June 17, 2024
Constitutional LawDU LLBSemester 4

State of Gujarat v. Shri Ambica Mills Ltd.(1974) 4 SCC 656[AN Ray, CJ and HR Khanna, KK Mathew, YV Chandrachud and A Alagiriswami, JJ]

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K.K. MATHEW, J. – 2. The first respondent, a company registered under the Companies
Act, filed a Writ Petition in the High Court of Gujarat. In that petition it impugned the
provisions of Sections 3, 6A and 7 of the Bombay Labour Welfare Fund Act, 1953 (the Act)
and Section 13 of the Bombay Labour Welfare Fund (Gujarat Extension and Amendment)
Act, 1961 (the First Amendment Act) and Rules 3 and 4 of the Bombay Labour Welfare Fund
Rules, 1953 (the Rules) as unconstitutional and prayed for the issue of a writ in the nature of
mandamus or other appropriate writ or direction against the respondents in the writ petition to
desist from enforcing the direction in the notice dated August 2, 1962 of respondent No. 3 to
the writ petition requiring the petitioner – 1st respondent to pay the unpaid accumulations
specified therein.

  1. The High Court held that Section 3(1) of the Act in so far as it relates to unpaid
    accumulations specified in Section 3(2)(b), Section 3(4) and Section 6A of the Act and Rules
    3 and 4 of the Rules was unconstitutional and void.
  2. In order to appreciate the controversy, it is necessary to state the background of the
    amendment made by the Legislature of Gujarat in the Act. The Act was passed by the
    legislature of the then State of Bombay in 1953 with a view to provide for the constitution of
    a fund for financing the activities for promoting the welfare of labour in the State of Bombay.
    Section 2(10) of the Act defined “unpaid accumulation” as meaning all payments due to the
    employees but not made to them within a period of three years from the date on which they
    became due, whether before or after the commencement of the Act, including the wages and
    gratuity legally payable, but not including the amount of contribution, if any, paid by any
    employer to a Provident Fund established under the Employees’ Provident Fund Act, 1952.
    Section 3(1) provided that the State Government shall constitute a fund called the Labour
    Welfare Fund and that notwithstanding anything contained in any other law for the time being
    in force, the sums specified in sub-section (2) shall, subject to the provisions of sub-section
    (4) and Section 6A be paid into the fund. Clause (b) of sub-section (2) of Section 3 provided
    that the Fund shall consist of “all unpaid accumulations”. Section 7(1) provided that the fund
    shall vest in and be applied by the Board of Trustees subject to the provisions and for the
    purposes of the Act. Section 19 gave power to the State Government to make rules and in the
    exercise of that power, the State Government made the Rules. Rules 3 and 4 were concerned
    with the machinery for enforcing the provisions of the Act in regard to fines and unpaid
    accumulations.
  3. In Bombay Dyeing & Manufacturing Co. Ltd. v. State of Bombay [AIR 1958 SC
    328], this Court held that the provisions of Sections 3(1) and 3(2) were invalid on the ground
    that they violated the fundamental right of the employer under Article 19 (1)(f). The
    reasoning of the Court was that the effect of the relevant provisions of the Act was to transfer
    to the Board the debts due by the employer to the employees free from the bar of limitation
    56
    without discharging the employer from his liability to the employees and that Section 3(1)
    therefore operated to take away the moneys of the employer without releasing him from his
    liability to the employees. The Court also found that there was no machinery provided for
    adjudication of the claim of the employees when the amounts were required to be paid to the
    fund.
  4. The State sought to justify the provisions of the Act as one relating to abandoned
    property and, therefore, by their very nature, they could not be held to violate the rights of any
    person either under Article 19(1)(f) or Article 31(2). The Court did not accept the contention
    of the State but held that the purpose of a legislation with respect to abandoned property being
    in the first instance to safeguard the property for the benefit of the true owners and the State
    taking it over only in the absence of such claims, the law which vests the property absolutely
    in the State without regard to the claims of the true owners cannot be considered as one
    relating to abandoned property.
  5. On May 1, 1960, the State of Bombay was bifurcated into the States of Maharashtra
    and Gujarat. The Legislature of Gujarat thereafter enacted the First Amendment Act making
    various amendments in the Act, some of them with retrospective effect. The First Amendment
    Act was intended to remedy the defects pointed out in the decision of this Court in the
    Bombay Dyeing case. The preamble to the First Amendment Act recites that “it is expedient
    to constitute a Fund for the financing of activities to promote welfare of labour in the State of
    Gujarat, for conducting such activities and for certain other purposes”. Section 2(2) defines
    ‘employee’. Section 2(3) defines ‘employer’ as any person who employs either directly or
    through another person either on behalf of himself or any other person, one or more
    employees in an establishment and includes certain other persons. Section 2(4) defines
    ‘establishment’ and that sub-section as amended reads:
    2(4) ‘Establishment’ means:
    (i) A factory;
    (ii) A Tramway or motor omnibus service; and
    (iii Any establishment including a society registered under the Societies
    Registiation Act, 1960, and a charitable or other trust, whether registered under
    the Bombay Public Trusts Act, 1950, or not, which carries on any business or
    trade or any work in connection with or ancillary thereto and which employs or
    on any working day during the preceding twelve months employed more than
    fifty persons; but does not include an establishment (not being a factory) of the
    Central or any State Government.
    Sub-section (10) of Section 2 defines ‘unpaid accumulations’:
    ‘unpaid accumulations’ means all payments due to the employees but not made
    to them within a period of three years from the date on which they became due
    whether before or after the commencement of this Act including the wages and
    gratuity legally payable but not including the amount of contribution if any, paid
    by an employer to a provident fund established under the Employees’ Provident
    Funds Act, 1952.
    Section 3 is retrospectively amended and the amended section in its material part provides
    that the State Government shall constitute a fund called the Labour Welfare Fund and that the
    Fund shall consist of, among other things, all unpaid accumulations. It provides that the sums
    57
    specified shall be collected by such agencies and in such manner and the accounts of the fund
    shall be maintained and audited in such manner as may be prescribed. The section further
    provides that notwithstanding anything contained in any law for the time being in force or any
    contract or instrument, all unpaid accumulations shall be collected by such agencies and in
    such manner as may be prescribed and be paid in the first instance to the Board which shall
    keep a separate account therefor until claims thereto have been decided in the manner
    provided in Section 6A. Section 6A is a new section introduced retrospectively in the Act and
    sub-sections (1) and (2) of that section state that all unpaid accumulations shall be deemed to
    be abandoned property and that any unpaid accumulations paid to the Board in accordance
    with the provisions of Section 3 shall, on such payment, discharge an employer of the liability
    to make payment to an employee in respect thereof, but to the extent only of the amount paid
    to the Board and that the liability to make payment to the employee to the extent aforesaid
    shall, subject to the other provisions of the section, be deemed to be transferred to the Board.
