Court Opinion

ID: 4078929
Source: CourtListenerOpinion
Date Created: 2016-10-03 16:01:32.257594+00
Date Added: 2024-06-11T14:06:16.340325
License: Public Domain

Case: 15-10291   Date Filed: 10/03/2016     Page: 1 of 55

                                                                        [PUBLISH]

             IN THE UNITED STATES COURT OF APPEALS

                        FOR THE ELEVENTH CIRCUIT
                          ________________________

                               No. 15-10291
                         ________________________

                          Agency No. 10-CA-112406

MERCEDES-BENZ U.S. INTERNATIONAL, INC.,

                                                      Petitioner-Cross Respondent,

versus

INTERNATIONAL UNION, UAW,

                                                                        Intervenor,

NATIONAL LABOR RELATIONS BOARD,

                                                      Respondent-Cross Petitioner

                         ________________________

                   Petitions for Review of a Decision of the
                        National Labor Relations Board
                        _________________________

                              (October 3, 2016)

Before MARTIN, ANDERSON and BLACK, Circuit Judges.

BLACK, Circuit Judge:
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      Mercedes-Benz U.S. International, Inc. (MBUSI) petitions this Court to

review the order of a three-member panel of the National Labor Relations Board

(NLRB or the Board) modifying and adopting as modified the recommended order

of the administrative law judge (ALJ). The Board found that MBUSI violated the

National Labor Relations Act, 29 U.S.C. § 151 et seq. (the Act), in three ways:

(1) maintaining an overly broad solicitation and distribution rule that employees

would reasonably understand to prohibit solicitation in work areas by employees

not on working time of other employees not on working time; (2) prohibiting an

employee not on working time from distributing union literature in one of

MBUSI’s team centers, which are mixed-use areas; and (3) prohibiting employees

not on working time from distributing union literature in the MBUSI atrium, which

is a mixed-use area. Mercedes-Benz U.S. Int’l, Inc., 361 N.L.R.B. No. 120 (Nov.

26, 2014). On petition for review, MBUSI challenges each of these findings, and

the General Counsel of the NLRB cross-petitions this Court to enforce the Board’s

order. The Union, United Automobile, Aerospace, and Agricultural Implement

Workers of America (UAW), intervenes in support of the order. After review, we

enforce in part and remand in part with instructions.

                                I. BACKGROUND

      First enacted in 1935, “a primary purpose of the National Labor Relations

Act was to redress the perceived imbalance of economic power between labor and

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management.” Am. Ship Bldg. Co. v. NLRB, 380 U.S. 300, 316, 85 S. Ct. 955, 966

(1965). The Act “sought to accomplish that result by conferring certain affirmative

rights on employees and by placing certain enumerated restrictions on the activities

of employers.” Id. Section 7 of the Act grants employees affirmative rights such

as the right to self-organize, to bargain collectively, “and to engage in other

concerted activities for the purpose of collective bargaining or other mutual aid or

protection.” National Labor Relations (Wagner-Connery Labor Relations) Act § 7,

29 U.S.C. § 157. Section 8 of the Act defends the Section 7 rights by prohibiting

an employer’s “interfer[ing] with, restrain[ing], or coerc[ing] employees in the

exercise of the rights guaranteed in [Section 7].” Id. § 8, 29 U.S.C. § 158(a)(1).

      The Act also created and empowered the modern NLRB. See 29 U.S.C.

§§ 153–156. Within the NLRB, the Act created the office of the General Counsel,

which has final authority regarding investigations into unfair labor practices and

prosecution of complaints before the Board. Id. § 153(d). The Supreme Court has

described the Board’s role in interpreting and applying the Act as follows:

      The Wagner Act did not undertake the impossible task of specifying
      in precise and unmistakable language each incident which would
      constitute an unfair labor practice. On the contrary that Act left to the
      Board the work of applying the Act’s general prohibitory language in
      the light of the infinite combinations of events which might be
      charged as violative of its terms. Thus a rigid scheme of remedies is
      avoided and administrative flexibility within appropriate statutory
      limitations obtained to accomplish the dominant purpose of the
      legislation.

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Republic Aviation Corp. v. NLRB, 324 U.S. 793, 798, 65 S. Ct. 982, 985 (1945)

(quotation marks omitted).

       Applying Section 8 to a common issue, the Board has long held that an

employer may not prohibit union solicitation by employees who are not on

working time 1 irrespective of whether they are in working or non-working areas of

the employer’s property. Stoddard-Quirk Mfg. Co., 138 N.L.R.B. 615, 621 (1962).

An employer also may not prohibit distribution of union literature by employees

who are in non-working areas and not on working time. Id. An employer may

prohibit distribution in working areas, however, because “the employer’s interest

in cleanliness, order, and discipline [in a working area] is undeniably greater than it

is in nonworking areas.” Id. at 620. This petition involves MBUSI’s alleged

interference with protected solicitation and distribution in violation of Section 8.

A. The MBUSI Solicitation and Distribution Rule

       In Vance, Alabama, MBUSI operates two plants at which it manufactures

luxury automobiles. In May 2012, the UAW began a campaign to unionize

MBUSI’s employees in Vance. MBUSI has a policy of strict neutrality with

respect to unionization but maintains rules regarding solicitation and distribution of

non-work related material by employees on MBUSI property. In pertinent part and

       1
         “Working time” refers to “periods when employees are performing actual job duties,
periods which do not include the employees’ own time such as lunch and break periods.” See
Our Way, Inc., 268 N.L.R.B. 394, 395 (1983).

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for the pertinent time period, MBUSI’s solicitation and distribution rule read as

follows:

      MBUSI prohibits solicitation and/or distribution of non-work related
      materials by Team Members during work time or in working areas.
The General Counsel contends that this rule is overly broad because an employee

would reasonably interpret the rule to prohibit protected union solicitation.

Specifically, while an employer may not prohibit union solicitation in a working

area by an employee not on working time of an employee not on working time, the

final “or” in MBUSI’s written rule suggests that MBUSI bars all solicitation in

working areas.

B. MBUSI Team Centers

      The MBUSI plant at issue in this case has 19 team centers, 15 of which are

immediately adjacent to the production line and all of which are adjacent to the

logistics aisle, an indoor path used by forklifts and other motorized vehicles to

transport parts in the assembly area. The few team centers that are not

immediately adjacent to the production line are between 10 and 60 feet from the

production line. Some team centers are completely or partially walled, while other

team centers are separated from the production line by chains.

      Team centers serve several functions in the MBUSI production process.

They serve as offices for Group Leaders and Team Leaders and as observation

posts for engineers and quality personnel. From the team centers, these personnel

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supervise a wide variety of aspects of production along the line, including quality,

performance, machinery and tools, parts and equipment, output, shift assignments,

and safety. Team centers also serve as second offices for human resources staff

and upper management. Finally, at the beginning of each shift, Group Leaders use

team centers to conduct pre-production meetings, after which the incoming shift

relieves the outgoing shift. Employees often gather in their team center for an

indeterminate period before the pre-production meeting and may use the team

center during shift and meal breaks (although about half eat in MBUSI’s on-site

cafeteria).

       MBUSI’s policy is to treat team centers as work areas when the production

line is running and as non-work areas when the production line is halted.

Typically, the production line runs 24 hours a day, 7 days a week, except for 30-

minute meal breaks, 10-minute shift breaks, and a brief pause during a shift

change. Per MBUSI policy, only during production line pauses (i.e. shift and meal

breaks) may MBUSI employees distribute non-work literature to other MBUSI

employees in the team centers.

       On June 20, 2013, employee David Gilbert went to his team center a few

minutes before his shift began. Gilbert’s team center is completely walled and

approximately 10 feet from the production line. In the team center, Gilbert

distributed copies of a pro-union flyer to other off-duty employees. Gilbert’s Team

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Leader and a human resources representative each separately spoke with Gilbert

and informed him that he was not permitted to distribute literature in the team

center while the production line was moving. Gilbert was not disciplined, and the

conversation was polite and non-threatening.

C. The MBUSI Atrium

      The MBUSI atrium is the first room that an employee enters after arriving

for work, parking, and passing through a security turnstile. The atrium is

approximately 60 feet wide by 100 feet long. In the atrium, MBUSI maintains a

security kiosk, a merchandise store, a medical office, a vehicle leasing desk, and an

Alabama Credit Union branch. MBUSI uses the atrium to provide company and

employee information through bulletin boards and television monitors. Because it

accommodates several hundred employees beginning and ending their shift each

day, the atrium becomes extremely congested and busy during shift change.

      In late August, 2013, Gilbert, Kirk Garner, and several other MBUSI

employees were distributing UAW handbills in the atrium during a shift change.

Two MBUSI human resources representatives approached Garner and informed

him that MBUSI prohibits distribution of literature in the atrium. A few hours

later, the human resources representatives met with Garner and told him that

MBUSI management had decided to permit distribution of literature in the atrium.

Garner, a member of the UAW leadership council, informed Gilbert and

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understood from that conversation that employees were thereafter permitted to

distribute literature in the atrium.

