Simon, II v. Navon ( 1995 )


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  • USCA1 Opinion





    United States Court of Appeals
    For the First Circuit
    ____________________

    No. 94-1601
    FRANK SIMON, II,

    Plaintiff, Appellee,

    v.

    GERSHON NAVON,

    Defendant, Appellant.

    ____________________

    No. 94-1602
    FRANK SIMON, II,

    Plaintiff, Appellee,

    v.

    JONATHAN NAVON,

    Defendant, Appellant.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MAINE

    [Hon. Morton A. Brody, U.S. District Judge] ___________________
    ____________________

    Before

    Selya, Circuit Judge, _____________
    Coffin, Senior Circuit Judge, ____________________
    and Boudin, Circuit Judge. _____________
    ____________________

    James D. Poliquin for appellants. _________________
    C. Donald Briggs, III, with whom Joseph M. Cloutier was on _____________________ __________________
    brief for appellee.

    ____________________

    November 27, 1995
    ____________________

















    COFFIN, Senior Circuit Judge. This case arises out of a _____________________

    failed business relationship between the plaintiff, Frank Simon,

    and defendants, Gershon and Jonathan Navon, the sole owners and

    officers in Maine Coast Trading Company, a fish brokerage firm.

    A jury found the Navons liable for breach of contract, defamation

    and abuse of process, and awarded Simon approximately $3.3

    million in compensatory and punitive damages. The district court

    granted defendants' motion for new trial unless Simon agreed to

    remit $1.2 million, which he did. The defendants now appeal,

    claiming a host of errors. After a careful review of the record

    and caselaw, we affirm the court's rulings on the contract

    claims, but reverse the judgment on abuse of process and remand

    for a new trial on defamation.

    I. Background __________

    At this juncture, we shall provide only a brief sketch of

    the facts underlying the case, elaborating in subsequent

    sections of the opinion as necessary to inform our discussion of

    specific issues. Maine Coast Trading Company ("Maine Coast

    Trading" or "MCTC") was formed in November 1990 after Gershon

    Navon approached Simon about creating a company to broker fish.

    Navon provided most of the capital to form the business, and he

    originally received 60 percent of the company's equity. Simon,

    who had considerable experience in the fish brokerage business,

    was president of the company and ran its business office in

    Wiscasset, Maine. A smaller office at Gershon Navon's home in




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    Connecticut primarily handled checking account and line of credit

    matters. Jonathan Navon, Gershon's son, was treasurer.

    Maine Coast Trading entered into two significant brokerage

    agreements, one with a company in which Gershon Navon was the

    sole shareholder (Mariculture Products, Ltd., "Mariculture"), and

    one with a company in which Simon had a lesser interest

    (Aquacorporacion Internacional Sociedad Anonima, "ACI").

    Although Maine Coast Trading apparently operated smoothly through

    1991, the Navons and Simon early in 1992 were discussing ways to

    wind down the company's affairs. On March 24, 1992, the parties

    signed a letter agreement that addressed issues that had arisen

    between them in the preceding months, outlining the future

    handling of MCTC business.

    The agreement did not resolve matters, however, and the

    parties' relationship grew even more acrimonious. Disagreements

    arose over which vendors should be paid what amounts and how much

    money was available in the company's account at Israel Discount

    Bank in New York. The ensuing events, most of which occurred

    between April and June of 1992 but whose sequence is in some

    cases disputed, included:

    --Simon began holding Maine Coast Trading's receivables
    in Wiscasset, contrary to the letter agreement's
    provision that he send those funds "directly to IDB
    with no delay";

    --Jonathan Navon issued a check in the amount of
    $36,000 as accumulated salary to himself, and a $9,000
    check to Mariculture, Gershon Navon's other company,
    for office rent and expenses. He did not seek Simon's
    approval for these expenditures, as required by the
    letter agreement. No previous payments for such items
    ever had been made;

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    --Simon opened a checking account at Camden National
    Bank in Maine, deposited accumulated receivables of
    $68,000, and immediately wired the entire sum to ACI,
    the company in which he had an interest. Over the next
    few weeks, other receivables collected by Simon were
    deposited in this account and checks were issued to
    various vendors;

    --Israel Discount Bank froze Maine Coast Trading's
    account at Simon's request;

    --At a telephonic meeting of MCTC's board of directors,
    convened by an attorney in Portland, Maine, the Navons
    voted to remove Simon as president and elected Gershon
    to replace him. Simon initially participated in the
    telephone call, but complained about lack of notice and
    hung up before the vote;

    --Several litigations were initiated: ACI filed a civil
    action against Maine Coast Trading in state court in
    Maine; an involuntary petition for bankruptcy, signed
    by Simon as ACI's representative, was filed against
    Maine Coast Trading; Maine Coast Trading (through the
    Navons) sued Israel Discount Bank in New York for
    freezing its account, and later added Simon as a
    defendant, increasing the damages request from $87,000
    (the amount of funds in the account) to $30 million.

