Cong. Rec. 
2185, 2198, 4389-4391.
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    (i) It was pointed out above that sections 9 and 10 do not offer a 
defense to the employer who relies upon a regulation, order, ruling, 
approval or interpretation which at the time of his reliance has been 
rescinded, modified or determined by judicial authority to be invalid. 
The same is true regarding administrative practices and enforcement 
policies. \118\ However, a plea of a ``good faith'' defense is not 
defeated by the fact that after the employer's reliance, the practice or 
policy is rescinded, modified, or declared invalid.
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    \118\ See Sec. 790.17 (h) and (i), and footnotes 111 and 112.
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