    Sub-section (3) provides that as soon as possible after any unpaid accumulation is paid to the
    Board, the Board shall, by a public notice, call upon interested employees to submit to the
    Board their claims for any payment due to them. Sub-section (4) provides that such public
    notice – shall contain such particulars as may be prescribed and that it shall be affixed on the
    notice board or in its absence on a conspicuous part of the premises, of each establishment in
    which the unpaid accumulations were earned and shall be published in the Official Gazette
    and also in any two newspapers in the language commonly understood in the area in which
    such establishment is situated, or in such other manner as may be prescribed, regard being
    had to the amount of the claim. Sub-section (5) states that after the notice is first affixed and
    published under sub-section (4) it shall be again affixed and published from time to time for a
    period of three years from the date on which it was first affixed and published, in the manner
    provided in that sub-section in the months of June and December each year. Sub-section (6)
    states that a certificate of the Board to the effect that the provisions of sub-sections (4) and (5)
    were complied with shall be conclusive evidence thereof. Sub-section (7) provides that any
    claim received whether in answer to the notice or otherwise within a period “of four years
    from the date of the first publication of the notice in respect of such claim, shall be transferred
    by the Board to the Authority appointed under Section 15 of the Payment of Wages Act,
    1936, having jurisdiction in the area in which the factory or establishment is situated, and the
    Authority shall proceed to adjudicate upon and decide such claim and that in hearing such
    claim the Authority shall have the powers conferred by and shall follow the procedure (in so
    far as it is applicable) followed in giving effect to the provisions of that Act. Sub-section (8)
    states that if in deciding any claim under sub-section (7), she Authority allows the whole or
    part of such claim, it shall declare that the unpaid accumulation in relation to which the claim
    is made shall, to the extent to which the claim is allowed ceases to be abandoned property and
    shall order the Board to pay to the claimant the amount of the claim as allowed by it and the
    Board shall make payment accordingly: provided that the Board shall not be liable to pay any
    sum in excess of that paid under sub-section (4) of Section 3 to the Board as unpaid
    accumulations, in respect of the claim. Sub-section (9) provides for an appeal against the
    decision rejecting any claim. Sub-section (10) provides that the Board shall comply with any
    order made in appeal. Sub-section (11) makes the decision in appeal final and conclusive as to
    the right to receive payment, the liability of the Board to pay and also as to the amount, if
    any; and sub-section (12) states that if no claim is made within the time specified in sub-
    58
    section (7) or a claim or part thereof has been rejected, then the unpaid accumulations in
    respect of such claim shall accrue to and vest in the State as bona vacantia and shall
    thereafter without further assurance be deemed to be transferred to and form part of the Fund.
  6. Section 7(1) provides that the Fund shall vest in and be held and applied by the Board
    as Trustees subject to the provisions and for the purposes of the Act and the moneys in the
    Fund shall be utilized by the Board to defray the cost of carrying out measures which may be
    specified by the State Government from time to time to promote the welfare of labour and of
    their dependents. Sub-section (2) of Section 7 specifies various measures for the benefit of
    employees in general on which the moneys in the Fund may be expended by the Board.
  7. During the pendency of the writ petition before the High Court, the Gujarat
    Legislature passed the Bombay Labour Welfare Fund (Gujarat Amendment) Act, 1962 on
    January 5, 1963 (the Second Amendment Act) introducing sub-section (13) in Section 6A
    with retrospective effect from the date of commencement of the Act. That sub-section
    provides as follows:
    (13) Nothing in the foregoing provisions of this section shall apply to unpaid
    accumulations not already paid to the Board:
    (a) in respect of which no separate accounts have been maintained so that
    the unpaid claims of employees are not traceable, or
    (b) which are proved to have been spent before the sixth day of December,
    1961,
    and accordingly such unpaid accumulations shall not be liable to be collected and
    paid under sub-section (4) of Section 3.
  8. The State Government, in the exercise of its rule-making power under Section 19
    amended the Rules by amending Rule 3 and adding a new Rule 3A setting out the particulars
    to be contained in the public notice issued under Section 6A(3).
  9. The first respondent raised several contentions before the High Court, but the Court
    rejected all except two of them and they were: (1) that the impugned provisions violated the
    fundamental right of citizen-employers and employees under Article 19(1)(f) and, therefore,
    the provisions were void under Article 13(2) of the Constitution and hence there was no law,
    and so, the notice issued by the Welfare Commissioner was without the authority of law; and
    (2) that discrimination was writ large in the definition of ‘establishment’ in Section 2(4) and
    since the definition permeates through every part of the impugned provisions and is an
    integral part of the impugned provisions, the impugned provisions were violative of Article
    14 and were void.
  10. So, the two questions in this appeal are, whether the first respondent was competent to
    challenge the validity of the impugned provisions on the basis that they violated the
    fundamental right under Article 19(1)(f) of citizen-employers or employees and thus show
    that the law was void and non-existent and, therefore, the action taken against it was bad; and
    whether the definition of ‘establishment’ in Section 2(4) violated the fundamental right of the
    respondent under Article 14 and the impugned provisions were void for that reason.
  11. By Section 6A (1) it was declared that unpaid accumulations shall be deemed to be
    abandoned property and that the Board shall take them over. As soon as the Board takes over
    the unpaid accumulations treating them as abandoned property, notice as provided in Section
    59
    6A will have to be published and claims invited. Sub-sections (3) to (6) of Section 6A provide
    for a public notice calling upon interested employees to submit to the Board their claims for
    any payment due to them and sub-sections (7) to (11) of Section 6A lay down the machinery
    for adjudication of claims which might be received in pursuance to the public notice. It is
    only if no claim is made for a period of 4 years from the date of the publication of the first
    notice, or, if a claim is made but rejected wholly or in part, that the State appropriates the
    unpaid accumulations as bona vacantia. It is not as if unpaid accumulations become bona
    vacantia on the expiration of three years. They are, no doubt, deemed to be abandoned
    property under Section 6A(1), but they are not appropriated as bona vacantia until after
    claims are invited in pursuance to public notice and disposed of.
  12. At common law, abandoned personal property could not be the subject of escheat. It
    could only be appropriated by the sovereign as bona vacantia. The Sovereign has a
    prerogative right to appropriate bona vacantia. And abandoned property can be appropriated
    by the Sovereign as bona vacantia.