    Simon filed this lawsuit in October 1992, alleging breach of

    contract, defamation, negligent and intentional infliction of

    emotional distress, tortious interference with contract and

    malicious prosecution. The district court granted summary

    judgment for defendants on the tortious interference claim, and

    granted judgment as a matter of law on the claims for negligent

    and intentional infliction of distress. At the close of all

    evidence, the court recharacterized the malicious prosecution

    claim as a claim for abuse of process. The jury found both

    Navons liable on each of the three remaining claims -- breach of

    contract, defamation and abuse of process -- and awarded a total




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    of $2.3 million in compensatory damages and punitive damages of

    $1 million against Gershon and $36,000 against Jonathan.

    In acting on defendants' post-judgment motions, the district

    court found the $2.3 million in compensatory damages "clearly

    excessive and against the weight of the evidence," and ordered a

    new trial if Simon failed to accept a remittitur of $1.2 million.

    He agreed to the remittitur, and this appeal by the Navons

    followed. They claim entitlement to judgment or a new trial on

    each of the substantive claims, as well as on damages. They

    further argue that they are entitled to a new trial on all issues

    based on a series of circumstances that infected the jury's

    verdict with undue passion or prejudice.

    We address each of these issues in turn, after briefly

    considering the relevant standards of review.

    II. Standard of Review __________________

    The district court rejected the Navons' post-trial motion

    for judgment as a matter of law because they failed to make that

    request at the close of all evidence, thus forfeiting the right

    to such a determination. See Keisling v. Ser-Jobs for Progress, ___ ________ ______________________

    Inc., 19 F.3d 755, 758-59 (1st Cir. 1994); Della Grotta v. Rhode ____ ____________ _____

    Island, 781 F.2d 343, 349 (1st Cir. 1986); Fed. R. Civ. P. 50(b). ______

    Once abandoned, a claim for judgment as a matter of law may not

    be revived on appeal except upon a showing of plain error

    resulting in a manifest miscarriage of justice. Shell v. _____

    Missouri Pac. R.R. Co., 684 F.2d 537, 540 (8th Cir. 1982); ________________________




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    Martinez Moll v. Levitt & Sons of Puerto Rico, Inc., 583 F.2d ______________ ____________________________________

    565, 570 (1st Cir. 1978).

    The court did reach the merits of defendants' alternative

    request for a new trial, which may be granted notwithstanding the

    failure to make a pre-deliberations request for judgment as a

    matter of law. See Wells Real Estate v. Greater Lowell Bd. of ___ __________________ ______________________

    Realtors, 850 F.2d 803, 810 (1st Cir. 1988); Fed. R. Civ. P. 59; ________

    9A C.A. Wright & A. Miller, Federal Practice and Procedure ________________________________

    2539, at 362 (1995). The court denied a new trial on the

    substantive claims, but, as noted earlier, granted a new trial on

    damages contingent on the remittitur. Defendants now challenge

    the court's refusal to further disturb the jury's verdict. Our

    review, however, is extremely circumscribed; we may reverse the

    court's decision only for an abuse of discretion. Sanchez v. _______

    Puerto Rico Oil Co., 37 F.3d 712, 717 (1st Cir. 1994). With this ___________________

    limitation in mind, we turn to appellant's claims of error.

    III. Malicious Prosecution and Abuse of Process __________________________________________

    In his complaint, Simon alleged a cause of action for

    malicious prosecution based on the lawsuit filed by the Navons in

    New York in the name of Maine Coast Trading. That action, first

    brought against Israel Discount Bank to obtain release of $87,000

    frozen in the company's account, later was amended to include a

    claim against Simon seeking $30 million in damages and injunctive

    relief. Twice during the trial, the parties and the district

    court displayed confusion about the malicious prosecution claim

    and its elements, and considered whether the claim would be more


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    aptly characterized as one for a related tort, abuse of process.

    Ultimately, over the defendants' objection, the court amended the

    pleadings to substitute abuse of process for the malicious

    prosecution count, and the jury returned a verdict for Simon on

    that claim.1

    The Navons argue that the district court's handling of this

    issue was erroneous in two respects. First, they claim that

    amendment of the pleadings after the close of evidence was

    unfairly prejudicial because their strategy was based on the

    assumption that Simon would be unable to prove a necessary

    element of malicious prosecution, namely, that the challenged

    litigation had terminated in his favor.2 Second, they claim

    that Simon failed as a matter of law to prove the elements of

    abuse of process.

    We address only this latter claim. Preliminarily, however,

    we must determine whether, unlike other grounds asserted in the

    ____________________

    1 We note that some jurisdictions distinguish in
    nomenclature between claims alleging malicious instigation of
    process in criminal and civil cases. Where the distinction is
    recognized, "malicious prosecution" refers to criminal
    proceedings and "malicious use of process" or "wrongful civil
    proceedings" applies to civil cases. See W. Page Keeton, et al., ___
    Prosser and Keeton on The Law of Torts 120, at 892 (5th ed. _________________________________________
    1984); Note, "The Nature and Limitations of the Remedy Available
    to the Victim of a Misuse of the Legal Process: The Tort of Abuse
    of Process," 2 Val. U.L. Rev. 129, 130 (1967). To the extent
    there are differences between the two causes of action, see ___
    Restatement (2d) of Torts 653, 674 (1977), they are irrelevant _________________________
    to our discussion here.

