New Orleans Glass Company v. Roy Anderson Corporat , 632 F. App'x 166 ( 2015 )


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  •      Case: 15-60083      Document: 00513290279         Page: 1    Date Filed: 12/01/2015
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT
    United States Court of Appeals
    Fifth Circuit
    No. 15-60083                                FILED
    December 1, 2015
    Lyle W. Cayce
    NEW ORLEANS GLASS COMPANY, INCORPORATED,                                          Clerk
    Plaintiff - Appellee
    v.
    ROY ANDERSON CORPORATION,
    Defendant - Appellant
    Appeal from the United States District Court
    for the Southern District of Mississippi
    USDC No. 1:14-CV-177
    Before DAVIS, PRADO, and SOUTHWICK, Circuit Judges.
    W. EUGENE DAVIS, Circuit Judge:*
    Defendant-Appellant Roy Anderson Corp. (“RAC”) appeals from the
    district court’s denial of its motion to compel arbitration. Because we conclude
    that the subcontract at issue requires arbitration under these circumstances,
    we reverse and remand.
    * Pursuant to 5TH CIR. R. 47.5, the court has determined that this opinion should not
    be published and is not precedent except under the limited circumstances set forth in 5TH
    CIR. R. 47.5.4.
    Case: 15-60083    Document: 00513290279       Page: 2   Date Filed: 12/01/2015
    No. 15-60083
    I.    BACKGROUND
    This dispute arises out of the construction of the Sea Breeze
    Condominiums and Resort (“Project”) in Biloxi, Mississippi. The Project was
    owned and developed by Sea Breeze I, LLC (“Developer”), and owners of
    individual units belonged to the Sea Breeze Condominiums and Resort
    Owners’ Association (“Owners’ Association”). The Developer engaged RAC as
    its general contractor. RAC in turn engaged a number of subcontractors,
    including Plaintiff-Appellee New Orleans Glass Co. (“NOG”). RAC and NOG
    executed a subcontract dated January 27, 2005 (“RAC-NOG Subcontract”),
    which is central to this dispute.
    Following completion of work in 2007, the Developer and Owners’
    Association were unhappy with the quality of the construction and/or design of
    the Project, and both initiated arbitration proceedings (later consolidated)
    against RAC and the architect. The Developer’s demand sought “damages, as
    well as undetermined amounts for repairs to the pool, windows, curtain walls,
    and transfer slab,” while the Owners’ Association demand asserted similar
    claims, referring to issues with the “pool and pool deck area, windows, curtain
    walls, the slab and foundation and various other parts of the building . . . .”
    Based on its investigation, RAC determined that the arbitration
    demands concerned certain of its subcontractors’ work, and it filed a Third-
    Party Demand for Arbitration on March 7, 2014, against many of its
    subcontractors, including NOG, followed by a Second Amended Third-Party
    Demand for Arbitration on April 18, 2014. In its arbitration demand, RAC
    invoked the broad defense and indemnity clause of Section 19.1 of each of its
    subcontracts, which provides:
    To the fullest extent permitted by law, the Subcontractor
    covenants to defend, indemnify, save harmless, protect, and
    exonerate both the Contractor (its agents, employees,
    representatives, and sureties) and the Owner, separately and
    2
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    severally, from any and all liability, claim, losses, suits, actions,
    demands, arbitrations, administrative proceedings, awards,
    judgments, expenses, attorneys’ fees, and costs pertaining to
    economic loss or damages, labor disputes, safety requirements,
    performance or nonperformance of obligations, certifications,
    property rights of third parties, personal injury, bodily injury,
    sickness, disease, death, or damage to or destruction of property
    (including loss of use thereof) which are caused in whole or in part,
    which arise from or occur in connection with work undertaken or
    to be performed by the Subcontractor, its subcontractors, or the
    agents or employees of any of them or which arise from or occur in
    connection with any other act or omission relating to the
    Subcontractor, its subcontractors, or the agents or employees of
    any of them, or to this Subcontract or to the Subcontract Work.
    The foregoing covenants and indemnity obligations shall apply to
    the fullest extent permitted by law. The Subcontractor’s indemnity
    obligation and liability to the Contractor shall extend to the
    maximum extent allowed by applicable law.
    In addition, RAC asserted that in all of its subcontracts, each
    subcontractor agreed to arbitrate disputes between it and RAC. In a footnote,
    it explained that the RAC-NOG Subcontract “contains different dispute
    resolution language, but nevertheless binds [NOG] to appear in this
    arbitration proceeding.” Specifically, RAC invoked Section 27.3 of the RAC-
    NOG Subcontract, which provides:
    If the Contractor has a claim or dispute involving the same general
    subject matter, either in whole or in part, with any third party if
    elected by the Contractor, the Subcontractor shall assert its claims
    and defenses in and shall be bound by the same forum and in the
    same proceeding which has jurisdiction over the claims or disputes
    between the Contractor and such third party.