  13. Unpaid accumulations represent the obligation of the ‘employers’ to the ‘employees’
    and they are the property of the employees. In other words, what is being treated as
    abandoned property is the obligation to the employees owed by the employers and which is
    property from the stand-point of the employees. No doubt, when we look at the scheme of the
    legislation from a practical point of view, what is being treated as abandoned property is the
    money which the employees are entitled to get from the employers and what the Board takes
    over is the obligation of the employers to pay the amount due to the employees in
    consideration of the moneys paid by the employers to the Board. The State, after taking the
    money, becomes liable to make the payment to the employees to the extent of the amount
    received. Whether the liability assumed by the State to the employees is an altogether new
    liability or the old liability of the employers is more a matter of academic interest than of
    practical consequence.
  14. When the moneys representing the unpaid accumulations are paid to the Board, the
    liability of the employers to make payment to the employees in respect of their claims against
    the employers would be discharged to the extent of the amount paid to the Board and on such
    liability being transferred to the Board, the debts or claims to that extent cannot thereafter be
    enforced against the employer.
  15. We think that if unpaid accumulations are not claimed within a total period of 7 years,
    the inactivity on the part of the employees would furnish adequate basis for the administration
    by State of the unasserted claims or demands. We cannot say that the period of 7 years
    allowed to the employees for the purpose of claiming unpaid accumulations is an
    unreasonably short one which will result in the infringement of any constitutional rights of the
    employees. And, in the absence of some persuasive reason, which is lacking here, we see no
    reason to think that the State will be, in fact, less able or less willing to pay the amounts when
    it has taken them over. We cannot also assume that the mere substitution of the State as the
    debtor will deprive the employees of their property or impose on them any unconstitutional
    burden. And, in the absence of a showing of injury, actual or threatened, there can be no
    constitutional argument against the taking over of the unpaid accumulations by the State.
    Since the employers are the debtors of the employees, they can interpose no objection if the
    State is lawfully entitled to demand the payment, for, in that case, payment of the debt to the
    60
    State under the statute releases the employers of their liability to the employees. As regards
    notice, we are of the view that all persons having property located within a State and subject
    to its dominion must take note of its statutes affecting control and disposition of such property
    and the procedure prescribed for these purposes. The various modes of notice prescribed in
    Section 6A are sufficient to give-reasonable information to the employees to come forward
    and claim the amount if they really want to do so.
  16. Be that as it may, we do not, however, think it necessary to consider whether the High
    Court was right in its view that the impugned provisions violated the fundamental rights of
    the citizen-employers or employees, for, it is a wise tradition with courts that they will not
    adjudge on the constitutionality of a statute except when they are called upon to do so when
    legal rights of the litigants are in actual controversy and as part of this rule is the principle that
    one to whom the application of a statute is constitutional will not be heard to attack the statute
    on the ground that it must also be taken as applying to other persons or other situations in
    which its application might be unconstitutional.
    A person ordinarily is precluded from challenging the constitutionality of governmental
    action by invoking the rights of others and it is not sufficient that the statute or administrative
    regulation is unconstitutional as to other persons or classes of persons; it must affirmatively
    appear that the person attacking the statute comes within the class of persons affected by it.
  17. We, however, proceed on the assumption that the impugned provisions abridge the
    fundamental right of citizen-employers and citizen-employees under Article 19(1)(f) in order
    to decide the further question and that is, whether, on that assumption, the first respondent
    could claim that the law was void as against the non-citizen employers or employees under
    Article 13(2) and further contend that the non-citizen employers have been deprived of their
    “property without the authority of law, as, ex hypothesi a void law is a nullity.
  18. It is settled by the decisions of this Court that a Corporation is not a citizen for the
    purposes of Article 19 and has, therefore, no fundamental right under that Article.
  19. As already stated, the High Court found that the impugned provisions, in so far as
    they abridged the fundamental rights of the citizen-employers and employees under Article
    19(1)(f) were void under Article 13(2) and even if the respondent-company had no
    fundamental right under Article l9(l)(f), it had the ordinary right to hold and dispose of its
    property, and that the right cannot be taken away or even affected except under the authority
    of a law. Expressed in another way, the reasoning of the Court was that since the impugned
    provisions became void as they abridged the fundamental right under Article 19(1)(f) of the
    citizen-employers and employees the law was void and non-est, and therefore, the first
    respondent was entitled to challenge the notice issued by the Welfare Commissioner
    demanding the unpaid accumulation as unauthorised by any law.
  20. The first respondent, no doubt, has the ordinary right of every person in the country to
    hold and dispose of property and that right, if taken away or even affected by the Act of an
    Authority without the authority of law, would be illegal. That would give rise to a justiciable
    issue which can be agitated in a proceeding under Article 226.
  21. The real question, therefore, is, even if a law takes away or abridges the fundamental
    right of citizens under Article 19(1)(f), whether it would be void and therefore non-est as
    respects non-citizens?
    61
  22. In Keshava Madhava Menon v. State of Bombay [AIR 1951 SC 128], question was
    whether a prosecution commenced before the coming into force of the Constitution could be
    continued after the Constitution came into force as the Act in question there became void as
    violating Article 19(1)(a) and 19(2). Das, J. who delivered the majority judgment was of the
    view that the prosecution could be continued on the ground that the provisions of the
    Constitution including Article 13(1) were not retrospective. The learned Judge said that after
    the commencement of the Constitution, no existing law could be allowed to stand in the way
    of the exercise of fundamental rights, that such inconsistent laws were not wiped off or
    obliterated from the statute book and that the statute would operate in respect of all matters or
    events which took place before the Constitution came into force and that it also operated after
    the Constitution came into force and would remain in the statute book as operative so far as
    non-citizens are concerned.
  23. This decision is clear that even though a law which is inconsistent with fundamental
    rights under Article 19 would become void after the commencement of the Constitution, the
    law would still continue in force in so far as non-citizens are concerned. This decision takes
    the view that the word ‘void’ in Article 13(1) would not have the effect of wiping out preConstitution laws from the statute book, that they will continue to be operative so far as noncitizens are concerned, notwithstanding the fact that they are inconsistent with the
    fundamental rights of citizens and therefore become void under Article 13(1).