    2 It appears that that action was stayed because of Maine
    Coast Trading's bankruptcy. So far as we can ascertain, neither
    the original complaint nor the amended complaint naming Simon is
    a part of the record in this case.

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    post-trial motion for judgment as a matter of law, the issue was

    preserved by timely request at the close of evidence. The

    parties' final discussion with the court on the malicious

    prosecution claim occurred during a chambers conference after the

    close of all the evidence. The conference, focusing on the

    difference between claims for malicious prosecution and abuse of

    process, occupied seven pages of transcript. The court concluded

    the conference with the following statements:

    I think it's a very, very thin argument, frankly, on
    abuse of process . . . . But I'm going to let this case
    go to the jury because I'm not going to try this case
    again if I can help it. And then we'll see what the
    jury does with it subject to a motion for a judgment
    N.O.V. after we see how they answer the interrogatories
    on the case. And you can take your objection.

    Tr. at 835. Counsel then promptly stated, "I object."

    In its post-judgment opinion, the district court stated that

    defense counsel could not reasonably have believed that this

    colloquy preserved the issue for post-verdict review but noted

    the argument by defendants' new counsel that the chambers

    discussion had served as the functional equivalent of a motion

    for judgment as a matter of law. The court observed, however,

    that treating that dialogue as a de facto motion relating to __ _____

    abuse of process nonetheless would be unavailing because the

    evidence legally was sufficient to go to the jury.

    Even in the light of our own stringent adherence to the

    requirement of a timely formal motion, we think the abuse of

    process issue was adequately preserved. The lengthy discussion

    on this point, taken together with the judge's expressed


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    assumption that he would revisit the question in the event of a

    motion for judgment notwithstanding the verdict, and his

    statement to the attorney that he could "take [an] objection,"

    could not but have led counsel to believe that what had been done

    thus far was enough to preserve the issue for post-judgment

    review. Indeed, the colloquy in chambers was the type of

    exchange that one would expect to follow a motion for judgment as

    a matter of law on the abuse of process claim. Cf. Bayamon Thom ___ ____________

    McAn, Inc. v. Miranda, 409 F.2d 968, 971-72 (1st Cir. 1969).3 __________ _______

    In these circumstances, we conclude that the legal

    sufficiency of the abuse of process claim warrants appellate

    consideration.4 We thus turn to the substantive inquiry, which
    ____________________

    3 Bayamon Thom McAn and several subsequent cases, see ___________________ ___
    Keisling v. Ser-Jobs for Progress, Inc., 19 F.3d 755, 759 (1st ________ ____________________________
    Cir. 1994); Della Grotta v. Rhode Island, 781 F.2d 343, 349-50 ____________ ____________
    (1st Cir. 1986); Beaumont v. Morgan, 427 F.2d 667, 670 (1st Cir. ________ ______
    1970), recognize a limited exception to the requirement that a
    motion for judgment as a matter of law -- though made at the
    close of plaintiff's case -- must be renewed at the close of all
    the evidence. The exception is permitted "in a case combining .
    . . judicial assurance concerning preservation of rights at the
    time of motion and . . . brief and inconsequential evidence
    following the motion. . . ." Bayamon Thom McAn, 409 F.2d at 972. _________________
    The instant case seems to us an even more modest departure from
    the formal procedures for preserving a claim for judgment as a
    matter of law.

    4 Our decision in Martinez Moll v. Levitt & Sons of Puerto _____________ ________________________
    Rico, Inc., 583 F.2d 565, 568-70 (1st Cir. 1978), refusing to __________
    consider appellant's sufficiency argument, is not inconsistent
    with this result. In that case, the appellant had moved for a
    directed verdict on other grounds at the close of all the
    evidence, but had failed to question the sufficiency of the
    evidence. Because the issue had never been raised until after
    the jury's verdict, we concluded that there was "no basis . . .
    for treating the present case as one where there was substantial
    compliance with the Rule." Id. at 570. We noted, in addition, ___
    that "the court did nothing that could reasonably have caused
    [defendant] to believe that all had been done that was necessary

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    is governed by a de novo standard of review. Gibson v. City of __ ____ ______ _______

    Cranston, 37 F.3d 731, 735 (1st Cir. 1994). ________

    It is not surprising that the court and parties were

    uncertain about how to characterize Simon's claim based on the

    New York litigation. The torts of abuse of process and malicious

    prosecution frequently are confused because of their close

    relationship, see, e.g., Lambert v. Breton, 127 Me. 510, 514, 144 ___ ____ _______ ______

    A. 864 (1929); Board of Education of Farmingdale Union Free Sch. _________________________________________________

    Dist. v. Farmingdale Classroom Teachers Ass'n, 38 N.Y.2d 397, _____ ______________________________________

    400, 343 N.E.2d 278, 280-81, 380 N.Y.S.2d 635, 639-40 (1975);

    Note, "Abuse of Process," 13 Clev.-Mar. L. Rev. 163, 163 (1964)

    ("Abuse"); Note, "Torts -- Abuse of Process Defined," 28 Ark. L.

