Marketing and Research Counselors, Inc. v. Booth

Decision Date17 January 1985
Docket NumberNo. C84-1353A.,C84-1353A.
Citation601 F. Supp. 615
PartiesMARKETING AND RESEARCH COUNSELORS, INC. v. Peter E. BOOTH and Booth Research Services, Inc.
CourtU.S. District Court — Northern District of Georgia

Nicholas S. Papleacos, Stokes, Shapiro, Fussell & Genberg, Atlanta, Ga., for plaintiff.

James E. Thompson, Tucker, Ga., for defendants.

ORDER OF COURT

MOYE, Chief Judge.

The above-styled action is before the Court on the defendants' motion for partial summary judgment. After a review of the pleadings and the relevant case law, this Court concludes that the defendants' motion must be granted in part and denied in part.

FACTS

The defendant, Peter E. Booth, was employed by the plaintiff, Marketing and Research Counselors, Inc., for approximately 10 years. During his employment, the defendant signed a nonsolicitation agreement with the plaintiff. This agreement contained the following two provisions in paragraphs two and five:

For a period of one year after termination, employee is prohibited from, either directly or indirectly, soliciting M/A/R/C clients upon whose account he/she has worked in the two years prior to termination.
This agreement has been made and delivered in the State of Texas and is to be interpreted and enforced according to the laws of the State of Texas.

The plaintiff claims that the defendant has violated this agreement. The defendant argues that this agreement must be interpreted under Georgia law and that it is unenforceable under Georgia law. As will be discussed below, this Court agrees with the defendant.

Discussion

Under Georgia law, a restrictive covenant cannot be enforced unless there is a specific limitation on the geographical territory covered by the covenant. See Guffey v. Shelnut & Associates, Incorporated, 247 Ga. 667, 670, 278 S.E.2d 371 (11th Cir.1981); Merrill Lynch, Pierce, Fenner & Smith v. Stidham, 658 F.2d 1098, 1101 (5th Cir.1981). It is undisputed that the contract in question in this case did not contain a territorial limitation. Therefore, if Georgia law is applied to this case, the restrictive covenant would be rendered unenforceable and the defendants' motion for partial summary judgment would have to be granted.

The issue before this Court is whether the parties' choice of law clause contained in the contract will be given effect. Were this Court acting on a blank slate, this question would cause significant difficulty. The Georgia Supreme Court, however, has resolved this issue and this Court in this diversity case is bound by that determination. See Klaxon Co. v. Stentor Electric Manufacturing Co., 313 U.S. 487, 61 S.Ct. 1020, 85 L.Ed. 1477 (1941).

In Nasco, Inc. v. Gimbert, 239 Ga. 675, 238 S.E.2d 368 (1977), the plaintiff sought to enjoin the defendant from breaching the noncompetition, nonsolicitation, and nondisclosure covenants in his employment contract. The parties agreed in the contract that Tennessee law would govern the agreement. In clear and precise language, the Supreme Court of Georgia stated the following:

Although the plaintiff and the defendant had agreed that the contract would be construed pursuant to the law of Tennessee, the trial court applied the law of Georgia. We find no error. The law of the jurisdiction chosen by parties to a contract to govern their contractual rights will not be applied by Georgia courts where application of the chosen law would contravene the policy of, or would be prejudicial to the interests of the state. citations omitted. Covenants against disclosure, like covenants against competition, affect the interests of this state ... and hence their validity is determined by the public policy of this state.

Id. 239 Ga. at 676, 238 S.E.2d 368 (emphasis added).

Relying on this language, two circuit court panel decisions binding on this Court have held that restrictive covenants in employment contracts must be construed under Georgia law. See Merrill Lynch, Pierce, Fenner & Smith v. Stidham, 658 F.2d 1098, 1100 fn. 5 (5th Cir.1981). Barnes Group, Inc. v. Harper, 653 F.2d 175, 178 fn. 4 (Fifth Cir. Unit B), cert. denied, 455 U.S. 921, 102 S.Ct. 1278, 71 L.Ed.2d 462 (1981). In fact, the Stidham decision is on all fours with the present case because it involved a restrictive covenant without a territorial limitation. Stidham at 1101. The Stidham panel, acknowledging that it was required to apply Georgia law,1 reluctantly ruled that the covenant was unenforceable.

The plaintiff, while not attempting to distinguish the above-mentioned authority, cites this Court to the Eleventh Circuit decision in Nordson Corp. v. Plasschaert, 674 F.2d 1371 (1982), which applied Ohio law to a case involving restrictive covenants and a choice of law provision in an employment contract. At the outset, this Court must mention that Nordson appears to this Court to be at direct odds with the Stidham and Harper decisions mentioned above. Secondly, the Nordson decision is in direct conflict with the Georgia Supreme Court's opinion in Nasco. The Nordson panel framed the issue in front of them as follows:

Georgia will honor the choice of law provision unless there was no reasonable basis for the parties' choice or unless the provision `is contrary to a fundamental policy of a state which has a materially greater interest than the chosen state....' Thus the controlling determination is whether Georgia has a materially greater interest than Ohio in this issue. We hold that it does not.

Nordson, at 1375 (emphasis added).

With all respect to the Nordson panel, this Court is at a loss to understand how the quoted "interest analysis" language from Nordson can be reconciled with the following language from the Georgia Supreme Court:

Covenants against disclosure, like covenants against competition affect the interests of this state, namely the flow of information needed for competition among businesses, and hence their validity is determined by the public policy of this state.

Nasco, supra at 676 (emphasis added).

The only Georgia case cited by the Nordson panel to support its decision was Commercial Credit Plan, Inc. v. Parker, 152 Ga.App. 409 (1979). Nordson at 1375. This case, however, had nothing to do with restrictive covenants but with a disputed loan contract.

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