  24. In Behram Khurshed Pesikaka v. State of Bombay [AIR 1955 SC 123], the question
    was about the scope of Article 13(1). This Court had held that certain provisions of the
    Bombay Prohibition Act, 1949 (a pre-Constitution Act), in so far as they prohibited the
    possession, use and consumption of medicinal preparations were void as violating Article
    19(1)(f). The appellant was prosecuted under the said Act and he pleaded that he had taken
    medicine containing alcohol. The controversy was whether the burden of proving that fact
    was on him. It became necessary to consider the legal effect of the declaration made by this
    Court that Section 9(b) of the said Act in so far as it affected liquid medicinal and toilet
    preparations containing alcohol was invalid as it infringed Article 19(1)(d). At the first
    hearing all the judges were agreed that a declaration by a court that part of a section was
    invalid did not repeal or amend that section. Venkatarama Aiyar, J. with whom
    Jagannadhadas, J. was inclined to agree, held that a distinction must be made between
    unconstitutionality arising from lack of legislative competence and that arising from a
    violation of constitutional limitations on legislative power. According to him, if the law is
    made without legislative competence, it was a nullity; a law violating a constitutional
    prohibition enacted for the benefit of the public generally was also a nullity; but a law
    violating a constitutional prohibition enacted for individuals was not a nullity but was merely
    unenforceable. At the second hearing of the case, Mahajan, C.J., after referring to Madhava
    Menon case, said that for determining the rights and obligations of citizens, the part declared
    void should be notionally taken to be obliterated from the section for all intents and purposes
    though it may remain written on the statute book and be a good law when a question arises for
    determination of rights and obligations incurred prior to January 26, 1950, and also for the
    determination of rights of persons who have not been given fundamental rights by the
    Constitution. Das, J., in his dissenting judgment held that to hold that the invalid part was
    obliterated would be tantamount to saying covertly that the judicial declaration had to that
    extent amended the section. Mahajan, C.J., rejected the distinction between a law void for
    62
    lack of legislative power and a law void for violating a constitutional fetter or limitation on
    legislative power. Both these declarations, according to the learned Chief Justice, of
    unconstitutionality go to the root of the power itself and there is no real distinction between
    them and they represent but two aspects of want of legislative power.
  25. In Bhikhaji Narain Dhakras v. State of M.P. [AIR 1955 SC 781], the question was
    whether the C.P. and Berar Motor Vehicles (Amendment) Act, 1947, amended Section 43 of
    the Motor Vehicles Act, 1939, by introducing provisions which authorised the Provincial
    Government to take up the entire motor transport business in the Province and run it in
    competition with and even to the exclusion of motor transport operators. These provisions,
    though valid when enacted, became void on the coming into force of the Constitution, as they
    violated Article 19(1)(g). On June 18, 1951, the Constitution was amended so as to authorise
    the State to carry on business “whether to the exclusion, complete or partial, of citizens or
    otherwise”. A notification was issued after the amendment and the Court was concerned with
    the validity of the notification. The real question before the Court was that although Section
    43 was void between January 26, 1950, and June 18, 1951, the amendments of the Article
    19(6) had the effect of removing the constitutional invalidity of Section 43 which, from the
    date of amendment, became valid and operative. After referring to the meaning given to the
    word ‘void’ in Keshava Madhava Menon case, Das, Acting CJ., said for the Court:
    All laws, existing or future, which are inconsistent with the provisions of Part III
    of our Constitution are, by the express provision of Article 13, rendered void ‘to the
    extent of such inconsistency’. Such laws were not dead for all purposes. They existed
    for the purposes of pre-Constitution rights and liabilities and they remained
    operative, even after the Constitution, as against non-citizens. It is only as against the
    citizens that they remained in a dormant or moribund condition.
  26. In M.P.V. Sundararamaier v. State of A.P. [AIR 1958 SC 468], Venkatarama Aiyer,
    J., said that a law made without legislative competence and a law violative of constitutional
    limitations on legislative power were both unconstitutional and both had the same reckoning
    in a court of law; and they were both unenforceable but it did not follow from this that both
    laws were of the same quality and character and stood on the same footing for all purposes.
    The proposition laid down by the learned Judge was that if a law is enacted by a legislature on
    a topic not within its competence, the law was a nullity, but if the law was on topic within its
    competence but if it violated some constitutional prohibition, the law was only unenforceable
    and not a nullity. In other words, a law if it lacks legislative competence was absolutely null
    and void and a subsequent cession of the legislative topic would not revive the law which was
    still-born and the law would have to be re-enacted; but a law within the legislative
    competence but violative of constitutional limitation was unenforceable but once the
    limitation was removed, the law became effective. The learned judge said that the
    observations of Mahajan, J., in Pesikaka case that qua citizens that part of Section 13(b) of
    the Bombay Prohibition Act, 1949, which had been declared invalid by this Court “had to be
    regarded as null and void” could not in the context be construed as implying that the
    impugned law must be regarded as non-est so as to be incapable of taking effect when the bar
    was removed. He summed up the result of the authorities as follows:
    Where an enactment is unconstitutional in part but valid as to the rest, assuming of
    course that the two portions are severable, it cannot be held to have been wiped out
    63
    of the statute book as it admittedly must remain there for the purpose of enforcement
    of the valid portion thereof, and being on the statute book, even that portion which is
    unenforceable on the ground that it is unconstitutional will operate proprio vigore
    when the Constitutional bar is removed, and there is no need for a fresh legislation.
  27. In Deep Chand v. State of U.P. [AIR 1959 SC 648], it was held that a postConstitution law is void from its inception but that a pre-Constitution law having been validly
    enacted would continue in force so far as non-citizens are concerned after the Constitution
    came into force. The Court further said that there is no distinction in the meaning of the word
    ‘void’ in Article 13(1) and in 13(2) and that it connoted the same concept but, since from its
    inception the post-Constitution law is void, the law cannot be resuscitated without reenactment. Subba Rao, J., who wrote the majority judgment said after citing the observations
    of Das, Acting C.J., in Keshava Madhava Menon case:
    The second part of the observation directly applies only to a case covered by Article
    13(1), for the learned Judges say that the laws exist for the purposes of preConstitution rights and liabilities and they remain operative even after the
    Constitution as against non-citizens. The said observation could not obviously apply
    to post-Constitution laws. Even so, it is said that by a parity of reasoning the postConstitution laws are also void to the extent of their repugnancy and therefore the
    law in respect of non-citizens will be on the statute-book and by the application of
    the doctrine of eclipse, the same result should flow in its case also. There is some
    plausibility in this argument, but it ignores one vital principle, viz., the existence or
    the non-existence of legislative power or competency at the time the law is made
    governs the situation.
  28. Das, C.J., dissented. He was of the view that a post-Constitution law may infringe
    either a fundamental right conferred on citizens only or a fundamental right conferred on any
    person, citizen or non-citizen and that in the first case the law will not stand in the way of the
    exercise by the citizens of that fundamental right and, therefore, will not have any operation
    on the rights of the citizens, but it will be quite effective as regards non-citizens.
