Shafir v. Steele

Decision Date08 May 2000
Citation431 Mass. 365,727 NE 2d 1140
PartiesFRANCES SHAFIR v. DUANE A. STEELE & another.
CourtUnited States State Supreme Judicial Court of Massachusetts Supreme Court

Present: MARSHALL, C.J., ABRAMS, LYNCH, GREANEY, IRELAND, SPINA, & COWIN, JJ.

Edward E. Veara for the defendants.

Merrill D. Goldfarb for the plaintiff.

LYNCH, J.

The defendant appeals from the denial of his motion for a directed verdict and motion for judgment notwithstanding the verdict (judgment n.o.v.) after a jury found him liable for defamation and intentional interference with contractual relations. The evidence warranted finding the defendant liable for intentional interference with another's performance of his own contract, a tort not heretofore expressly recognized in Massachusetts. Restatement (Second) of Torts § 766A (1979).

The defendant argues that this variation of the tort of intentional interference with a contract is not and should not be part of the law in Massachusetts. Based on that assertion, the defendant claims (1) it was error to deny his motion for a directed verdict on the intentional interference with contractual relations claim because the plaintiff did not prove that the defendant induced a third party to breach the contract; and (2) the jury instructions and special verdict regarding the intentional interference with contractual relations count were flawed because they incorporated the elements of § 766A. In addition, the defendant claims that the amount of damages awarded on the intentional interference with contractual relations claim was excessive, and that the evidence on the defamation claim either was not sufficient or supported no more than nominal damages. We conclude that the judgment based on intentional interference with a contract was proper and affirm the defamation judgment.

1. Facts and procedural history. We summarize the pertinent evidence in the light most favorable to the plaintiff.2 Poly v. Moylan, 423 Mass. 141, 143 (1996), cert. denied, 519 U.S. 1114 (1997). The defendant owns The Provincetown Advocate News Corporation, which publishes a newspaper called The Advocate in Provincetown. In 1993, the defendant and his business entities were in default on loans from Shawmut Bank (Shawmut), secured by a mortgage on the property at issue in this case, at 100 Bradford Street in Provincetown (property).3 A loan restructuring agreement was worked out between Shawmut and the defendant, the only relevant details of which are that Shawmut would foreclose on the property, and that the defendant's children, through a trust, would bid at least $175,000 at the foreclosure sale. However, under the terms of the agreement, if a third party outbid the trust, the restructuring agreement would be null and void. Shawmut had valued the property at $275,000.

The foreclosure sale was held on July 6, 1993, and there were three or four bidders including the plaintiff, who was accompanied by a real estate agent, Patricia Shultz. The plaintiff's bid of $240,000 was $5,000 higher than the highest bid made by the defendant's children. She paid a $10,000 deposit and signed a purchase and sale agreement with Shawmut.

That evening, the defendant went to the plaintiff's movie theater. He stood "a little too close" to the plaintiff and, conveying "a sense of menace," told her that he was "not very well." On July 8, 1993, the defendant's newspaper published an editorial which essentially accused the plaintiff of bidding at the sale as retribution for The Advocate's refusing to drop its "Screen Scene" column which had once been critical of the plaintiff's movie theater. It concluded with a statement implying that the plaintiff intended to muzzle the newspaper.4

The defendant then requested that the plaintiff and Shultz meet with him without attorneys present; he stated that he was going to bring papers to show the two "what [they] were in for." The meeting took place on July 11, 1993, during which the defendant was "quite distraught" and told the women that they did not understand and kept insisting that the building "was his." Near the end of the meeting, the plaintiff offered to have the defendant buy out her position for $15,000, which the defendant rejected.

Although the papers the defendant promised to the women did not arrive in time for the meeting, the next day the defendant had them hand delivered to Shultz's office and the plaintiff picked up a copy. The "papers" were an unsigned legal complaint prepared by the defendant's attorney for filing in the United States Bankruptcy Court. Naming both the plaintiff and Shultz, the complaint charged them with fraud, extortion, and malicious interference with an advantageous contract (between the defendant and Shawmut). The complaint was never filed but, when the plaintiff read it, she knew the charges were crimes, and she felt "terror," "bludgeoned," "stun[ned]," "totally numb," and, later, "outrage," and "anger." The defendant testified that he had read the complaint before he had it delivered to Shultz, and admitted that he, essentially, had no factual basis for any of the charges in the complaint.