                            II. PROCEDURAL HISTORY

      On September 3, 2013, Garner initiated the underlying action charging

MBUSI with unfair labor practices. On February 21, 2014, the General Counsel

consolidated Garner’s charge with two charges filed by the UAW in October 2013

and January 2014 respectively. The ALJ conducted a three-day hearing in April

2014 and issued his decision in July 2014. The ALJ found that MBUSI had

violated the act as follows:

      (a) Maintaining an overly broad solicitation and distribution rule
      which employees reasonably would understand to prohibit
      solicitation, in work areas, by employees not on working time of other
      employees not on working time.
      (b) Prohibiting an employee not on working time from distributing
      union literature in one of [MBUSI’s] team centers, which are mixed
      use areas within [MBUSI’s] plant.
      (c) Prohibiting employees not on working time from distributing
      union literature in the atrium, which is a mixed use area within
      [MBUSI’s] plant.
Among other things, the ALJ recommended that the Board order MBUSI to

rescind its written solicitation and distribution rule and to cease and desist from

prohibiting distribution of literature in the team centers and atrium by employees

not on working time of employees not on working time.

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       MBUSI filed with the Board 22 exceptions to the ALJ’s order. In its brief,

MBUSI primarily argued that the ALJ had misapplied the law regarding MBUSI’s

written solicitation and distribution policy, the team centers are work areas when

the production line is moving, certain employees were not supervisors, and the

atrium incident could not be a violation in light of its de minimis impact. On

November 26, 2014, the Board affirmed the ALJ’s decision and adopted the ALJ’s

proposed order with a slight modification to the remedy. 2 In a footnote, the Board

noted that one member of the Board found it “unnecessary to pass on the status of

[MBUSI’s] team centers that are adjacent to its production line.”

       On January 23, 2015, MBUSI filed with this Court a petition for review of

the Board’s order (the Order). On February 9, 2015, the General Counsel filed a

cross-petition for enforcement.

       MBUSI contends the Board erred in finding that MBUSI’s written

solicitation and distribution policy was unlawful because MBUSI could and did

rebut the presumption that its ambiguous rule interfered with or restrained

protected activity. Additionally, MBUSI insists the Order is overly broad in

imposing a remedy as to all team centers after explicitly considering only the team

center in which Gilbert was censured. MBUSI states more broadly that the

       2
         The Board ordered that MBUSI rescind its written solicitation and distribution rule and
gave MBUSI a few options to replace or amend its employee handbook. The Board also
required MBUSI to file a sworn certification with the NLRB attesting to the steps it has taken to
comply with the order.
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Board’s mixed-use findings as to both the team centers and the atrium represent an

unexplained departure from precedent. MBUSI also contends the Board erred in

failing to find special circumstances justifying the prohibition on distribution of

literature in team centers when the production line is moving.

      The General Counsel answers that the Board need not find that MBUSI’s

employees subjectively believed the policy prohibited protected activity. Rather,

the test is objective, and an employer’s mere maintenance of an overly broad rule

constitutes a violation. As to the team centers, the General Counsel contends the

Order was consistent with precedent holding “[w]here an employer permits both

work and non-work activities of a non-incidental nature to occur in the same area,

the Board properly deems it a mixed use area.” Likewise, the General Counsel

states that MBUSI failed to support its special circumstances argument and the

ALJ’s decision was not limited to the team center in which Gilbert was censured.

Finally, the General Counsel contends MBUSI waived its right to challenge the

ALJ’s finding that the atrium is a mixed-use area by failing to raise it to the Board

in MBUSI’s exceptions to the ALJ’s proposed order.

      MBUSI replies that its failure to challenge the ALJ’s holding was excused

by “extraordinary circumstances.” Specifically, while the ALJ found a violation

notwithstanding the de minimis effect of MBUSI’s interference, the Board changed

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the rationale for MBUSI’s violation and found a violation due to interference that

was not de minimis.

                          III. STANDARD OF REVIEW

      The Court reviews de novo the Board’s legal conclusions and reviews for

substantial evidence the Board’s findings of fact. See NLRB v. Babcock & Wilcox

Co., 351 U.S. 105, 112, 76 S. Ct. 679, 684 (1956). “[A]n administrative order

cannot be upheld unless the grounds upon which the agency acted in exercising its

powers were those upon which its action can be sustained.” SEC v. Chenery

Corp., 318 U.S. 80, 95, 63 S. Ct. 454, 462 (1943). In other words, we may not

enforce an order of the NLRB on alternate grounds without remanding to the

Board for further consideration. See First Nat. Maint. Corp. v. NLRB, 452 U.S.
666, 672 n.6, 101 S. Ct. 2573, 2577 (1981).

      “[I]n light of its experience,” the Board may fashion general rules and

presumptions regarding the lawfulness of employer restrictions “without the

necessity of proving the underlying generic facts which persuaded it to reach that

conclusion.” Beth Israel Hosp. v. NLRB, 437 U.S. 483, 493, 98 S. Ct. 2463, 2470

(1978). Where the Board departs from prior decisions, however, it must explain

the reasons for the new approach. NLRB v. Sunnyland Packing Co., 557 F.2d
1157, 1160 (5th Cir. 1977) (“[A]n agency must either conform itself to its own

prior decisions or else explain the reason for its departure.”); see also Sharron

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Motor Lines, Inc. v. United States, 633 F.2d 1115, 1117 (5th Cir. 1981) (“[L]aw

does not permit an agency to grant one person the right to do that which it denies to

another similarly situated. There may not be a rule for Monday, another for

Tuesday, a rule for general application, but denied outright in a specific case.”

(quoting Mary Carter Paint Co. v. FTC, 333 F.2d 654, 660 (5th Cir. 1964) (Brown,

J., concurring))).3 Therefore, while we defer to the Board’s rational constructions

of the Act, Ga. Power Co. v. NLRB, 427 F.3d 1354, 1358 (11th Cir. 2005), such

deference does not extend to unexplained deviations from prior Board precedent,

Sunnyland Packing Co., 557 F.2d at 1160; NLRB v. WGOK, Inc., 384 F.2d 500,

503 (5th Cir. 1967).

                                     IV. DISCUSSION

       We consider in turn MBUSI’s written solicitation and distribution rule, the

distribution of union literature in MBUSI’s team centers, and the distribution of

union literature in the MBUSI atrium.

A. MBUSI’s Written Solicitation and Distribution Rule

       A rule explicitly restricting protected activity is per se unlawful. Martin

Luther Mem’l Home, Inc., 343 N.L.R.B. 646, 646 (2004). An ambiguous or

overbroad rule that employees would reasonably understand to prohibit protected

       3
          In Bonner v. City of Pritchard, 661 F.2d 1206, 1209 (11th Cir. 1981) (en banc), this
Court adopted as binding precedent all decisions of the former Fifth Circuit handed down prior
to close of business on September 30, 1981.
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activity, on the other hand, is presumptively unlawful. Our Way, 268 N.L.R.B. at

395 n.6. If a rule is presumptively unlawful, the employer can rebut the

presumption with evidence showing that the rule “was communicated or applied in

such a way as to convey an intent clearly to permit” the protected activity. Id.

(quoting Essex Int’l, Inc., 211 N.L.R.B. 749, 750 (1974)) (emphasis in original);

accord United Servs. Auto. Ass’n v. NLRB, 387 F.3d 908, 915 (D.C. Cir. 2004);

NLRB v. Aluminum Casting & Eng’g Co., 230 F.3d 286, 293 (7th Cir. 2000);

Motor Inn of Perrysburg, Inc. v. NLRB, 647 F.2d 692, 695 (6th Cir. 1981); Am.

Safety Equip. Corp. v. NLRB, 643 F.2d 693, 696 (10th Cir. 1981); Birmingham

Ornamental Iron Co. v. NLRB, 615 F.2d 661, 667 (5th Cir. 1980).

       When an employer attempts to rebut the presumption of unlawfulness with

extrinsic evidence of either communication or application, the ALJ and the Board

ask whether the evidence shows that the employer “convey[ed] an intent clearly to

permit” the protected activity. Essex Int’l, 211 N.L.R.B. at 750. If so, the

overbroad rule does not represent a violation of the Act.4 Before considering the

Order, we review Board and circuit court cases applying this fact-based analysis.

       4
          Contrary to the General Counsel’s suggestion, the Essex rule permits an employer to
rebut the presumption of invalidity that attaches to any overbroad solicitation or distribution
workplace rule. See United Servs. Auto. Ass’n, 387 F.3d at 914 (applying Essex rule where
company banned solicitation and distribution “at any time in the work area and only during non-
working hours in non-work areas”); Aluminum Casting & Eng’g Co., 230 F.3d at 293 (applying
Essex rule where company banned solicitation “on company premises except when all concerned
are relieved from duty”); Birmingham Ornamental Iron Co., 615 F.2d at 667 (applying Essex
rule where company banned “ any soliciting on company premises and time”); Shaw, Inc., 350
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       1. Cases applying the Essex rule

              a. Cases finding rebuttal

       In Standard Motor Products, in an effort to rebut the presumption of

unlawfulness, an employer offered evidence of both clarifying communication and

application. 265 N.L.R.B. 482, 483–84 (1982). The plant manager testified

without contradiction “that it was his practice in going over [the employer’s] rules

with new employees to tell them that breaks were their own time and they could do

what they wanted during breaks and lunch periods.” Id. at 484. The manager also

testified “that the rule was not applied or enforced against any kind of union talk,”

and the ALJ found that “there was no evidence in the record . . . to establish that

any employee was under the impression that he could not engage in union activity

during the lunch periods or breaktime.” Id. Even a witness called by the General

Counsel “testified that ‘everybody’ understood that breaks were their own free

time.” Id. The ALJ found, therefore, that the employer had rebutted the

presumption of invalidity “by properly orally clarifying to employees the extent of

application of the rule.” Id. The Board affirmed the ALJ’s decision. Id. at 482.