    Rev. 388 (1974) ("Defined"), and abuse of process has been

    described as "one of the most obscure torts in the law," see ___

    Note, "The Nature and Limitations of the Remedy Available to the

    Victim of a Misuse of the Legal Process: The Tort of Abuse of

    Process," 2 Val. U.L. Rev. 129, 129 (1967) ("Tort of Abuse").

    To establish a claim for malicious prosecution, a party must

    show that the challenged litigation was initiated without

    probable cause and with malice, and that it terminated in the

    plaintiff's favor. See, e.g., Nadeau v. State, 395 A.2d 107, 116 ___ ____ ______ _____

    (Me. 1978). The two basic elements of abuse of process are a bad

    motive, and the use of a legal process for an improper,

    collateral objective. See, e.g., id. at 117. ___ ____ ___

    ____________________

    to preserve the issue for review." Id. In both of those ___
    respects, this case is distinguishable.

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    The difference between the two often is explained as a

    matter of timing and scope: malicious prosecution is the

    appropriate cause of action for challenging the whole of a

    lawsuit -- i.e., asserting that the suit has no basis and should

    not have been brought -- while abuse of process covers the

    allegedly improper use of individual legal procedures after a _____

    suit has been filed properly. See Packard v. Central Maine Power ___ _______ ___________________

    Co., 477 A.2d 264, 267 (Me. 1984); Nadeau, 395 A.2d at 117; Wade, ___ ______

    J., "On Frivolous Litigation: A Study of Tort Liability and

    Procedural Sanctions," 14 Hofstra L. Rev. 433, 450 (1986).

    Typical abuse of process cases involve misuse of such procedures

    as discovery, see Twyford v. Twyford, 63 Cal. App. 3d 916, 923- ___ _______ _______

    24, 134 Cal. Rptr. 145, 148-49 (1976); subpoenas, see Board of ___ ________

    Education of Farmingdale Union Free Sch. Dist., 38 N.Y.2d at 403- ______________________________________________

    04, 343 N.E.2d at 283, 380 N.Y.S.2d at 642-43; and attachment,

    see Saliem v. Glovsky and Fogg, 132 Me. 402, 404 172 A. 4 (1934). ___ ______ ________________



    The abuse tort often is given a wider berth, however, and

    courts typically will recognize such a claim, regardless of

    timing, if a plaintiff can show an improper use of process "for

    an immediate purpose other than that for which it was designed

    and intended," Restatement (2d) of Torts 682, at 475 (1977). __________________________

    See W. Page Keeton, et al., Prosser and Keeton on The Law of ___ ___________________________________

    Torts 121, at 898 (5th ed. 1984) (cases requiring an act after _____

    process has issued "probably stand only for the narrower

    proposition that there must be an overt act and that bad purpose


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    alone is insufficient"). This results in an overlap between

    malicious prosecution and abuse of process: a defendant who

    explicitly threatened to file a baseless lawsuit solely for the

    purpose of forcing the plaintiff's action in an unrelated matter,

    and then did commence suit, could be held liable for either

    tort.5 In such a case, the otherwise normal procedure of filing

    a lawsuit is transformed into an act of abuse by the coincidence

    of the threat.6

    Recognizing these two approaches puts the confusion below

    into perspective, but we need not dwell on their relative merits

    and applicability here because not even the broader view provides

    Simon with a basis for recovery. Simon's claim is premised on

    the Navons' amendment of the New York litigation to include him

    as a defendant. Even if Maine law, which applies to this

    diversity case, would recognize an abuse of process claim based





    ____________________

    5 Interestingly, the Georgia courts and legislature have
    merged the two torts into a new abusive litigation tort. See ___
    Yost v. Torok, 256 Ga. 92, 95-96, 344 S.E.2d 414, 417-18 (1986); ____ _____
    Block v. Brown, 199 Ga. App. 127, 130, 404 S.E.2d 288, 291 _____ _____
    (1991).

    6 When abuse of process is based on conduct subsequent to
    initiation of the lawsuit, the requirement of an "act" of abuse
    typically would be satisfied by showing use of the individual
    legal process in an improper manner. See, e.g., Board of ___ ____ _________
    Education of Farmingdale Union Free Sch. Dist. v. Farmingdale _________________________________________________ ___________
    Classroom Teachers Ass'n, 38 N.Y.2d 397, 343 N.E.2d 278, 380 _________________________
    N.Y.S.2d 635 (1975) (subpoenas issued for 87 teachers for the
    same day, paralyzing normal operations of the schools); Saliem v. ______
    Glovsky and Fogg, 132 Me. 402, 172 A. 4 (1934) (excessive __________________
    attachment).