  29. In Maheidra Lal Jaini v. State of U.P. [AIR 1963 SC 1019], the Court was of the
    view that the meaning of the word ‘void’ is the same both in Article 13(1) and Article 13(2)
    and that the application of the doctrine of eclipse in the case of pre-Constitution laws and not
    in the case of post-Constitution laws does not depend upon the two parts of Article 13: (at p.
    940)
    (T)hat it arises from the inherent difference between Article 13(1) and Article 13(2)
    arising from the fact that one is dealing with pre-Constitution laws, and the other is
    dealing with post-Constitution laws, with the result that in one use the laws being not
    still-born the doctrine of eclipse will apply while in the other case the law being stillborn there will be no scope for the application of the doctrine of eclipse.
  30. If the meaning of the word ‘void’ in Article 13(1) is the same as its meaning in Article
    13(2), it is difficult to understand why a pre-Constitution law which takes away or abridges
    the rights under Article 19 should remain operative even after the Constitution came into
    force as regards non-citizens and a post-Constitution law which takes away or abridges them
    should not be operative as respects non-citizens. The fact that pre-Constitution law was valid
    64
    when enacted can afford no reason why it should remain operative as respects non-citizens
    after the Constitution came into force as it became void on account of its inconsistency with
    the provisions of Part III. Therefore, the real reason why it remains operative as against noncitizens is that it is void only to the extent of its inconsistency with the rights conferred under
    Article 19 and that its voidness is, therefore, confined to citizens, as, ex hypothesi, the law
    became inconsistent with their fundamental rights alone. If that be so, we see no reason why a
    post-Constitution law which takes away or abridges the rights conferred by Article 19 should
    not be operative in regard to non-citizens as it is void only to the extent of the contravention
    of the rights conferred on citizens, namely, those under Article 19.
  31. Article 13(2) is an injunction to the ‘state’ not to pass any law which takes away or
    abridges the fundamental rights conferred by Part III and the consequence of the
    contravention of the injunction is that the law would be void to the extent of the
    contravention. The expression ‘to the extent of the contravention’ in the sub-article can only
    mean, to the extent of the contravention of the rights conferred under that part. Rights do not
    exist in vacuum. They must always inhere in some person whether natural or juridical and,
    under Part III, they inhere even in fluctuating bodies like linguistic or religious minorities or
    denominations. And, when the sub-article says that the law would be void “to the extent of
    the contravention”, it can only mean to the extent of the contravention of the rights conferred
    on persons, minorities or denominations, as the case may be. Just as a pre-Constitution law
    taking away or abridging the fundamental rights under Article 19 remains operative after the
    Constitution came into force as respects non-citizens as it is not inconsistent with their
    fundamental rights, so also a post-Constitution law offending Article 19, remains operative as
    against non-citizens as it is not in contravention of any of their fundamental rights. The same
    scheme permeates both the sub-articles, namely, to make the law void in Article 13(1) to the
    extent of the inconsistency with the fundamental rights, and in Article 13(2) to the extent of
    the contravention of those rights. In other words, the voidness is not in rem but to the extent
    only of inconsistency or contravention, as the case may be of the rights conferred under Part
    III. Therefore, when Article 13(2) uses the expression ‘void’, it can only mean, void as
    against persons whose fundamental rights are taken away or abridged by a law. The law
    might be ‘still-born’ so far as the persons, entities or denominations whose fundamental rights
    are taken away or abridged, but there is no reason why the law should be void or ‘still-born’
    as against those who have no fundamental rights.
  32. It is said that the expression “to the extent of the contravention” in the Article means
    that the part of the law which contravenes the fundamental right would alone be void and not
    the other parts which do not so contravene. In other words, the argument was that the
    expression is intended to denote only the part of the law that would become void and not to
    show that the law will be void only as regards the persons or entities whose fundamental
    rights have been taken away or abridged.
  33. The first part of the sub-article speaks of ‘any law’ and the second part refers to the
    same law by using the same expression, namely, ‘any law’. We think that the expression ‘any
    law’ occurring in the latter part of the sub-article must necessarily refer to the same
    expression in the former part and therefore, the Constitution-makers have already made it
    clear that the law that would be void is only the law that contravenes the fundamental rights
    conferred by Part III, and so, the phrase ‘to the extent of the contravention’ can mean only to
    65
    the extent of the contravention of the rights conferred. For instance, if a section in a statute
    takes away or abridges any of the rights conferred by Part III, it will be void because it is the
    law embodied in the section which takes away or abridges the fundamental right. And this is
    precisely what the sub-article has said in express terms by employing the expression ‘any
    law’ both in the former and the latter part of it. It is difficult to see the reason why the
    Constitution-makers wanted to state that the other sections, which did not violate the
    fundamental right, would not be void, and any such categorical statement would have been
    wrong, as the other sections might be void if they are inseparably knitted to the void one.
    When we see that the latter part of the sub-article is concerned with the effect of the violation
    of the injunction contained in the former part, the words “to the extent of the contravention”
    can only refer to the rights conferred under Part III and denote only the compass of voidness
    with respect to persons or entities resulting from the contravention of the rights conferred
    upon them. Why is it that a law is void under Article 13(2)? It is only because the law takes
    away or abridges a fundamental right. There are many fundamental rights and they inhere in
    diverse types of persons, minorities or denominations. There is no conceivable reason why a
    law which takes away the fundamental right of one class of persons, or minorities or
    denominations should be void as against others who have no such fundamental rights as, ex
    hypofhesi the law cannot contravene their rights.
  34. It was submitted that this Court has rejected the distinction drawn by Venkatarama
    Aiyar, J. in Sundararamaier case between legislative incapacity arising from lack of power
    under the relevant legislative entry and that arising from a check upon legislative power on
    account of constitutional provisions like fundamental rights and that if the law enacted by a
    legislature having no capacity in the former sense would be void in rem, there is no reason
    why a law passed by a legislature having no legislative capacity in the latter sense is void
    only qua persons whose fundamental rights are taken away or abridged.