N.L.R.B. 354, 377 (2007) (applying Essex rule where company banned solicitation during
working time and “distribution of literature on company property at any time”); Laidlaw Transit,
Inc., 315 N.L.R.B. 79, 82 (1994) (applying Essex rule where company banned solicitation and
distribution “on company property, on company time”); Ichikoh Mfg., Inc., 312 N.L.R.B. 1022,
1022 (1993) (applying Essex rule where company banned solicitation and distribution of
literature “on company premises or during company business hours”).
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      In The Broadway, the ALJ considered Standard Motor Products to stand for

the proposition that an employer could rebut the presumption upon showing that it

had clarified the rule “either through oral communication, or in such a manner as to

convey an intent to permit [lawful] solicitation.” The Broadway, 267 N.L.R.B.
385, 403 (1983). Although the employer maintained an overbroad solicitation rule,

the ALJ found that “employees were permitted to engage in a wide range of

organizing activities in the employee lounge and canteen during their break and

lunch periods with full knowledge of [the employer] and without interference.” Id.

The ALJ believed that “the uniform practice of applying the rule governing

solicitation and distribution of literature in a manner fully consonant with

[employees’ Section 7 rights] constitutes a fully efficacious clarification of the

rule.” Id. at 403–404. The ALJ reasoned that “[t]he objective interpretation

accorded the scope and limitation of [the employer’s] rule by employees directly

affected by it are more likely to be influenced by empirical experiences under the

literal application of the rule, than by oral assurances.” Id. at 404. The ALJ

therefore concluded that the employer had rebutted the presumption. Id. at 403.

The Board affirmed the ALJ’s decision. Id. at 385.

      In American Safety Equipment Corp., the Tenth Circuit considered the

propriety of the Board’s having set aside a union election due to the employer’s

overbroad solicitation and distribution rule. 643 F.2d at 695. The court held that

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the Board “erroneously applied” the Essex rule. Id. at 696. Specifically, the court

noted the uncontradicted affidavits of one manager and two employees. The

manager averred that employees were informed of and were otherwise well aware

that the rules applied only to working time. The manager and the two employees

all agreed that employees openly distributed union material during nonworking

time without repercussion. Id. The court noted that the employer’s evidence of

clarifying written or verbal communication was limited but set aside the Board’s

order because “the evidence [was] uncontroverted that the rules were applied by

[the employer] to permit proper Union solicitation.” Id. The employer had

rebutted the presumption with uncontradicted evidence that it “applied the rules

lawfully, and that the employees understood [the rules] to permit [protected

activity].” Id. at 697.

      In Motor Inn of Perrysburg, the Sixth Circuit considered a violation

regarding overly broad solicitation and distribution rules. 647 F.2d at 695. The

court noted the ALJ’s finding that the rules were never enforced, the lack of

evidence that employees were chilled in exercising their Section 7 rights, and that

“the evidence shows that the employees exercised these rights freely, openly, and

frequently.” Id. The court concluded, therefore, that “mere enactment of the

overly broad rules was not a violation of the Act.” 5 Id.

      5
          This quote would be questionable if taken out of context. See Lafayette Park Hotel, 326
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               b. Cases finding no rebuttal

       In Chicago Magnesium Castings Co., the ALJ found that an employer’s

ambiguous rule was a violation “even though it appears from evidence in the

record discussed herein, that [the rule] has not been consistently enforced.” 240
N.L.R.B. 400, 404 (1979). The ALJ held that the rule “was not cured by [the

employer’s clarifying letter] since this letter was not posted, but was simply

handed to [one employee] alone.” Id. The employer’s “publication of its

disclaimer was inadequate for the purpose of absolving it from liability for a

violation of the Act.” Id. The Board affirmed the ALJ’s decision. Id. at 400.

       In Ichikoh Manufacturing, the Board disagreed with the ALJ’s application of

The Broadway and found that the employer had failed to rebut the presumption.

Ichikoh Mfg., 312 N.L.R.B. at 1022. The Board noted the ALJ’s “brief analysis” in

which the ALJ found dispositive the employer’s evidence that some employees

“have been permitted to solicit fellow employees and distribute campaign materials

to employees during their lunch and rest breaks in non-working areas.” Id. The

Board paraphrased the ALJ’s reasoning to be “that the maintenance of a

presumptively invalid no-solicitation rule is not violative of the Act, absent

evidence that the rule ha[s] been enforced in an unlawful way.” Id. The Board

N.L.R.B. 824, 825 (“Where the rules are likely to have a chilling effect on Section 7 rights, the
Board may conclude that their maintenance is an unfair labor practice, even absent evidence of
enforcement.”). In Motor Inn of Perrysburg, however, the ALJ made findings that suggested
open and knowing non-enforcement. 647 F.2d at 695; see also infra, note 7.
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rejected the ALJ’s reasoning and conclusion because there was no evidence that

the employer “clearly communicated” any clarification and because “[t]he fact that

some employees ignored the rule and were not disciplined fails to meet [the

employer’s] burden of establishing that it conveyed to employees ‘an intent clearly

to permit solicitation during breaktime or other periods when employees are not

actively at work.’” Id. (quoting Our Way, 268 N.L.R.B. at 395 n.6).6

       In Laidlaw Transit, an employer argued that it “overcame the presumption

of invalidity” attached to its overbroad solicitation and distribution policy “by

communicating to its employees that the policy permitted [protected activity].”
315 N.L.R.B. at 82. The ALJ wrote that “[c]larifications of ambiguous rules or

narrowing interpretations of overly broad rules must be effectively communicated

to an employer’s work force before the Board will conclude that the impact of

facially illegal rules has been eliminated.” Id. at 83. The ALJ found no evidence

of the employer’s clarification and instead credited an employee’s testimony that

“no one in management ever explained to [the employee] what the meaning of the

rule was.” Id. Thus, although the employer argued that it had clarified the rule by

communication, the employer failed to meet its evidentiary burden on rebuttal. See

id. The Board affirmed the ALJ’s decision. Id. at 79.

       6
         The Board also mentions in a footnote that The Broadway does not support the ALJ’s
broad proposition because “[i]n that case, no exceptions were filed concerning the [ALJ’s]
finding that [the employer] had rebutted the presumptive invalidity of the no-solicitation rule.”
Ichikoh Mfg., 312 N.L.R.B. at 1022 n.5.
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       In Shaw, the ALJ rejected an attempt by several employers to rebut the

presumption that their overly broad distribution rule was a violation of Section 8.
350 N.L.R.B. at 377. The ALJ found the employers’ sparse evidence to be

insufficient and listed showings the employers failed to make, such as “fail[ing] to

adduce any evidence that [the employers] told employees that distribution during

nonworking time was permitted [and failing to] show that [they] knowingly

tolerated distribution by employees during nonworking time.” Id. The ALJ

therefore held that the employers “failed to show that the rule means anything

other than what it says, viz., all distribution on company property at any time is

prohibited.” Id. The Board affirmed the ALJ’s decision as to this violation. See

id. at 358.

       In Aluminum Casting & Engineering Co., the Seventh Circuit considered

whether an employer had rebutted the presumption of invalidity by posting a

lawful rule in its cafeteria. 230 F.3d at 293. Noting that “the rule posted in the

cafeteria made no reference to the [presumptively invalid rule], nor did it tell

employees which rule took precedence,” the court reasoned that “[c]onscientious

employees who had read both [rules] would not have known what was or was not

permitted.” Id. Therefore, the employer had failed to adequately rebut the

presumption. Id. at 294.

              c. Summary

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       The cases applying Essex indicate that, to clearly convey an intent to permit

protected activity, an employer’s communication must be broadly disseminated

and authoritative. See Aluminum Casting & Eng’g, 230 F.3d at 293; Laidlaw

Transit, 315 N.L.R.B. at 83; Standard Motor Prods., 265 N.L.R.B. at 48; Chicago

Magnesium Castings, 240 N.L.R.B. at 404. To clearly convey an intent to permit

protected activity with evidence of a clarifying application, the employers’

evidence should demonstrate that the employer openly and knowingly permitted

employees to engage in the protected activity notwithstanding the available

overbroad interpretation of the work rule. See Motor Inn of Perrysburg, 647 F.2d

at 695; Am. Safety Equip., 643 F.2d at 696; Shaw, 350 N.L.R.B. at 377; Ichikoh

Mfg., 312 N.L.R.B. 1022; The Broadway, 267 N.L.R.B. at 403–404. Without open

permission of protected activity, the employer’s clarification may not have reached

all employees. Without knowledge of the protected activity, an employer cannot

be said to have conveyed its intent to permit the activity.

       Having attempted to articulate the line between sufficient and insufficient

evidence that an employer clearly conveyed an intent to permit protected activity,

we consider how (and whether) the Essex rule was applied in this case.7

       7
         The General Counsel attempts to cast doubt upon the Essex rule by discussing a series
of cases holding that “mere maintenance” of an overbroad rule is a violation. See Martin Luther
Mem’l Home, 343 N.L.R.B. at 646; Lafayette Park Hotel, 326 N.L.R.B. at 825. But neither case
expressly overrules Essex or Our Way, and neither case considers rebuttal of the presumption.
Rather, the “mere maintenance” cases support the proposition that the General Counsel need not
present evidence of enforcement to establish a prima facie case. See Beverly Health & Rehab.
                                              20
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       2. The ALJ’s application of the Essex rule

       In the instant case, the ALJ correctly identified the Martin Luther Memorial

Home framework and found that MBUSI’s rule prohibiting “solicitation and/or

distribution of non-work related materials . . . during work time or in work areas”

did not explicitly prohibit protected activity but could reasonably be read to

prohibit solicitation in work areas notwithstanding the fact that the employees may

not be on working time. The presumption of unlawfulness therefore arose. The

ALJ next considered MBUSI’s proffered rebuttal evidence and found that MBUSI

“generally allowed employees to discuss the union in the workplace” and “truly

sought to be neutral” towards the UAW.