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    on the instigation of a lawsuit,7 Simon can prevail only if he

    proves the two requisite elements of the cause of action:

    ulterior motive and an act of abuse. See Nadeau, 395 A.2d at ___ ___ ______

    116; Saliem, 132 Me. at 405. ______

    Filing of a lawsuit is a "regular" use of process, and

    therefore may not on its own fulfill the requirement of an

    abusive act, even if the decision to sue was influenced by a

    wrongful motive, purpose or intent. Saliem, 132 Me. at 405-06; ______

    see also, e.g., Vahlsing v. Commercial Union Ins. Co., 928 F.2d ___ ____ ____ ________ _________________________

    486, 490 (1st Cir. 1991) (applying Texas law); Baubles & Beads v. _______________

    Louis Vuitton, S.A., 766 S.W.2d 377, 379 (Tex. Ct. App. 1989); ____________________

    Grell v. Poulson, 389 N.W.2d 661, 663-64 (Iowa 1986). And, _____ _______

    although wrongful motive in the context of an abuse of process

    claim may be inferred from an improper act, the reverse is not

    true. Saliem, 132 Me. at 405; Sage Int'l, Ltd. v. Cadillac Gage ______ ________________ _____________

    Co., 556 F. Supp. 381, 389 (E.D. Mich. 1982) (citing Prosser). ___ _______

    It therefore may not be presumed that the Navons filed the New

    York lawsuit solely to achieve a collateral objective based on

    evidence of motive alone. Simon needed to produce evidence

    independent of motive to prove that an improper act occurred in

    the Navons' pursuit of the litigation.


    ____________________

    7 For purposes of the timing distinction drawn by the courts
    and commentators, we think it evident that amendment of the
    complaint against Israel Discount Bank to include a claim against
    Simon must be viewed as the initiation of process, rather than as
    a subsequent act. Process against Simon originated with the new
    complaint, and that is logically where the analysis of any
    litigation-related tort claim by him must begin as well.

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    Simon has failed to offer such evidence. As an initial

    matter, it is not seriously disputed that the allegations in the

    complaint, which sought to state a cause of action for malicious

    prosecution, are inadequate to make out an abuse of process

    claim. The complaint alleges only that the defendants filed a

    lawsuit maliciously "and probable cause for said lawsuit was

    lacking." Lack of probable cause is an element of a malicious

    prosecution claim, but is not a prerequisite for recovery for

    abuse of process.

    In his brief, Simon supports the abuse of process claim by

    pointing to trial evidence of the deteriorating business

    relationship with the Navons and testimony indicating that the

    Navons routinely used litigation in business disputes. Simon

    highlights the amendment of the bank suit and the request for $30

    million in damages and injunctive relief. He further claims that

    "activities took place in New York causing the Plaintiff to

    expend $60,000 in his own funds to defend himself from a baseless

    lawsuit."

    Although Simon suggests that the demand for high damages and

    the imposition of defense costs were "abusive," there is nothing

    per se irregular in a plaintiff's filing a complaint that seeks ___ __

    high -- even unrealistic -- damages,8 or in causing a litigation

    opponent to spend money in defense. Indeed, at one point during
    ____________________

    8 To the contrary, a multi-million-dollar damage request
    strikes us as a fairly routine feature of modern lawsuits. We
    would not like to contemplate the litigious scene if the law
    recognized inflated ad damnum requests as meeting the "act"
    requirement of abuse of process.

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    colloquy with the court, Simon's counsel acknowledged that the

    bringing of a $30 million lawsuit is not in itself an abuse of

    process, and argued that what was significant was the evidence of

    motive.

    But, as we have seen, a showing of bad motive in connection

    with "regular" process is not enough. See supra at 12-13. To ___ _____

    satisfy his burden, Simon needed to show a specific link between

    the New York lawsuit with an impermissible, collateral purpose of

    the Navons. This requirement could have been satisfied, for

    example, with evidence of a threat made explicitly to Simon or a

    disclosure confided to a third party that the Navons planned to

    file suit solely to hurt Simon's credit rating. See Sage Int'l, ___ ___________

    556 F. Supp. at 388-90 ("Plaintiff must allege that defendant

    committed a specific act which was directed at the collateral,

    ulterior objective. . . . In sum, there must be some basis [for

    finding]. . . that the improper act was the means to further the

    improper purpose.")9

    We think it fairly evident that Simon did not present such

    evidence because it does not exist, and that the claim he

    originally brought -- malicious prosecution -- was better suited

    to the facts. His problem, as the district court recognized, was

    that a claim for malicious prosecution would remain premature as

    ____________________

    9 Although not cited in Simon's brief, during colloquy
    concerning the Navons' motion for judgment as a matter of law at
    the end of plaintiff's case, Simon's counsel referred to a
    statement by Gershon Navon to his client that "I'm going to crush
    you." This was simply evidence of motive; Simon provided no link
    between the statement and the New York litigation.