  35. It was also urged that the expression “the State shall not make any law” in Article
    13(2) is a clear mandate of the fundamental law of the land and, therefore, it is a case of total
    incapacity and total want of power. But the question is: what is the mandate? The mandate is
    that the State shall not make any law which takes away or abridges the rights conferred by
    Part III, If no rights are conferred under Part III upon a person, or, if rights are conferred, but
    they are not taken away or abridged by the law, where is the incapacity of the legislature? It
    may be noted that both in Deep Chand case and Mahendra Lal Joini case, the decision in
    Sundararamaier case was not adverted to. If on a textual reading of Article 13, the
    conclusion which we have reached is the only reasonable one, we need not pause to consider
    whether that conclusion could be arrived at except on the basis of the distinction drawn by
    Venkatarama Aiyar, J. in Sundararamier case. However, we venture to think that there is
    nothing strange in the notion of a legislature having no inherent legislative capacity or power
    to take away or abridge by a law the fundamental rights conferred on citizens and yet having
    legislative power to pass the same law in respect of non-citizens who have no such
    fundamental rights to be taken away or abridged. In other words, the legislative incapacity
    subjectwise with reference to Articles 245 and 246 in this context would be the taking away
    or abridging by law the fundamental rights under Article 19 of citizens.
  36. In Jagannath v. Authorized Officer, Land Reforms [(1971) 2 SCC 893], this Court
    has said that a post-Constitution Act which has been struck down for violating the
    66
    fundamental rights conferred under Part III and was therefore still-born, has still an existence
    without re-enactment, for being put in the Ninth Schedule. That only illustrates that any
    statement that a law which takes away or abridges fundamental rights conferred under Part III
    is still-born or null and void requires qualifications in certain situations. Although the general
    rule is that a statute declared unconstitutional is void at all times and that its invalidity must
    be recognized and acknowledged for all purposes and is no law and a nullity, this is neither
    universally nor absolutely true and there are many exceptions to it. A realistic approach has
    been eroding the doctrine of absolute nullity in all cases and for all purposes and it has been
    held that such broad statements must be taken with some qualifications, that even an
    unconstitutional statute is an operative fact at least prior to a determination of
    constitutionality and may have consequences which cannot be ignored.
    The decision made by the competent authority that something that presents itself as a
    norm is null ab initio because it fulfils the conditions of nullity determined by the legal order
    is a constitutive act; it has a definite legal effect; without and prior to this act the phenomenon
    in question cannot be considered as null. Hence the decision is not ‘declaratory’, that is to
    say, it is not, as it presents itself, a declaration of nullity; it is a true annulment, an annulment
    with retroactive force. There must be something legally existing to which this decision refers.
    Hence, the phenomenon in question cannot be something null ab initio, that is to say, legally
    nothing. It has to be considered as a norm annulled with retroactive force by the decision
    declaring it null ab initio. Just as everything King Midas touched turned into gold, everything
    to which the law refers becomes law, i.e., something legally existing.
  37. We do not think it necessary to pursue this aspect further in this case. For our purpose
    it is enough to say that if a law is otherwise good and does not contravene any of their
    fundamental rights, non-citizens cannot take advantage of the voidness of the law for the
    reason that it contravenes the fundamental right of citizens and claim that there is no law at
    all. Nor would this proposition violate any principle of equality before the law because
    citizens, and non-citizens are not similarly situated as the citizens have certain fundamental
    rights which non-citizens have not. Therefore, even assuming that under Article 226 of the
    Constitution, the first respondent was entitled to move the High Court and seek a remedy for
    infringement of its ordinary right to property, the impugned provisions were not non-est but
    were valid laws enacted by a competent legislature as respects non-citizens and the first
    respondent cannot take the plea that its rights to property are being taken away or abridged
    without the authority of law.
  38. Now, let us see whether the definition of ‘establishment’ in Section 2(4) violates the
    right under Article 14 and make the impugned provisions void.
  39. The High Court held that there was no intelligible differentia to distinguish
    establishments grouped together under the definition of ‘establishment’ in Section 2(4) and
    establishments left out of the group; and that in any event, the differentia had no rational
    relation or nexus with the object sought to be achieved by the Act and that the impugned
    provisions as they affected the rights and liabilities of employers and employees in respect of
    the establishments defined in Section 2(4) were, therefore, violative of Article 14. The
    reasoning of the High Court was that all factories falling within the meaning of Section 2(m)
    of the Factories Act, 1948, were brought within the purview of the definition of
    ‘establishment’ while establishments carrying business or trade and employing less than fifty
    67
    persons were left out and that opt of this latter class of establishments an exception was made
    and all establishments carrying on the business of tramways or motor omnibus services were
    included without any fair reason and that, though Government establishments which were
    factories were included within the definition of ‘establishment’ other Government
    establishments were excluded and, therefore, the classification was unreasonable.
  40. The definition of ‘establishment’ includes factories, tramway or motor omnibus
    services and any establishment carrying on business or trade and employing more than 50
    persons, but excludes all Government establishments carrying on business or trade.
  41. In the High Court, an affidavit was filed by Mr Brahmbhatt, Deputy Secretary to
    Education and Labour Department, wherein it was stated that the differentiation between
    factories and commercial establishments employing less than 50 persons was made for the
    reason that the turnover of labour is more in factories than in commercial establishments other
    than factories on account of the fact that industrial labour frequently changes employment for
    a variety of reasons.
  42. The High Court was not prepared to accept this explanation. The High Court said:
    It may be that in case of commercial establishments employing not more than 50
    persons, the turnover of labour in commercial establishments being less, the unpaid
    accumulations may be small. But whether unpaid accumulations are small or large is
    an immaterial consideration for the purpose of the enactment of the impugned
    provisions. The object of the impugned provisions being to get at the unpaid
    accumulations and to utilize them for the benefit of labour, the extent of the unpaid
    accumulations with any particular establishment can never be a relevant
    consideration.
  43. According to the High Court, as an establishment carrying on tramway or motor
    omnibus service would be within the definition of ‘establishment’ even if it employs less than
    50 persons, or for that matter, even less than 10 persons, the reason given in the affidavit of
    Mr Brahmbhatt for excluding all commercial establishments employing less than 50 persons
    from the definition was not tenable. The Court was also of the view that when Government
    factories were included in the definition of ‘establishment’ there was no reason for excluding
    government establishments other than factories from the definition. The affidavit of Mr
    Brahmbhatt made it clear that there were hardly any establishments of the Central or State
    Governments which carried on business or trade or any work in connection with or ancillary
    thereto and, therefore, the legislature did not think it fit to extend the provisions of the Act to
    such establishments. No affidavit in rejoinder was filed on behalf of respondents to contradict
    this statement.
  44. It would be an idle parade of familiar learning to review the multitudinous cases in
    which the constitutional assurance of equality before the law has been applied.