       The ALJ next considered whether these findings rebutted the presumption of

unlawfulness. First, the ALJ acknowledged that “an employer can cure an

ambiguity in a work rule by communicating further with employees” and that

“[MBUSI’s] defense may extend beyond the argument that it did not enforce the

rule in its handbook.” Although the ALJ agreed with MBUSI that its non-

enforcement “would contribute to how employees reasonably would understand

Servs., Inc., 332 N.L.R.B. 347, 349 (2000) (citing Our Way for the proposition that “mere
maintenance” raises the presumption). It also bears mentioning that the absence of evidence of
enforcement differs significantly from affirmative evidence “that the employees exercised [their]
rights freely, openly, and frequently,” Motor Inn of Perrysburg, 647 F.2d at 695, or that the
employer engaged in “the uniform practice of applying the rule . . . in a manner fully consonant
with [employees’ Section 7 rights],” The Broadway, 267 N.L.R.B. at 403–404. Thus, we are
unpersuaded that the Essex rule no longer applies.
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[the rule’s] meaning,” the ALJ expressed skepticism that MBUSI’s evidence

showed that it had clearly conveyed to its employees an intent to permit solicitation

in work areas by employees not on working time. The ALJ believed that MBUSI’s

employees would continue to rely on the written rule “for a definitive answer” and

concluded that MBUSI therefore violated the Act by maintaining an overbroad

solicitation rule.

       We see no reversible error in the ALJ’s analysis. MBUSI showed that it

generally permitted protected solicitation, but that is not necessarily enough. See

Ichikoh Mfg., 312 N.L.R.B. at 1022 (“The fact that some employees ignored the

rule and were not disciplined fails to meet [the employer’s] burden of establishing

that it conveyed to employees an intent clearly to permit [protected solicitation].”).

MBUSI bore the burden on rebuttal to prove that it applied the rule “in such a way

as to convey an intent clearly to permit” protected solicitation. Essex Int’l, 211
N.L.R.B. at 750. The ALJ did not believe that MBUSI clearly conveyed to

employees its intent to permit protected solicitation, and the ALJ’s finding is

supported by substantial evidence. We therefore enforce the Order and deny

MBUSI’s petition for review as to this issue. 8

B. Distribution of Union Literature in MBUSI Team Centers

       8
          The specific portions affected are as follows: paragraphs 1(a), 2(a), and 2(b) and the
first, fourth, and fifth “We Will Not” paragraphs in the Appendix to the Order.
                                                22
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      While the Act requires an employer to permit distribution of literature by

employees on non-working time in non-work areas, an employer may prohibit

distribution at any time in work areas. See Stoddard-Quirk Mfg., 138 N.L.R.B. at

621. If special circumstances necessitate a more restrictive rule to maintain

production and discipline, however, an employer may lawfully impose such a rule.

Id. at 617 n.4, 620.

      When deciding whether an area is a work area as contemplated by Stoddard-

Quirk, “the Board has looked at the quality and quantity of work, which occurs in

the area at issue, and examines whether the work is more than de minimus [sic]

and whether it involves production.” Brockton Hosp., 333 N.L.R.B. at 1375; see

also Patio Foods v. NLRB, 415 F.2d 1001, 1003 (5th Cir. 1969) (holding that a

loading area was a work area notwithstanding the fact that employees used it for

ingress and egress because “[t]he loading of trucks is no less a vital part of the

production process because it is performed outside the plant building”). More

recently, the Board has deemed certain areas to be mixed-use areas, in which

distribution must be permitted. See, e.g., Transcon Lines, 235 N.L.R.B. 1163,

1165 (1978) enforced in relevant part, 599 F.2d 719 (5th Cir. 1979).

      Mixed-use areas have been found in lunchrooms, 9 hallways, 10 parking lots,11

and driver assembly and waiting areas.12 At oral argument, the General Counsel

      9
          Kaynard ex rel. NLRB v. Palby Lingerie, Inc., 625 F.2d 1047, 1052 n.6 (2d Cir. 1980);
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suggested the Board has never established a test to determine whether an area is

mixed use. Certainly though, the numerous Board and circuit court cases finding a

mixed-use area or reviewing a mixed-use finding can inform us as to the

appropriate analysis.

       1. A review of cases involving mixed-use areas

       The “mixed-use area” moniker developed out of two different situations:

(1) a converted mixed-use area, which is a work area that periodically

accommodates non-work (or a mix of both work and non-work) for a fixed

duration;13 and (2) a permanent mixed-use area, which is an area that is perpetually

Superior Emerald Park Landfill, LLC, 340 N.L.R.B. at 457; Saisa Motor Freight, 333 N.L.R.B.
929, 934 (2001); Ford Motor Co., 315 N.L.R.B. 609, 612 (1994); G.H. Bass & Co., 258
N.L.R.B. 140, 144 (1981); Oak Apparel, Inc., 218 N.L.R.B. 701, 701–702 (1975); Rockingham
Sleepwear, 188 N.L.R.B. at 701.
       10
         DHL Express, Inc., 357 N.L.R.B. 1742, 1744 (2011); Found. Coal W., Inc., 352
N.L.R.B. 147, 150 (2008).
       11
         Metro-W. Ambulance Serv., Inc., 360 N.L.R.B. No. 124, 2014 WL 2448663 at *62
(May 30, 2014).
       12
            U.S. Postal Serv., 339 N.L.R.B. 1175, 1185 n.29 (2003); United Parcel Serv., 327
N.L.R.B. 317, 317 (1998); Arkansas-Best Freight Sys., Inc., 257 N.L.R.B. 420, 424 (1981);
Transcon Lines, 235 N.L.R.B. at 1165; see also Valmont Indus., Inc. v. NLRB, 244 F.3d 454, 472
(5th Cir. 2001) (“[E]ntrance areas to plants, where timeclocks, vending machines, and bulletin
boards are located, are often mixed use areas.”).
         13
            Kaynard, 625 F.2d at 1052 n.6 (“Where, as here, a production area is regularly used by
employees as a lunch area with the ‘full knowledge and approval’ of the employer, the Board’s
position is that the area ceases, for the duration of the lunch period, to be a ‘work area’ where
distribution can be prohibited.”); Rockingham Sleepwear, 188 N.L.R.B. at 701 (holding that an
employer’s sewing room, a work area, ceased to be a work area during lunch because the
employer permitted employees to take their lunch in the sewing room and provided no alternate
facility); see also United Parcel Serv., 327 N.L.R.B. at 317 (finding drivers’ assembly room to
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used for both work and non-work activities. 14 An employer may never prohibit

distribution of literature in a permanent mixed-use area but may prohibit

distribution in a converted mixed-use area when the area is being used as a work-

area. At oral argument, the General Counsel urged the Court to consider this a

permanent mixed-use area case. MBUSI, however, contends that this is a

conversion case and that its policy permitting distribution when the production line

is stopped is therefore lawful. Based upon our review of conversion cases and

permanent mixed-use area cases below, we conclude that mixed-use analysis is

highly fact-intensive and often requires consideration of both conversion and

permanent mixed-use cases.

              a. Conversion cases

       The earliest conversion case, Rockingham Sleepwear, does not use the term

“mixed-use area” at all. See generally 188 N.L.R.B. 698. Rather, the case

identifies a specific period during which a work area “is not a ‘work area’ . . . but a

lunchroom where distribution may not lawfully be prohibited.” Id. at 701.

Rockingham Sleepwear involved a garment manufacturer that threatened to fire an

be mixed-use area “during… the prestart period”); Ford Motor Co., 315 N.L.R.B. at 612
(substantially similar to Rockingham Sleepwear); G.H. Bass & Co., 258 N.L.R.B. at 144 (same);
Oak Apparel, Inc., 218 N.L.R.B. at 701–702 (same).
       14
         See Metro-W., 2014 WL 2448663 at *62; DHL Express, Inc., 357 N.L.R.B. at 1744;
Found. Coal W., Inc., 352 N.L.R.B. 147, 150 (2008); U.S. Postal Serv., 339 N.L.R.B. 1175, 1185
n.29 (2003); Arkansas-Best Freight Sys., 257 N.L.R.B. at 424; Transcon Lines, 235 N.L.R.B. at
1165.
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employee who had distributed literature in the manufacturer’s sewing room. Id. at

699. The manufacturer had no cafeteria or other facility where employees could

eat. Id. Instead, the manufacturer would halt all production and permit employees

to eat in the sewing room. Id. The trial examiner, with the Board’s affirmance,

held that the sewing room was therefore not a work area during the lunch period.

Id. at 701. By restricting distribution of union literature by employees on their

lunch break in a converted lunchroom, the manufacturer had violated Section 8.

See id.

      A few years later, in Oak Apparel, the Board considered a similar situation.
218 N.L.R.B. at 701. The employer, an apparel manufacturer, had prohibited

several employees who had placed union “leaflets on machines in [the employer’s]

production area during the employees’ 45-minute lunch break.” Id. As in

Rockingham Sleepwear, the employer had no designated lunch area and permitted

employees to eat lunch at their machines. Id. Unlike Rockingham Sleepwear,

“some employees (paid on a piece rate basis) continued to work at their machines

during the lunch period.” Id. The ALJ declined to find a violation but failed to

clearly state a reason. See id. at 709. Citing Rockingham Sleepwear, the Board

reversed the ALJ and found a violation because “[i]t [wa]s sufficiently clear from

the . . . record that the work area was being used principally as a lunchroom at the

time that the distribution of union literature was attempted.” Id. at 701–702.