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    a matter of law until the New York lawsuit ended. Revising the

    claim into one for abuse process, however, involved something

    like trying to fit the proverbial square peg into a round hole.

    The facts and the law simply were incompatible.10

    In the malicious prosecution context, the requirements of

    lack of probable cause and favorable termination of the

    litigation ensure that a defendant is not found liable simply for

    having a bad motive; these elements support a finding that the

    lawsuit was baseless. Similarly, proof of a specific act in an

    abuse of process setting provides concrete assurance that a

    process actually has been abused, and that liability will not be

    based on the badly motivated use of procedures that perhaps were

    burdensome but not improper -- a basis that would indeed

    dramatically lower the threshold of viable abuse of process

    litigation. See Westmac, Inc. v. Smith, 797 F.2d 313, 321 (6th ___ ______________ _____

    Cir. 1986) (Merritt, J., dissenting) (proof of specific conduct

    "limits the dangers of inquiry into . . . subjective purpose").

    Significantly, the need to prove an act also distinguishes a

    claim for abuse of process in initiating litigation from a

    premature claim for malicious prosecution; if the factfinder were

    permitted to infer abuse, a plaintiff able to show bad motive
    ____________________

    10 The only case cited by Simon in support of his contention
    that amending the suit, seeking injunctive relief, and imposing
    excessive legal fees constitute acts of abuse of process is
    Baubles & Beads v. Louis Vuitton, S.A., 766 S.W.2d 377 (Tex. Ct. _______________ ___________________
    App. 1989). That case could not be more unhelpful to his
    position. Not only was the claim there based on a typical post-
    filing procedure -- an ex parte seizure order -- but both the
    trial and appeals courts found that there had been no abuse of
    process.

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    often would be able to offer a convincing argument that the

    challenged litigation was brought for an improper purpose

    connected to the bad feelings. This is, in essence, what Simon

    sought to do. Such an approach, however, renders the malicious

    prosecution tort irrelevant.

    This is not to say that a plaintiff can litigate with

    impunity, so long as he does so without explicit threats

    concerning collateral matters. Rule 11 of the Federal Rules of

    Civil Procedure authorizes judges to sanction parties or

    attorneys who file pleadings, motions or other papers "for any

    improper purpose, such as to harass or to cause unnecessary delay

    or needless increase in the cost of litigation," a determination

    left to the considered judgment of the court. Fed. R. Civ. P.

    11(b), (c). Federal courts have inherent power to sanction

    parties and attorneys for abuse of the litigation process, even

    in diversity cases, Chambers v. Nasco, Inc., 501 U.S. 32, 44-55 ________ ___________

    (1991), and trial courts in Maine likewise have such authority,

    Chiapetta v. LeBlond, 544 A.2d 759, 760 (Me. 1988). Tort _________ _______

    recovery, however, is limited to those instances in which

    plaintiffs are able to prove the elements of the abuse of process

    cause of action.

    Because Simon presented no evidence of "an act in the use of

    process other than such as would be proper in the regular

    prosecution of the charge," Saliem, 132 Me. at 405, the jury's ______

    verdict on that count must be reversed.

    IV. Defamation __________


    -17-












    Simon alleged that the Navons defamed him by telling several

    creditors of MCTC that he was responsible for the company's

    lingering debts, and by causing an attorney to write a letter in

    July 1992 to Camden National Bank stating that the account Simon

    had opened there was unauthorized and was being used "to divert

    and dispose of a substantial amount of payments received by him

    in collecting MCTC's receivables."11

    The Navons argue that the letter, which was the primary

    element of the defamation count,12 cannot as a matter of law

    support the claim because its contents were both true and

    privileged and because the Navons as individuals could not be

    deemed responsible for the content of a letter written by someone

    else. We reach only the first of these contentions.



    ____________________

    11 The full text of the letter, which was signed by Attorney
    Andrew A. Cadot and addressed to the bank's president, is as
    follows:

    We are attorneys for Maine Coast Trading Co., Inc.
    ("MCTC"). We understand that an account was opened in
    the name of MCTC by Frank Simon II. This account was
    not authorized by MCTC, but, we understand, has been
    used by Mr. Simon to divert and dispose of a
    substantial amount of payments received by him in
    collecting MCTC's receivables.

    Please accept this letter as MCTC's instruction
    not to permit any further transactions in the account
    without our prior approval on behalf of MCTC. In
    addition, we request that you provide us with copies of
    the documents used to open this account and all records
    of transactions in the account.

    12 Indeed, it was the sole basis for a finding of defamation
    against Jonathan Navon, as all of the other statements were made
    by Gershon.

    -18-












    As explained earlier, our review should be limited to a

    determination whether the district court abused its discretion in

    rejecting defendants' motion for a new trial. The district

    court, however, did not address the defamation issue in its

    opinion, although the point was raised in defendants' motion; we

    therefore have no basis upon which to evaluate its ruling.