Shortly thereafter, the plaintiff decided that the defendant's harassment was not going to stop. On July 26, 1993, the plaintiff's attorney sent a letter to Shawmut declaring her intention not to close the sale and requesting the return of her $10,000.5 Shawmut refused to return the deposit and maintained its right to seek recovery of additional expenses. The plaintiff, herself, wrote a letter to Shawmut seeking the return of her deposit. Shawmut again refused, stating that it was "ready, willing and able" to close the sale.6

2. Intentional interference with contractual relations.7 We have previously recognized that §§ 766 and 766B reflect the law of Massachusetts. See United Truck Leasing Corp. v. Geltman, 406 Mass. 811, 816 (1990); Restatement (Second) of Torts § 766 comment c & § 766B comment b (1979) (historical development of the torts).

Restatement (Second) of Torts, supra at § 766A, provides:

"One who intentionally and improperly interferes with the performance of a contract (except a contract to marry) between another and a third person, by preventing the other from performing the contract or causing his performance to be more expensive or burdensome, is subject to liability to the other for the pecuniary loss resulting to him."8

Thus, the only difference between the torts described in § 766, see note 8, supra, and § 766A is that, under § 766, the tortious conduct causes the third person not to perform, whereas § 766A involves interference preventing the plaintiff from performing his own part of the contract. See Restatement (Second) of Torts, supra at § 766A comments b and c.

We see no compelling reason not to recognize such conduct as being tortious. We have never specifically disavowed it. Several other jurisdictions have adopted it. See, e.g., Callis, Papa, Jensen, Jackstadt & Halloran, P.C. v. Norfolk S. Corp., 292 Ill. App. 3d 1003, 1009 (1997); MLI Indus., Inc. v. New York State Urban Dev. Corp., 205 A.D. 2d 998, 999 (N.Y. 1994); Westfield Dev. Co. v. Rifle Inv. Assocs., 786 P.2d 1112, 1117-1118 (Colo. 1990). See also Restatement (Second) of Torts, supra at § 766A comment b (this tort is "now consistently recognized").9

In addition, as discussed in Boyle v. Boston Found., Inc., 788 F. Supp. 627, 630 (D. Mass. 1992), we closely approached recognizing § 766A-type liability in Anzalone v. Massachusetts Bay Transp. Auth., 403 Mass. 119, 123 (1988), where the plaintiff alleged that his supervisor interfered with his employment. Although we affirmed the dismissal of the complaint, we did not reject the principle of interference with the plaintiff's own performance of his employment contract, but focused instead on the fact that the plaintiff was still employed and did not allege loss of any advantage.10 Id. Furthermore, we are not persuaded by the defendant's essentially public policy arguments in view of the indorsement of this theory of liability by the Restatement and the majority of States that have considered it.

Finally, at oral argument, the defendant stated that, if we were to recognize § 766A, we should apply it prospectively only. To do so would run contrary to our general approach in assessing tort liability, and we note that the defendant has provided no case to support his argument.11 See, e.g., George v. Jordan Marsh Co., 359 Mass. 244, 255 (1971) (liable for severe emotional distress "even though he has committed no [previously] recognized common law tort").

Except for the amount of damages, the defendant does not argue that the plaintiff did not prove the elements of § 766A. We therefore do not address them.

3. Damages for contract claim. The defendant argues that the amount of damages awarded for the interference with contract claim was excessive. The defendant did raise the issue of damages in a motion for judgment n.o.v. Mass. R. Civ. P. 50 (b), 365 Mass. 814 (1974). However, a party may not raise an issue in a motion for judgment n.o.v. that was not raised in a motion for directed verdict. J.W. Smith & H.B. Zobel, Rules Practice § 50.14, at 210 (1977).12 Furthermore, "[q]uestions concerning inadequate or excessive damages are initially within the discretion of the trial judge and should ordinarily be raised by bringing a motion for a new trial .... [Where there is a failure to do so, we] are ... not required to consider this issue on this appeal." Pridgen v. Boston Hous. Auth., 364 Mass. 696, 715 (1974), citing Parker v. Lewis J. Bird Co., 221 Mass. 422, 426 (1915). The issue is waived.13

4. Defamation. The defendant argues that the evidence was insufficient to sustain a judgment for defamation, or if the evidence was sufficient, the defamation award should be nominal. In response to an inquiry from the judge after the verdict had been announced but before the jury were dismissed, the foreperson stated that it was the false, unsigned...

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