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      Years later, in Ford Motor Co., the Board affirmed an ALJ’s application of

Oak Apparel to a case involving an employer’s automobile engine test facility.
315 N.L.R.B. at 609–610, 612. The facility had four wings, each of which

contained several enclosed testing cells. Id. at 611. “Between every two cells was

a ‘control room’ with an interior glass window to permit the employee-technicians

seated at consoles adjacent to the window, to see into the cell and monitor the

tests.” Id. In the center of the control room was a table that employees frequently

used for lunch. Id. There was a separate cafeteria in the facility, but it was not

always open. Id. An employee was stopped by supervisors while distributing

union material during his lunch break to other employees who were both on their

lunch break and sitting at the center table. Id. The ALJ disagreed with the

employer’s contention that “the control rooms remained worksites regardless of

their periodic use as luncheon areas.” Id. at 612. The ALJ quoted the Board’s

finding in Oak Apparel that “the work area was being used principally as a

lunchroom at the time” and therefore held that the employer had violated the Act.

Id.

      The Second Circuit considered the conversion issue in Kaynard ex rel.

NLRB v. Palby Lingerie, Inc., 625 F.2d at 1052 n.6. Citing Oak Apparel and

Rockingham Sleepwear, the court described the rule as follows:

      Where, as here, a production area is regularly used by employees as a
      lunch area with the “full knowledge and approval” of the employer,
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      the Board’s position is that the area ceases, for the duration of the
      lunch period, to be a “work area” where distribution can be
      prohibited.
Id. Finding the rule to be reasonable, the Second Circuit affirmed a Board order

finding that the employer had violated the Act when it fired an employee for

repeatedly distributing union material in the production area during lunch breaks.

Id. at 1051, 1052 n.6.

      The Sixth Circuit has also considered a conversion case, United Parcel

Service, Inc. v. NLRB, in which the employer had disciplined an employee-driver

for distributing a union newspaper in a check-in area, “where drivers congregate

before [their work day starts].” 228 F.3d at 775. The ALJ held that this “prestart

period” was “the only time during the day that drivers assemble together off the

clock.” United Parcel Serv., Inc., 325 N.L.R.B. 1, 4 (1997). In the check-in area,

drivers were “free to talk, read newspapers and magazines, or stand around until

their assigned starting time.” Id. Although the employer offered evidence of work

activities that took place in the check-in area at other times, the ALJ found that

“during the prestart period itself . . . the package drivers are not on the clock and

they do not perform work.” Id. at 5. Likewise, evidence that “a supervisor

[would] occasionally give some instructions or supplies to a driver during the

prestart period,” was “the exception and not the rule.” Id. The ALJ therefore held

that the check-in areas were non-work or mixed-use areas during the prestart

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period. Id. The Board agreed, stating “concerns for protecting the production

process . . . do not rise to the same level when an employer compromises a work

area by permitting nonwork use of it.” United Parcel Serv., Inc., 327 N.L.R.B.
317, 317 (1998).

      On petition for review, the Sixth Circuit affirmed and enforced the Board’s

order. United Parcel Serv., Inc., 228 F.3d at 782. Citing Rockingham Sleepwear,

Oak Apparel, and Transcon Lines, the court described a mixed-use area as follows:

“while some people may use the area for work, most of the employees use it for

non-work purposes—such as a lunch area or a break area.” 228 F.3d at 776. The

court held that the ALJ’s findings of fact supported the mixed-use characterization

and distinguished several work-area cases as “deal[ing] with areas still retaining

the characteristics of a work area but where non-working employees happened to

be found, not areas transformed into lounge or break areas during certain times of

the day.” Id. at 777.

             b. Permanent mixed-use area cases

      In Transcon Lines, the Board challenged an interstate freight handling,

hauling, and storage company’s conduct in censuring an employee who distributed

material critical of the local union in the “drivers’ room” of the company terminal.
235 N.L.R.B. at 1164. The drivers’ room was open 24 hours per day to

accommodate the company’s around-the-clock operation. Id. Upon two hours’

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notice of a trip, a driver would go to the terminal, punch the timeclock in the

drivers’ room, pick up and complete necessary trip documents, and read any

company notices and bulletins. Id. A driver might also wait in the drivers’ room

for his or her companion driver. After a trip, a driver would complete travel

documents and other reports and may wait in the drivers’ room for transportation

home. Id. “While in the drivers’ room, the employees may drink coffee or eat

snacks from machines provided therein, and may converse freely with other

drivers.” Id. Some drivers would go to the drivers’ room to speak with other

drivers, but the room was not commonly used for loitering. Id.

      The drivers’ room had two bulletin boards. Id. One belonged to the union,

and the other contained miscellaneous items such as solicitations and religious

material. Id. Although drivers were not paid for their time in the drivers’ room,

their mileage pay accounted for the fact that drivers must complete certain

paperwork for each trip. Id. at 1165. There was no other location at the

company’s terminal where drivers could congregate, meet, and exchange

information. Id.

      The Board adopted the ALJ’s proposed order, which rejected for several

reasons the company’s assertion that it lawfully prohibited distribution in the

drivers’ room. Id. First, the company had no non-discriminatory solicitation and

distribution rule. Rather, the company permitted union distribution and

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miscellaneous non-protected distribution in the drivers’ room. Id. Second, to the

extent one could determine a rule, the company’s rule was impermissibly vague.

Id. Third, “the drivers’ room is, at best, a mixed use area, where drivers may either

work or relax.” Id. Fourth, the drivers’ room “is also the only area where drivers

can regularly communicate with one another on subjects of mutual concern.” Id.

The Board therefore found that the company had impermissibly prohibited

protected distribution in violation of the Act. On appeal, the Fifth Circuit affirmed

the Board’s finding regarding the drivers’ room but remanded the case upon

concluding that the remedy was overbroad relative to the ALJ’s factual inquiry and

findings. Transcon Lines, 599 F.2d at 721, 722.

      In Superior Emerald Park Landfill, the Board affirmed the ALJ’s finding

that an employer unlawfully prohibited distribution of union literature in a

company lunchroom. 340 N.L.R.B. at 449, 457. During a union representative

campaign, an employee had placed union literature on a table in the lunchroom,

which was also used for occasional meetings. Id. at 453, 457. The employer used

the lunchroom tables for distribution of information to employees, and witnesses

testified to occasional employee use for things such as Girl Scout cookie sign-up

sheets and other noncompany activities. Id. at 453–54. Citing United Parcel

Service and Rockingham Sleepwear, the ALJ stated “if an area is used for

production during most of the day, but serves as a lunchroom during the lunch

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period, distribution of literature may not be prohibited.” Id. at 456. The ALJ then

noted that the occasional meetings in the lunchroom were “relatively infrequent

and there is no doubt that the primary purpose of the room was as a lunch facility.”

Id. at 457. Therefore, the employer unlawfully prohibited distribution of union

literature in its lunchroom, a mixed-use area. Id.

       In Foundation Coal West, a two-member panel of the Board 15 affirmed the

ALJ’s finding that a coal mining company violated the Act by calling a sheriff to

remove off-duty employees who were distributing union literature in the

company’s hallway. 352 N.L.R.B. at 147–49. In the hallway, one could find “the

timeclock, . . . a bench where employees congregate to socialize and eat their lunch

opposite the coffeemaker and microwave, various bulletin boards, three vending

machines, an ice machine, . . . desks[,] and cabinets for first aid supplies, forms,

medicine, and ear plugs.” Id. at 148 (footnotes omitted). At the beginning of each

shift, the employees would meet in a room off the hallway for a short pre-shift

meeting. Id. “Occasionally the dispatcher will tell an employee of an assignment

change in the hallway if they cannot contact the employee in the [room off the

hallway].” Id. at 148–49. Some employees, blasters and drillers, would speak

with each other or their supervisors in the hallway during shift change. Id. at 149.
       15
          The Supreme Court later determined in a different case that a two-member panel may
not exercise the Board’s delegated authority. See New Process Steel, L.P. v. NLRB, 560 U.S.
674, 130 S. Ct. 2635 (2010). The ALJ’s analysis, in which two Board members concurred, is
nevertheless informative. See DHL Express, Inc. v. NLRB, 813 F.3d 365, 377 n.2 (D.C. Cir.
2016).
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The time within which these work discussions would take place in the hallway was

minimal, “as little as 15 minutes out of a 12-hour workday.” Id.

      After briefly discussing Transcon Lines and United Parcel Service, the ALJ

found significant the fact that the employer’s “main function is the digging,

removal, sorting, and distribution of coal.” Id. at 150. According to the ALJ, “[i]t

is the main production areas of an employer’s facility where the hazards of littering

and maintaining order are paramount over employee distribution of literature.” Id.

Although there was “no doubt that some work incidental to [the employer’s] main

function takes place in the [h]allway,” the hallway was at best a mixed-use area,

“where both socializing and nonproduction work, incidental to [the employer’s]

main function, the production of coal, take place.” Id. Therefore, the employer

had violated the Act. In its brief affirmance, the two-member panel stated “we

agree that the hallway at issue was a mixed use area in which extensive nonwork

activities, such as dining and socializing, occurred and that, consequently, under

extant Board precedent, [the employer] was not free to ban distribution of union

literature in the hallway.” Id. at 147 n.1.