    Consequently, we have considered not whether the district court

    abused its discretion in denying the Navons' motion, but whether

    a new trial is necessary because the jury's verdict was so

    clearly against the weight of the evidence as to constitute a

    manifest miscarriage of justice. See Quinones-Pacheco v. ___ ________________

    American Airlines, 979 F.2d 1, 3-4 (1st Cir. 1992); Wagenmann v. __________________ _________

    Adams, 829 F.2d 196, 200-201 (1st Cir. 1987). _____

    The Navons assert that the letter was not defamatory because

    it was not false. They emphasize that Simon conceded at trial

    that MCTC's bylaws reserved check-writing authority to the

    Navons. Moreover, they point out, Simon acknowledged that he had

    no authorization from MCTC's board of directors to open the

    Camden National Bank account. The Navons claim that these

    undisputed facts prove the accuracy of Cadot's statements that

    the "account was not authorized by MCTC," and that Simon had been

    "divert[ing] and dispos[ing]" of MCTC funds.

    In response to the evidence regarding his corporate

    authority under the bylaws, Simon offered only his subjective

    belief that he had the authority to do what he did and the fact

    that his lawyer advised him to take such steps. We think this


    -19-












    falls well below what is necessary to negate the defendants'

    showing based on the company's bylaws, which presumably represent

    the parties' agreement on the scope of, and limitations on, their

    powers. Neither Simon's belief that the actions he took were

    justified, nor his lawyer's unexplained concurrence in that

    belief, can support a finding that his conduct was authorized by

    MCTC. The letter may have been misleading in revealing so little

    about the nature of Simon's unauthorized conduct, but, on this

    record, it could not be deemed false.

    We therefore conclude that the Navons met their burden of

    establishing that the challenged statements were true, and thus

    not actionable. See, e.g., Haworth v. Feigon, 623 A.2d 150, 158 ___ ____ _______ ______

    n.6 (Me. 1993) (truth is an affirmative defense in defamation

    action); Picard v. Brennan, 307 A.2d 833, 834-35 (Me. 1973) ______ _______

    (same). Even if Simon had some general authority as president to

    take actions that he felt were in the best interest of the

    company -- a possibility we cannot consider since the record on

    appeal contains neither the bylaws nor other evidence of such

    authority -- it still would be true that MCTC had not authorized ____

    the account. Simon remained a minority shareholder, and the

    Navons constituted a majority of the board of directors. In

    addition, if the account and check-writing were unauthorized, the

    letter also was accurate in reporting that Simon had "divert[ed]

    and dispos[ed]" of MCTC receivables, the word "diversion"

    typically being associated with the unauthorized use of funds, ____________

    see Black's Law Dictionary (6th ed. 1990), at 477. ___ ______________________


    -20-












    The jury's verdict did not specify the statements on which

    defamation liability was premised, and our conclusion that the

    Cadot letter could not support the claim on this record therefore

    requires a new trial on defamation.13 In addition to the

    letter, Simon alleged that Gershon defamed him in several

    statements made to his colleagues or customers in the fish

    industry.14 Although in our view these statements, too,

    provide a flimsy premise for defamation liability, the Navons

    have not urged as a basis for appeal that they are inadequate.

    In any event, we leave the specific contours of the new trial to

    the discretion of the district court after consultation with the

    parties.





    V. Breach of Contract and Damages ______________________________

    The Navons also argue that they are entitled to judgment or

    a new trial on the breach of contract claim because the evidence

    presented was insufficient to support a finding for Simon. The

    district court rejected the motion for new trial on this issue,

    ____________________

    13 The Cadot letter, of course, may be admissible at a
    retrial should Simon develop a different record.

    14 In closing arguments, counsel for both Simon and the
    Navons emphasized in particular an April 14, 1992 letter written
    by Gershon to the vice president of ACI, in which Navon blamed
    Simon for the delay in MCTC's payments to ACI. Navon also
    accused Simon in the letter of various actions that "rob[bed] MCT
    from its ability to conduct business." The two other bases for
    defamation cited by Simon's counsel in argument involved
    statements by Gershon to MCTC creditors laying blame on Simon for
    MCTC's delinquent accounts.

    -21-












    concluding that the jury instructions properly and completely set

    out the relevant law and that the jurors presumably followed the

    instructions in reaching their verdict. Having read the trial

    transcript in its entirety, we find no abuse of discretion in the

    court's denial of a new trial on this issue.

    Simon presented ample evidence that the Navons agreed toward

    the end of March 1992 to pay certain crucial creditors of MCTC

    promptly -- a promise that a jury could find to be implicit in

    the written agreement of March 24th -- but then failed to do so

    despite Simon's urgent pleas and the availability of adequate

    funds. Although the defendants presented a different version of

    events -- laying the blame for the delinquencies on Simon for

    cancelling the IDB line of credit -- the judgment between the

    conflicting accounts was for the jury to make. In addition, the

    jury was entitled to believe Simon's testimony that he did not

    retain MCTC's receivables and open the account at Camden National

    Bank until after the Navons breached an express provision of the _____

    March 24th agreement by paying themselves a total of $45,000

    without his permission. As we have noted, our review at this

    stage is extremely deferential; whether or not we would have

    reached the same conclusion were the factual question ours to

    resolve in the first instance, we cannot say that the district

    court erred in allowing the jury's verdict to stand on the

    contract claim.