  45. The equal protection of the laws is a pledge of the protection of equal laws. But laws
    may classify. And the very idea of classification is that of inequality. In tackling this paradox
    the Court has neither abandoned the demand for equality nor denied the legislative right to
    classify. It has taken a middle course. It has resolved the contradictory demands of legislative
    specialisation and constitutional generality by a doctrine of reasonable classification.
    68
  46. A reasonable classification is one which includes all who are similarly situated and
    none who are not. The question then is: what does the phrase ‘similarly situated’ mean? The
    answer to the question is that we must look beyond the classification to the purpose of the
    law. A reasonable classification is one which includes all persons who are similarly situated
    with respect to the purpose of the law. The purpose of a law may be either the elimination of a
    public mischief or the achievement of some positive public good.
  47. A classification is under-inclusive when all who are included in the class are tainted
    with the mischief but there are others also tainted whom the classification does not include. In
    other words, a classification is bad as under-inclusive when a State benefits or burdens
    persons in a manner that furthers a legitimate purpose but does not confer the same benefit or
    place the same burden on others who are similarly situated. A classification is over-inclusive
    when it includes not only those who are similarly situated with respect to the purpose but
    others who are not so situated as well. In other words, this type of classification imposes a
    burden upon a wider range of individuals than are included in the class of those attended with
    mischief at which the law aims. Herod ordering the death of all male children born on a
    particular day because one of them would some day bring about his downfall employed such
    a classification.
  48. The first question, therefore, is, whether the exclusion of establishments carrying on
    business or trade and employing less than 50 persons makes the classification underinclusive, when it is seen that all factories employing 10 or 20 persons, as the case may be,
    have been included and that the purpose of the law is to get in unpaid accumulations for the
    welfare of the labour. Since the classification does not include all who are similarly situated
    with respect to the purpose of the law, the classification might appear, at first blush, to be
    unreasonable. But the Court has recognized the very real difficulties under which legislatures
    operate – difficulties arising out of both the nature of the legislative process and of the society
    which legislation attempts perennially to re-shape and it has refused to strike down
    indiscriminately all legislation embodying classificatory inequality here under consideration.
    Mr. Justice Holmes, in urging tolerance of under-inclusive classifications, stated that such
    legislation should not be disturbed by the Court unless it can clearly see that there is no fair
    reason for the law which would not require with equal force its extension to those whom it
    leaves untouched. What, then, are the fair reasons for non-extension? What should a court do
    when it is faced with a law making an under-inclusive classification in areas relating to
    economic and tax matters? Should it, by its judgment, force the legislature to choose between
    inaction or perfection?
  49. The legislature cannot be required to impose upon administrative agencies tasks
    which cannot be carried out or which must be carried out on a large scale at single stroke.
    If the law presumably hits the evil where it is most felt, it is not to be overthrown because
    there are other instances to which it might have been applied. There is no doctrinaire
    requirement that the legislation should be couched in all embracing terms
  50. The piecemeal approach to a general problem permitted by under-inclusive
    classifications, appears justified when it is considered that legislative dealing with such
    problems is usually an experimental matter. It is impossible to tell how successful a particular
    approach may be, what dislocations might occur, what evasions might develop, what new
    evils might be generated in the attempt. Administrative expedients must be forged and tested.
    69
    Legislators, recognizing these factors, may wish to proceed cautiously, and courts must allow
    them to do so.
  51. Administrative convenience in the collection of unpaid accumulations is a factor to be
    taken into account in adjudging whether the classification is reasonable. A legislation may
    take one step at a time addressing itself to the phase of the problem which seems most acute
    to the legislative mind. Therefore, a legislature might select only one phase of one field for
    application of a remedy.
  52. It may be remembered that Article 14 does not require that every regulatory statute
    apply to all in the same business: where size is an index to the evil at which the law is
    directed, discriminations between the large and small are permissible, and it is also
    permissible for reform to take one step at a time, addressing itself to the phase of the problem
    which seems most acute to the legislative mind.
  53. A legislative authority acting within its field is not bound to extend its regulation to
    all cases which it might possibly reach. The legislature is free to recognize degrees of harm
    and it may confine the restrictions to those classes of cases where the need seemed to be
    clearest.
  54. In short, the problem of legislative classification is a perennial one, admitting of no
    doctrinaire definition. Evils in the same field may be of different dimensions and proportions
    requiring different remedies. Or so the legislature may think.
  55. Once an objective is decided to be within legislative competence, however, the
    working out of classifications has been only infrequently impeded by judicial negatives. The
    Court’s attitude cannot be that the State either has to regulate all businesses, or even all
    related businesses, and in the same way, or, not at all. An effort to strike at a particular
    economic evil could not be hindered by the necessity of carrying in its wake a train of
    vexatious, troublesome and expensive regulations covering the whole range of connected or
    similar enterprises.
  56. Laws regulating economic activity would be viewed differently from laws which
    touch and concern freedom of speech and religion, voting, procreation, rights with respect to
    criminal procedure, etc. The prominence given to the equal protection clause in many modem
    opinions and decisions in America all show that the Court feels less constrained to give
    judicial deference to legislative judgment in the field of human and civil rights than in that of
    economic regulation and that it is making a vigorous use of the equal protection clause to
    strike down legislative action in the area of fundamental human rights. Equal protection
    clause rests upon two largely subjective judgments: one as to the relative invidiousness of
    particular differentiation and the other as to the relative importance of the subject with respect
    to which equality is sought.
  57. The question whether, under Article 14, a classification is reasonable or unreasonable
    must, in the ultimate analysis depends upon the judicial approach to the problem. The great
    divide in this area lies in the difference between emphasizing the actualities or the
    abstractions of legislation. The more complicated society becomes, the greater the diversity of
    its problems and the more does legislation direct itself to the diversities:
    Statutes are directed to less than universal situations. Law reflects distinctions
    that exist in fact or at least appear to exist in the judgment of legislators – those who
    70
    have the responsibility for making law fit fact. Legislation is essentially empirical. It
    addresses itself to the more or less crude outside world and not to the neat, logical
    models of the mind. Classification is inherent in legislation. To recognise marked
    differences that exist in fact is living law; to disregard practical differences and
    concentrate on some abstract identities is lifeless logic.
  58. That the legislation is directed to practical problems, that the economic mechanism is
    highly sensitive and complex, that many problems are singular and contingent that laws are
    not abstract propositions and do not relate to abstract units and are not to be measured by
    abstract symmetry, that exact wisdom and nice adaptation of remedies cannot be required,
    that judgment is largely a prophecy based on meagre and un-interpreted experience, should
    stand as reminder that in this area the Court does not take the equal protection requirement in
    a pedagogic manner.