      Recently, the D.C. Circuit considered the Board’s standards for mixed-use

areas. See DHL Express, Inc. v. NLRB, 813 F.3d 365 (D.C. Cir. 2016). In DHL

Express, an international shipping company on several occasions interrupted an

employee trying to distribute union literature in a hallway in the company’s United

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States hub facility. DHL Express, Inc., 357 N.L.R.B. 1742, 1743 (2011). The

employer argued that its hallway was a work area because (1) employees traverse

the hallway on their way to and from work and during the infrequent times when

they must assist with a task in the company’s ramp area, (2) on a less than daily

basis, quality control personnel carry misplaced or damaged packages through the

hallway for two or three minutes each trip, and (3) on a less than daily basis, the

employer brings new employees or other visitors in the hallway for five to ten

minutes for a tour. Id. at 1744. The evidence indicated that the employer had on

several occasions permitted non-work solicitation and distribution activity in the

hallway such as gymnasium membership solicitation and distribution of t-shirts

hats, and raffle tickets in conjunction with major sporting events. Id. at 1745. The

ALJ found that “the hallway area is used for recreation as well as some work but

[the employer] compromised the hallway area by permitting nonwork use of it.”

Id. Therefore, the employer had violated the Act.

      The Board affirmed but disagreed on the basis for affirmance. Id. at 1742.

Two members based their affirmance on the employer’s interference with

distribution in a mixed-use area, stating that “an employer’s right to preclude

distribution of literature in working areas does not extend to mixed-use areas.” Id.

at 1742 n.1. One member believed that “the hallway could reasonably be

considered a working area even if all activity within that area did not involve

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employees performing work.” Id. That member would have affirmed on the

ALJ’s alternate finding that the employer discriminated against union activity in its

enforcement of the no-distribution rule. Id.

      The D.C. Circuit enforced the Board’s order and discussed at length the

employer’s challenge to the ALJ’s mixed-use finding. See DHL Express, 813 F.3d

at 375–78. According to the court, “[t]he Board has for decades—with court

approval—found areas in which minimal or solely incidental work is conducted are

to be considered ‘mixed-use’ areas in which a prohibition on distribution during

non-work time has to be justified by special circumstances.” Id. at 375 (citing

United Parcel Serv., 327 N.L.R.B. 317; Transcon Lines, 235 N.L.R.B. at 1165;

Rockingham Sleepwear, 188 N.L.R.B. at 701). The employer argued the ALJ

improperly broadened the test for a mixed-use area when he stated that the hallway

was not used “exclusively” for work, but the court disagreed, stating “a miniscule

amount of nonwork will not now convert a work area into a ‘mixed use’ area.” Id.

at 376. Rather, a mixed-use area is one in which “very little work occurs.” Id.

The court agreed with the analysis in Foundation Coal West and considered it

persuasive that only incidental, nonproduction work took place in the hallway. Id.

at 377–78. Therefore, the court found substantial evidence supporting the ALJ’s

mixed-use-area finding and enforced the Board’s order. Id. at 378, 380.

             c. Summary of the mixed-use area cases

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      The mixed-use area cases reflect the variance typical of a fact-intensive

analysis. The core considerations for both conversion and permanent mixed-use

areas are (1) the volume of work and non-work activity; (2) whether the non-work

activity is limited to specific time periods; and (3) the nature of work and non-

work activity. Cf. DHL Express, 813 F.3d at 376 (“[T]he ALJ carefully considered

the type, duration, and frequency of work and nonwork occurring in the hallway

prior to concluding that it should be considered a ‘mixed-use’ area.”); United

Parcel Serv., 228 F.3d at 776; Kaynard, 625 F.2d at 1052 n.6.

      2. The ALJ’s findings and the Order

      The ALJ found that the team centers are mixed-use areas and that MBUSI

therefore interfered with protected activity in violation of the Act when it

reprimanded Gilbert for distributing union literature in his team center in the

minutes before shift change. In deciding the team centers are mixed-use areas, the

ALJ noted that the team centers have refrigerators, microwave ovens, and picnic

tables in the same general area as filing cabinets, desks, and computers. The ALJ

also gave weight to the fact that employees use the team centers for lunch, citing

Superior Emerald Park Landfill, 340 N.L.R.B. at 456 (“[I]f an area is used for

production during most of the day, but serves as a lunchroom during the lunch

period, distribution of literature may not be prohibited.”). The ALJ considered

MBUSI’s argument regarding the proximity of team centers to the production line

                                          36
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and the logistics line as an argument not that team centers are work areas but that

MBUSI is entitled to an exception due to special circumstances. The ALJ declined

to rule on special circumstances as to the other 18 team centers but found that

MBUSI failed to demonstrate special circumstances as to Gilbert’s team center.

      The Board affirmed. One member of the Board noted separately that he

considered it unnecessary for the Board to determine the status of any team center

other than the one in which the June 20, 2013 incident occurred. Among other

remedies, the Board ordered MBUSI to cease and desist from prohibiting

employees not on working time from distributing literature in mixed-use areas,

which the Board defined to include all of MBUSI’s team centers.

      3. The Board’s errors

      We conclude the Board’s affirmance was error for two reasons. First, the

ALJ failed to recognize the distinction between converted and permanent mixed-

use areas and failed to analyze the relative volume and nature of work and non-

work activity in the team centers. Second, the ALJ imposed a remedy that

exceeded the scope of his factual inquiry and findings. We therefore decline to

enforce the Order as to this violation and remand to the Board with instructions as

stated below.

             a. The inadequately supported mixed-use area finding

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      Team centers are walled or chained areas within the production area of

MBUSI’s plant. MBUSI uses the team centers daily in its production process as

offices for Group Leaders and Team Leaders, as observation posts for engineers

and quality personnel, and as the marshalling place for pre-production meetings.

At least 15 of the 19 team centers are immediately adjacent to the production line,

and all of the team centers are adjacent to the logistics aisle, an indoor path used by

forklifts and other motorized vehicles to transport parts in the assembly area. The

work that takes place in the team centers could hardly be described as “non-

production” or “incidental” to MBUSI’s main function, manufacturing

automobiles. On the other hand, the General Counsel properly notes that

employees often gather in the team centers for an indeterminate period before the

pre-production meeting and use the team center during shift and meal breaks.

During this time, employees may take advantage of the refrigerators, microwave,

and picnic tables that can be found in the team centers.

      The ALJ reasoned that “[t]he fact that the team centers serve as meeting and

eating places for off-the-clock employees taking lunch or break time and also as

offices for [MBUSI] clearly weighs in favor of finding the centers to be mixed use

areas.” The ALJ therefore held that “the team centers, which employees use to eat

lunch while on nonworking time, properly are classified as mixed use areas.” In

support of its conclusion, the ALJ quotes Superior Emerald Park Landfill, which

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observed that “if an area is used for production during most of the day, but serves

as a lunchroom during the lunch period, distribution of literature may not be

prohibited.” 340 N.L.R.B. at 456 (citing United Parcel Serv., 327 N.L.R.B. 317).

Although the ALJ relied exclusively upon non-work use during lunch and break

periods, the Order does not limit the mixed-use finding to any specific period of

time. This was error.

       Some language in Superior Emerald Park Landfill appears to suggest that if

a production area is used for lunch, distribution must be perpetually allowed in the

area. See 340 N.L.R.B. at 456. In fact, when a production area is converted to

non-work use for a discrete period (such as lunch), the conversion cases hold that

distribution may not be prohibited during the non-work period. See United Parcel

Serv., 327 N.L.R.B. at 318 (affirming and adopting an order that required the

employer to cease and desist enforcing its no distribution rule “prior to the starting

time of the package drivers,” 325 N.L.R.B. at 12 (emphasis added)); Rockingham

Sleepwear, 188 N.L.R.B. at 701 (“[I]n effect, the sewing room, for the duration of

the lunch period, is not a ‘work area’ . . . but a lunchroom where distribution may

not be lawfully prohibited.” (emphasis added)).16 This is the essence of the

distinction between converted mixed-use areas and permanent mixed-use areas.

       16
         We attribute Superior Emerald Park Landfill’s incomplete statement of the holding in
conversion cases to the fact that Superior Emerald Park Landfill is not a conversion case at all.
In Superior Emerald Park Landfill, the room was used for “occasional meetings,” but “the
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       The ALJ’s analysis, affirmed by the Board without comment, does not

support the conclusion that the team centers are permanent mixed-use areas. The

only non-work use to which the ALJ refers occurs during the lunch period and

scheduled breaks. This evidences conversion, not perpetual mixed use.

       The ALJ’s analysis cannot support a permanent mixed-use finding for a

second reason: the ALJ failed to “carefully consider[] the type, duration, and

frequency of work and nonwork occurring in the [team centers] prior to concluding

that [they] should be considered [] ‘mixed-use’ area[s].” See DHL Express, 813
F.3d at 376. The ALJ made no finding regarding the relative volume of work and

non-work that takes place in the team centers or regarding the number of

employees who use the team centers for each. See id. at 375–77; United Parcel

Serv., 228 F.3d at 776. Nor did the ALJ consider whether the work that takes place

in the team centers is essential or merely incidental to production. See DHL

Express, 813 F.3d at 375–77. As discussed above, the ALJ did not find that team

centers are perpetually used for both work and non-work activities. Thus, the

ALJ’s analysis fails to support a conclusion that the team centers are permanent

mixed-use areas.

primary purpose of the room was as a lunch facility.” 340 N.L.R.B. at 457. That is a far cry
from “an area [that] is used for production during most of the day.” Id. at 456. Thus, Superior
Emerald Park Landfill does not support broadening the remedy in converted mixed-use cases.
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      Although we find that the ALJ misapplied the mixed-use test to conclude

that the team centers are permanent mixed-use areas, we note that the Order may

be supportable in a narrowed form. As discussed above, if an employer

temporarily converts a work area to non-work or mixed-use, the employer may not

prohibit distribution of literature among employees on non-working time. See

United Parcel Serv., 325 N.L.R.B. at 4, 5. The ALJ’s mixed-use analysis was

fixated upon the lunch period and scheduled breaks (periods during which MBUSI

already permits distribution), but the ALJ’s findings of fact include references to a

third time period. In the several minutes before a shift change, off-the-clock

employees gather in the team centers in anticipation of their shift. During that

same period, supervisors in the team centers prepare for a pre-shift meeting. It is

during this period that the alleged violation underlying this issue took place.