    Nor may we on this record second-guess the district court's

    handling of the damages issue. Simon presented evidence, through


    -22-












    an economist and multiple witnesses involved in the Maine seafood

    industry, that MCTC's failure to pay its debts had a lasting

    financial impact on him.15 Although the Navons now challenge

    as legal error certain premises upon which the economist,

    McCausland, relied, they neither objected to this testimony when

    it was presented nor argued at the close of the evidence that

    Simon had failed as a matter of law to prove breach of contract

    damages.16

    The district court nevertheless agreed that McCausland's

    testimony was flawed, that the jury's verdict accepting his view

    was against the weight of the evidence, and that a new trial on

    damages should be held unless Simon accepted a substantial

    remittitur. We think the court's response was appropriate and

    complete; it recognized both that Simon produced evidence of harm

    ____________________

    15 Simon testified that salmon farmers in Eastport, with
    whom he did substantial business, won't sell him fish anymore
    because they are still owed money by MCTC. One fisherman,
    Prenier, stated that he was leery of doing business with Simon in
    the aftermath of the MCTC problems, and that Simon's reputation
    in the industry has not been repaired. Colon McLernon, owner of
    Maine Pride Salmon, testified that "our company has moved product
    to other companies and has stayed away from Mr. Simon."


    16 One of the Navons' specific complaints centers on
    McCausland's reduction of Simon's 1992 and 1993 income by losses
    incurred at Rain Forest, the company he partially owned that took
    over some of MCTC's business. The Navons note that Simon
    answered in the negative when asked the following question: "You
    cannot lay the blame for any of the problems of Rain Forest at
    the feet of the Navons, isn't that right, for 1992?" Whatever
    that question and answer are worth with respect to Simon's 1993 ____
    income, we note that the jury could have understood the response
    as a misstatement in light of other less ambiguous testimony
    concerning the inability to do business with downeast fishermen
    following MCTC's demise.

    -23-












    and that the jury's verdict improperly adopted his exaggerated

    claims regarding the extent of that harm. We find no abuse of

    discretion.

    VI. Undue Passion, Bias, Prejudice ______________________________

    The Navons point to eleven events at trial -- including

    certain court rulings and comments by opposing counsel -- that

    they contend created an atmosphere of bias and prejudice toward

    them and led the jury to award grossly excessive damages. They

    claim that one or more of these events independently, and

    certainly the cumulative effect of all of them, constituted

    reversible error requiring a new trial.

    We have considered each of their points, many of which were

    not raised at the appropriate time before the trial court, but

    find that none warrants a total rejection of the jury's verdict.

    We do not say that the Navons' argument is entirely without

    force; we hold only that we are satisfied that the district court

    was within its discretion to reject the claims it considered and

    that, particularly in light of the need for a new trial on

    defamation, no manifest injustice occurred that would cause us to

    disturb any more of the jury's determinations.

    VII. Conclusion __________

    We summarize our holdings as follows:

    (1) Simon has failed, as a matter of law, to prove an abuse

    of process, and the judgment of the district court in his favor

    is reversed.




    -24-












    (2) The jury's finding that the Cadot letter was defamatory

    was against the weight of the evidence in light of the Navons'

    proof that the statements it contained were true. The judgment

    for Simon on defamation therefore must be vacated, and the claim

    remanded for a new trial.

    (3) The compensatory and punitive damages awards on the tort

    claims, totaling $1.3 million, are vacated.

    (4) The jury's judgment of liability on the contract claim,

    and its award of $836,000 in damages, are affirmed.

    Affirmed in part, reversed in part, vacated in part, and ____________________________________________________________

    remanded for proceedings consistent with this opinion. Each __________________________________________________________ ____

    party shall bear its own costs. _______________________________






























    -25-






Document Info

Docket Number: 94-1601

Filed Date: 11/27/1995

Precedential Status: Precedential

Modified Date: 9/21/2015

Authorities (20)

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Anthony Della Grotta v. State of Rhode Island , 781 F.2d 343 ( 1986 )

Wells Real Estate, Inc. v. Greater Lowell Board of Realtors , 850 F.2d 803 ( 1988 )

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Jose L. Sanchez v. Puerto Rico Oil Company , 37 F.3d 712 ( 1994 )

Twyford v. Twyford , 134 Cal. Rptr. 145 ( 1976 )

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Linda Shell, Individually and as Next Friend of Lezlie ... , 684 F.2d 537 ( 1982 )

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Yost v. Torok , 256 Ga. 92 ( 1986 )

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Chambers v. Nasco, Inc. , 111 S. Ct. 2123 ( 1991 )

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