  59. In the utilities, tax and economic regulation cases, there are good reasons for judicial
    self-restraint if not judicial deference to legislative judgment. The legislature after all has the
    affirmative responsibility. The Courts have only the power to destroy, not to reconstruct.
    When these are added to the complexity of economic regulation, the uncertainty, the liability
    to error, the bewildering conflict of the experts and the number of times the judges have been
    overruled by events – self-limitation can be seen to be the path to judicial wisdom and
    institutional prestige and stability.
  60. The purpose ‘of the Act is to get unpaid accumulations for utilizing them for the
    welfare of labour in general. The aim of any legislature would then be to get the unpaid
    accumulation from all concerns. So an ideal classification should include all concerns which
    have ‘unpaid accumulations’. But then there are practical problems. Administrative
    convenience as well as the apprehension whether the experiment, if undertaken as an allembracing one will be successful, are legitimate considerations in confining the realization of
    the objective in the first instance to large concerns such as factories employing large amount
    of labour and with statutory duty to keep register of wages, paid and unpaid, and the
    legislature has, in fact, brought all factories, whether owned by Government or otherwise,
    within the purview of the definition of ‘establishment’. In other words, it is from the factories
    that the greatest amount of unpaid accumulations could be collected and since the factories
    are bound to maintain records from which the amount of unpaid accumulations could be
    easily ascertained, the legislature brought all the factories within the definition of
    ‘establishment’. It then addressed itself to other establishments but thought that
    establishments employing less than 50 persons need not be brought within the purview of the
    definition as unpaid accumulations in those establishments would be less and might not be
    sufficient to meet the administrative expenses of collection and as many of them might not be
    maintaining records from which the amount of unpaid accumulations could be ascertained.
    The affidavit of Mr Brahmbhatt made it clear that unpaid accumulations in these
    establishments would be comparatively small. The reason why government establishments
    other than factories were not included in the definition is also stated in the affidavit of Mr.
    Brahmbhatt, namely, that there were hardly any establishments run by the Central or State
    Government. This statement was not contradicted by any affidavit in rejoinder.
  61. There remains then the further question whether there was any justification for
    including tramways and motor omnibuses within the purview of the definition. So far as
    71
    tramways and motor omnibuses are concerned, the legislature of Bombay, when it enacted the
    Act in 1953, must have had reason to think that unpaid accumulations in these concerns
    would be large as they usually employed large amount of labour force and that they were
    bound to keep records of the wages earned and paid. Section 2(ii) (a) of the Payment of
    Wages Act, 1936, before that section was amended in 1965 so far as it is material provided:
  62. In this Act, unless there is anything repugnant in the subject or context,–
    (ii) “industrial establishment” means any –
    (a) tramway or motor omnibus service.
    Rule 5 of the Bombay Payment of Wages Rules, 1937 provided:
  63. Register of Wages.- A Register of Wages shall be maintained in every factory and
    industrial establishment and may be kept in such form as the paymaster finds
    convenient but shall include the following particulars:
    (a) the gross wages earned by each person employed for each wage period;
    (b) all deductions made from those wages, with an indication in each case of
    the clause of sub-section (2) of Section 7 under which the deduction is made;
    (c) the wages actually paid to each person employed for each wage period.
  64. The Court must be aware of its own remoteness and lack of familiarity with local
    problems. Classification is dependent on the peculiar needs and specific difficulties of the
    community. The needs and difficulties of the community are constituted out of facts and
    opinions beyond the easy ken of the Court. It depends to a great extent upon an assessment of
    the local condition of these concerns which the legislature alone was competent to make.
  65. Judicial deference to legislature in instances of economic regulation is sometimes
    explained by the argument that rationality of a classification may depend upon ‘local
    conditions’ about which local legislative or administrative body would be better informed
    than a court. Consequently, lacking the capacity to inform itself fully about the peculiarities
    of a particular local situation, a court should hesitate to dub the legislative classification
    irrational. Tax laws, for example, may respond closely to local needs and court’s familiarity
    with these needs is likely to be limited.
  66. Mr S.T. Desai for the appellants argued that, if it is held that the inclusion of
    tramways and motor omnibuses in the category of ‘establishment’ is bad, the legislative
    intention to include factories and establishments employing more than 50 persons should not
    be thwarted by striking down the whole definition. He said that the doctrine of severability
    can be applied and that establishments running tramways and motor omnibuses can be
    excluded from the definition without in the least sacrificing the legislative intention.
  67. In Skinner v. Oklahoma ex rel Williamson [316 US 535], a statute providing for
    sterilization of habitual criminals excluded embezzlers and certain other criminals from its
    coverage. The Supreme Court found that the statutory classification denied equal protection
    and remanded the case to the State Court to determine whether the sterilization provisions
    should be either invalidated or made to cover all habitual criminals. Without elaboration, the
    State Court held the entire statute unconstitutional, declining to use the severability clause to
    remove the exception that created the discrimination. In Skinner case the exception may have
    suggested a particular legislative intent that one class should not be covered even if the result
    was that none would be. But there is no necessary reason for choosing the intent to exclude
    72
    one group over the intend to include another. Courts may reason that without legislation none
    would be covered, and that invalidating the exemption therefore amounts to illegitimate
    judicial legislation over the remaining class not previously covered. The conclusion, then, is
    to invalidate the whole statute, no matter how narrow the exemption had been. The reluctance
    to extend legislation may be particularly great if a statute defining a crime is before a court,
    since extension would make behaviour criminal that had not been so before. But the
    consequences of invalidation will be unacceptable if the legislation is necessary to an
    important public purpose. For example, a statute requiring licensing of all doctors except
    those from a certain school could be found to deny equal protection, but a court should be
    hesitant to choose invalidation of licensing as an appropriate remedy. Though the test is
    imprecise, a court must weigh the general interest in retaining the statute against the court’s
    own reluctance to extend legislation to those not previously covered. Such an inquiry may
    lead a court into examination of legislative purpose, the overall statutory scheme, statutory
    arrangements in connected fields and the needs of the public
  68. This Court has, without articulating any reason, applied the doctrine of severability
    by deleting the offending clause which made classification unreasonable.
  69. Whether a court can remove the unreasonableness of a classification when it is underinclusive by extending the ambit of the legislation to cover the class omitted to be included,
    or, by applying the doctrine of severability delete a clause which makes a classification overinclusive are matters on which it is not necessary to express any final opinion as we have held
    that the inclusion of tramway and motor omnibus service in the definition of ‘establishment’
    did not make the classification unreasonable having regard to the purpose of the legislation.
  70. In the result, we hold that the impugned sections are valid and allow the appeals.

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