      We believe that Board precedent may have supported a conclusion that the

team centers are converted mixed-use areas during the pre-shift period. The ALJ

did not analyze the effect of the pre-shift period on the work status of the team

centers, however, and we may not adopt alternate grounds to enforce a Board

order. See First Nat. Maint. Corp., 452 U.S. at 672 n.6, 101 S. Ct. at 2577

(“Because the court adopted different grounds for enforcement of the Board’s

order, it was error to enforce without a remand to the Board for further

examination of the evidence and proper factfinding.”). We therefore decline to

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enforce the Order17 but remand for the Board to consider whether the evidence and

its precedent support the narrower finding that MBUSI’s team centers are

converted mixed-use areas during the pre-shift period.

              b. The overbroad remedy

       Even if we agreed with the Board’s mixed-use finding, we would be

compelled to deny enforcement of the Order as written because it imposes a

remedy that exceeds the scope of its factual findings by a factor of 19. In

compliance with Stoddard-Quirk Manufacturing, after concluding that all 19 team

centers are mixed-use areas, the ALJ considered whether special circumstances

justified MBUSI’s prohibition on distribution of literature in team centers when the

production line is moving.

       Before the ALJ, MBUSI offered testimony regarding the pace of its just-in-

time production process, the proximity of team centers to the production line and

the logistics aisle, the dangers associated with vehicular traffic in the logistics

aisle, and MBUSI’s safety concerns regarding distribution of literature. The ALJ

noted the persuasiveness of some of MBUSI’s testimony, stating as follows:

       The team center depicted in [MBUSI’s offered] video was so close to
       the production line and so proximate to the hustle and bustle of the
       assembly process it produced an intuitive feeling that this busy place
       certainly must be a work area, even if there is a picnic table for
       workers to use on breaks and at lunch. At the least, it created the

       17
         The specific portions affected are as follows: the last four words of paragraph 1(b) and
the words “team centers and” in the Appendix to the Order.
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      impression that unique circumstances warranted an exception to the
      general rule that an employer could not prohibit distribution of union
      literature in a mixed use area.
(emphasis added). The ALJ noted the significant differences among the 19 team

centers, however, and concluded that “it would not be appropriate to generalize

from the video.” The ALJ concluded that MBUSI failed to meet its burden of

showing special circumstances as to the team center where Gilbert was distributing

union literature, “which is the only team center relevant to the allegations.”

Therefore, the ALJ reasoned, “I need not, and do not, decide whether special

circumstances existed at any other team center, such as the one depicted in the

video.”

      Although only one team center was relevant to the inquiry and the ALJ

explicitly declined to consider whether MBUSI met its burden of proving special

circumstances at any of the other 18 team centers, the Order requires MBUSI to

cease and desist from distributing literature in “its team centers.” Nothing in the

Order limits its scope to the sole team center that the ALJ considered. Rather, even

though MBUSI’s evidence “created the impression that unique circumstances

warranted an exception to the general rule” at least as to one team center, the Order

uniformly applies to all team centers. This was error.

      As the former Fifth Circuit noted in Transcon Lines, when the Board

“narrow[s] the case for decision purposes,” it may not then “broaden it to the

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widest possible limits for purposes of remedy.” 599 F.2d at 722. Because the ALJ

and the Board declined to consider MBUSI’s evidence of special circumstances as

to the 18 team centers not at issue, the Order cannot impose a remedy as to those

team centers. Therefore, on remand, absent additional factfinding regarding

special circumstances at the other team centers, the Board may consider a violation

and a remedy only as to the team center at which Gilbert attempted to distribute

union literature.

C. Distribution of Union Literature in the MBUSI Atrium

      Before the ALJ, MBUSI contended that any interference with Section 7

rights was de minimis because within hours of stopping Garner and Gilbert’s

handbilling MBUSI retracted its position prohibiting distribution in the atrium.

Alternatively, MBUSI argued that its atrium is a work area where it can lawfully

prohibit distribution. The ALJ found that MBUSI’s atrium was at most a mixed-

use area and that MBUSI therefore violated the Act by prohibiting Garner and

Gilbert from distributing union literature in the atrium during their non-work time.

The ALJ agreed that MBUSI’s interference was de minimis but nevertheless

recommended the Board find a violation because “[MBUSI’s] continued position

that the atrium is a work area leaves open the possibility that it might decide to

reverse its distribution policy sometime in the future.”

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      MBUSI filed 22 exceptions to the ALJ’s decision and recommended order,

none of which identified the ALJ’s finding the atrium to be a mixed-use area. In

fact, MBUSI expressly disavowed its previous argument that the atrium was a

work area, stating that it wished to “remov[e] that issue from consideration.”

Instead, MBUSI insisted that any interference with protected activity was de

minimis and not a sufficient basis for a violation. The Board disagreed and

affirmed the ALJ as to both the mixed-use finding and the violation.

      Before this Court, MBUSI contends the Board erred in concluding that the

MBUSI atrium is a mixed-use area.18 We need not address this possible error,

however, because MBUSI waived the issue by failing to raise it before the Board.

      Section 10 of the Act precludes judicial review of an error not first raised

before the Board absent extraordinary circumstances. 29 U.S.C. § 160(e). We find

nothing extraordinary in the circumstances that led MBUSI to make the tactical

decision to focus its argument before the Board on the de minimis issue. We also

find nothing extraordinary in the fact that the Board would not have entertained a

motion for reconsideration on the mixed-use issue for the same reason we do not

consider the issue: waiver. With nothing to review, we summarily enforce the

Order as to this violation.

      18
           With Court approval, MBUSI withdrew from consideration its de minimis argument.
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                                V. CONCLUSION

      For the foregoing reasons, we enforce the Order with the exception of the

last four words of paragraph 1(b) and the words “team centers and” in the

Appendix. We remand to the Board with instructions to consider whether

MBUSI’s team centers are converted mixed-use areas during the pre-shift period.

If so, the Board should either narrow the scope of the Order to Gilbert’s team

center or conduct additional factfinding regarding special circumstances at the 18

team centers the ALJ did not consider.

      Enforced in Part, Enforcement Denied in Part, and Remanded in Part

with Instructions.

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MARTIN, Circuit Judge, dissenting in part:

      I agree with the Majority’s ruling about the atrium violation and Mercedes-

Benz’s solicitation and distribution policy. I also agree with the Majority that the

ALJ’s remedial order regarding the team centers was overbroad. The order should

be remanded to the Board to either narrow its scope or do more factual

development about special circumstances at the eighteen team centers for which

the ALJ did not make findings.

      However, I do not agree with the Majority’s holding that “the ALJ failed to

recognize the distinction between converted and permanent mixed-use areas and

failed to analyze the relative volume and nature of work and non-work activity in

the team centers.” The Board does not impose this distinction on its factfinders,

and I believe it exceeds our institutional role to create these categories and require

the Board to apply them.

      The ALJ and the Board followed the Board’s precedent in designating the

team centers as mixed-use areas after finding and reviewing the facts. I would

affirm the Board’s ruling that the team center where Mr. Gilbert distributed union

materials is a mixed-use area. I respectfully dissent.

                                          I.

      We apply a narrow and deferential standard of review to Board decisions.

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      “[T]he findings of the Board with respect to questions of fact if supported by

substantial evidence on the record considered as a whole shall . . . be conclusive.”

29 U.S.C. § 160(f). “So long as the Board has made a plausible inference from the

record evidence, we will not overturn its determinations, even if we would have

made different findings upon a de novo review of the evidence.” Cooper/T. Smith,

Inc. v. NLRB, 177 F.3d 1259, 1261 (11th Cir. 1999); see also NLRB v. McClain of

Ga., Inc., 138 F.3d 1418, 1424–25 (11th Cir. 1998) (“Our standard of review is

limited . . . to determining whether the Board’s inference . . . is supported by

substantial evidence—not whether it is possible to draw the opposite inference.”).

      We also defer to the Board’s expertise in developing rules that create legal

presumptions. See Republic Aviation Corp. v. NLRB, 324 U.S. 793, 798, 65 S. Ct.
982, 985 (1945) (The National Labor Relations Act “left to the Board the work of

applying the Act’s general prohibitory language in the light of the infinite

combinations of events which might be charged as violative of its terms. Thus a

‘rigid scheme of remedies’ is avoided and administrative flexibility within

appropriate statutory limitations obtained to accomplish the dominant purpose of

the legislation.”); Beth Israel Hosp. v. NLRB, 437 U.S. 483, 492, 98 S. Ct. 2463,

2469 (1978) (“The effect of [the Board’s] rules is to make particular restrictions on

employee solicitation and distribution presumptively lawful or unlawful . . . .”).

For example the distribution of union materials in nonworking areas is

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presumptively lawful. See Stoddard-Quirk Mfg. Co., 138 N.L.R.B. 615, 621

(1962). Congress gave the Board authority to use its national labor relations policy

expertise to formulate rules that balance conflicting legitimate interests such as

employee-organization rights and employer-property rights. Beth Israel Hosp.,
437 U.S. at 492, 500–01, 98 S. Ct at 2469, 2473. Thus, “[t]he rule which the

Board adopts is judicially reviewable for consistency with the Act, and for

rationality, but if it satisfies those criteria, the Board’s application of the rule, if

supported by substantial evidence on the record as a whole, must be enforced.” Id.

at 501, 98 S. Ct at 2473–74. Instead of reviewing the Board’s rules, the majority

creates its own rule and faults the ALJ for not applying it.

                                            II.

       The Majority’s opinion presents the distinction between “permanent” and

“converted” mixed-use areas as a framework established by the Board. Indeed, the

Majority cites “45 years of Board precedent” to support its distinction. But I read

none of the cases it cites to state a rule creating or even distinguishing between two

types of mixed-use categories. It is beyond our deferential role to create a rule and

then hold that the ALJ erred in failing to apply it. See NLRB v. Curtin Matheson

Sci., Inc., 494 U.S. 775, 786, 110 S. Ct. 1542, 1549 (1990) (“[T]he NLRB has the

primary responsibility for developing and applying national labor policy.”).

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      The Majority recognizes that the Board has never clearly established a test

for deciding whether an area is mixed-use. And it is the Board that has the

expertise to establish a test if it decides one is necessary. The Board can also

choose to grant its ALJs flexibility in crafting solutions for a circumstance that is

unique. See Beth Israel Hosp., 437 U.S. at 500–01, 98 S. Ct at 2473 (“[I]t is to the

Board that Congress entrusted the task of ‘applying the Act’s general prohibitory

language in the light of the infinite combinations of events which might be charged

as violative of its terms.’” (quoting Republic Aviation, 324 U.S. at 798, 65 S. Ct. at

985)). What matters here is that the Board has extended this flexibility to ALJs

charged with making mixed-use determinations.

      The Board’s allowance of flexibility to ALJs in designating mixed-use areas

results in some variations in that designation. For example, in Transcon Lines, 235
N.L.R.B. 1163 (1978), the ALJ found generally that “the drivers’ room is, at best, a

mixed use area, where drivers may either work or relax.” Id. at 1165. But in In Re

United Parcel Serv., 325 N.L.R.B. 1 (1997), the ALJ ruled “that the check-in areas

are used as nonwork or, at most, mixed use areas between 7:30 a.m. and the

drivers’ start time of 8:30 a.m.,” thus limiting the area’s mixed-use status based on

the time of day. Id. at 3.

      The Majority chooses one understanding of the Board’s approach to these

cases and makes it a new rule for how ALJs must analyze the facts of all cases

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about distributing union materials. Under the Majority’s rule, an ALJ will now be

required “to analyze the relative volume and nature of work and non-work

activity” in a given area. If both work and nonwork activities “perpetually” 1 occur

in an area, then the Majority allows the ALJ to find that it is a “permanent mixed-

use area.” If the activities are not “perpetual,” then the Majority directs the ALJ to

consider whether an area is “converted” to mixed-use during specific times of the

day. The Majority’s requirements impose a framework of analysis on ALJs the

Board has never adopted. Beyond that, the Majority’s requirement that ALJs

consider time-limitations in “converted” mixed-use cases narrows the Board’s

existing rule, which already limits distribution to nonworking time. See DHL

Express, Inc., 357 N.L.R.B. 1742, 1743 (2011) (“The Board has long held that

rules prohibiting distribution of literature are presumed valid unless they extend to

activities during nonworking time and in nonworking areas.”) The Majority, while

no doubt well intentioned, is doing the Board’s job for it.

       The Majority also cites the D.C. Circuit for support. That court said that

“[t]he Board has for decades—with court approval—found areas in which minimal

or solely incidental work is conducted are to be considered ‘mixed-use’ areas in

which a prohibition on distribution during non-work time has to be justified by

       1
          The Majority does not explain this “perpetually” standard. Is it that an area can be used
at all times for either work or nonwork activities or both? Or is it that an area is used for both
types of activities at all times? What about 80% usage of a space for either? 50%? 33%?
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special circumstances.” DHL Express, Inc. v. NLRB, 813 F.3d 365, 375 (D.C. Cir.

2016) (citing United Parcel Serv., 327 N.L.R.B. 317 (1998); Transcon Lines, 235
N.L.R.B. at 1165; Rockingham Sleepwear, 188 N.L.R.B. 698, 701 (1971)); see

also United Parcel Serv., Inc. v. NLRB, 228 F.3d 772, 776 (6th Cir. 2000) (citing

Transcon Lines and Rockingham to support a similar proposition). But two out of

three of the citations the D.C. Circuit gave for this proposition are cases the

Majority gives as examples of “converted mixed-use” (Rockingham and United

Parcel Serv.) and the third is offered by the majority as a “permanent mixed-use”

case (Transcon Lines). See DHL Express, 813 F.3d at 375. This contrasting view

of identical case law given by two Circuit courts is more evidence that the Majority

created its own framework instead of deferring to the Board’s flexible approach. I

do not understand the Board to have limited the definition of “mixed-use” to either

of the categories imposed by the Majority. Rather, the Board has left room for the

ALJs to designate mixed-use areas, or not, based on the various situations that

come before them. See, e.g., Ford Motor Co., 315 N.L.R.B. 609, 612 (1994)

(discussing specific employee activities at times of specific distribution incidents

to determine whether there was a distribution violation); Transcon Lines, 235
N.L.R.B. at 1164–65 (referring to several fixtures and functions of a drivers’ room

in determining that it was “at best, a mixed use area, where drivers may either

work or relax”); Rockingham, 188 N.L.R.B. at 701 (discussing plant schedule and

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use of spaces at various times before determining when distribution must be

allowed).

                                              III.

      I view the ALJ’s decision that the team center was a mixed-use area to be

supported by substantial evidence. In Stoddard-Quirk, the Board held that

employees can distribute union literature in nonworking areas on the employer’s

premises. 138 N.L.R.B. at 621. In Transcon Lines, the Board extended that

holding to mixed-use areas, meaning areas where employees “may either work or

relax.” 235 N.L.R.B. at 1165. And the Board has reasoned that “[t]he concerns for

protecting the production process which were at issue in Stoddard Quirk do not rise

to the same level when an employer compromises a work area by permitting

nonwork use of it.” United Parcel Serv., 327 N.L.R.B. at 317; accord DHL

Express, 357 N.L.R.B. at 1744. Further, the Board has recognized that “[i]t is the

main production areas of an employer’s facility where the hazards of littering and

maintaining order are paramount over employee distribution of literature.” Found.

Coal W., Inc., 352 N.L.R.B. 147, 150 (2008). However, aside from these broader

observations, the Board also recognizes that special circumstances can call for

more restrictive rules. See Stoddard-Quirk, 138 N.L.R.B. at 617 n.4, 620. These

complex realities have led the Board to avoid establishing a more detailed test for

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determining whether an area is mixed-use. I fear the Majority opinion puts this

Court at cross-purposes with the Board in this way.

       This case requires only the simple application of our precedent in NLRB v.

Transcon Lines, 599 F.2d 719 (5th Cir. 1979).2 In that case we described “the

drivers’ room as a place for lounging, recreation and waiting, as well as a place to

receive dispatches and complete documents.” Id. at 721–22. On that record, we

upheld the Board’s finding that the room was a mixed-use area as “supported by

substantial evidence.” Id. at 721.

       This ALJ found that the team centers at issue here were mixed-use areas

based on their use “as meeting and eating places for off-the clock employees taking

lunch or break time and also as offices for [Mercedes-Benz] supervisors.” This

finding was supported by the design of the team centers, which “resemble[d] an

office in some respects and a breakroom in others.” The ALJ also considered

special circumstances, finding that the evidence provided by Mercedes-Benz was

not specific to the team center where Mr. Gilbert distributed union materials.

       Our job is to review this finding to see whether it is supported by substantial

evidence in the record. This record shows the team centers are used for certain

work functions, like pre-shift employee meetings. They contain a few desks and

       2
          In Bonner v. City of Prichard, 661 F.2d 1206 (11th Cir. 1981) (en banc), we adopted as
binding precedent all decisions of the former Fifth Circuit handed down before October 1, 1981.
Id. at 1209.
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computers, and work-related items like attendance calendars and bulletin boards

are fixed to the walls. But the team centers also have the trappings of a typical

breakroom, like refrigerators and microwaves for employees to use during breaks

and before shifts. The centers also contain several tables that employees use for

eating, drinking, and relaxing during lunch and break periods. Like the drivers’

room in Transcon Lines, the team centers are used for a combination of work and

non-work functions. The ALJ’s designation of the team center as a mixed-use area

was supported by substantial evidence.

                                         IV.

      Also, in my view, the Majority fails to properly credit the analysis in the

ALJ’s order. The Majority opines that the ALJ erred because “the Order does not

limit the mixed-use finding to any specific period of time.” To the contrary, the

ALJ ordered Mercedes-Benz to “[c]ease and desist from . . . [p]rohibiting

employees not on working time from distributing literature to other employees not

on working time in a mixed use area.” This effectively limits the mixed-use status

of the team centers to lunch periods, scheduled breaks, and pre-shift changes.

While I don’t agree with the Majority’s invention of “converted mixed-use areas,”

even accepting it, the ALJ’s order complies.

      I respectfully dissent.

                                         55