    Instead of joining the consolidated arbitration proceeding, NOG filed a
    Complaint for Declaratory Relief in the United States District Court for the
    Southern District of Mississippi. In its complaint, it summarized the same
    facts set out above but disputed that Section 27.3 applies here, claiming that
    Section 27.3 “applies in circumstances where RAC and NOG each have similar
    3
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    claims against third parties, and it does not apply to claims between RAC and
    NOG.” In NOG’s reading, Section 27.3 is irrelevant to claims solely between
    RAC and NOG, which it asserts are governed by Sections 27.4 and 27.5
    (discussed below), which require RAC and NOG to litigate claims between
    them unless they specifically agree to arbitrate them. NOG prayed for a
    declaratory judgment declaring that:
    A.    RAC and NOG did not agree to arbitrate their claims or
    disputes arising under the RAC-NOG Subcontract;
    B.    Any claims or disputes arising under the RAC-NOG
    Subcontract must be litigated in a court of competent jurisdiction
    located either in Harrison County, Mississippi, if a state court
    action, or in the Southern District of Mississippi, if a federal court
    action;
    C.   This Court is a court of competent jurisdiction for the
    purpose of litigating claims or disputes arising under the RAC-
    NOG Subcontract, including RAC’s claim for contractual
    indemnity; . . .
    Thus, the primary purpose of NOG’s declaratory judgment is to avoid
    arbitration. NOG has also prayed for a declaratory judgment declaring that
    RAC’s contractual indemnity claim is premature because RAC asserted it prior
    to any judgment against RAC. This appeal will determine which forum may
    address that question.
    Soon after NOG filed its declaratory judgment action, RAC filed a Motion
    to Compel Arbitration and to Dismiss in the district court, re-asserting its
    argument that under Section 27.3 of the RAC-NOG Subcontract, NOG is
    required to arbitrate its dispute with NAC in the existing arbitration.
    The district court denied RAC’s motion. In a Memorandum Opinion and
    Order, the district court rejected RAC’s interpretation of the RAC-NOG
    Subcontract and adopted NOG’s. Specifically, the district court interpreted
    Section 27.3 to apply “when the subcontractor has a claim or dispute with a
    4
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    third party,” while “Section 27.4 controls when the subcontractor has a claim
    or dispute with the contractor.” 1 Because it found no contractual basis for
    requiring NOG to arbitrate its dispute with RAC, it denied RAC’s motion. It
    also stayed the proceedings in the district court pending the outcome of RAC’s
    ongoing consolidated arbitration. RAC appealed.
    II.    STANDARD OF REVIEW AND APPLICABLE LAW
    “This Court reviews de novo the grant or denial of a motion to compel
    arbitration.” 2 As the district court noted, this case falls under the Federal
    Arbitration Act (“FAA”), 9 U.S.C. §§ 1 et seq., which applies to written
    arbitration agreements involving interstate commerce, like the RAC-NOG
    Subcontract in this case. 3
    In adjudicating a motion to compel arbitration under the Federal
    Arbitration Act, courts generally conduct a two-step inquiry. The
    first step is to determine whether the parties agreed to arbitrate
    the dispute in question. This determination involves two
    considerations: (1) whether there is a valid agreement to arbitrate
    between the parties; and (2) whether the dispute in question falls
    within the scope of that arbitration agreement. When deciding
    whether the parties agreed to arbitrate the dispute in question,
    “courts generally . . . should apply ordinary state-law principles
    that govern the formation of contracts.” In applying state law,
    however, “due regard must be given to the federal policy favoring
    arbitration, and ambiguities as to the scope of the arbitration
    clause itself must be resolved in favor of arbitration.” The second
    step is to determine “whether legal constraints external to the
    parties’ agreement foreclosed the arbitration of those claims.” 4
    1 District Court Memorandum Opinion and Order Denying Defendant’s Motion to
    Compel Arbitration and to Dismiss, No. 1:14CV177, slip op. at 6 (S.D. Miss. Jan. 22, 2015)
    (hereinafter “District Court Order”).
    2 Fleetwood Enterprises, Inc. v. Gaskamp, 
    280 F.3d 1069
    , 1073 (5th Cir. 2002), opinion
    supplemented on denial of reh'g, 
    303 F.3d 570
    (5th Cir. 2002) (citing Webb v. Investacorp, 
    89 F.3d 252
    , 257 (5th Cir. 1996)).
    3 District Court Order, slip op. at 3.
    4 
    Webb, 89 F.3d at 257-58
    (citations omitted).
    5
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    The parties agree that we must                     apply Mississippi’s contract
    interpretation rules. In construing contracts under Mississippi law, the court
    must focus “upon the objective fact—the language of the contract. We are
    concerned with what the contracting parties have said to each other, not some
    secret thought of one not communicated to the other.” 5 More fully, Mississippi
    relies on a “three-tiered approach to a contract interpretation,” focusing on the
    actual words of the contract “to the exclusion of parol or extrinsic evidence.” 6
    First, we must look to the “four corners” of the contract, “read[ing] the contract
    as a whole, so as to give effect to all of its clauses.” 7
    Our concern is not nearly so much with what the parties may have
    intended, but with what they said, since the words employed are
    by far the best resource for ascertaining the intent and assigning
    meaning with fairness and accuracy. Thus, the courts are not at
    liberty to infer intent contrary to that emanating from the text at
    issue. On the other hand, if the contract is unclear or ambiguous,
    the court should attempt to harmonize the provisions in accord
    with the parties' apparent intent. Only if the contract is unclear or
    ambiguous can a court go beyond the text to determine the parties’
    true intent. [T]he mere fact that the parties disagree about the
    meaning of a contract does not make the contract ambiguous as a
    matter of law. 8
    Second, if the court cannot discern the parties’ intent from the text alone,
    the court should move on to the “discretionary ‘canons’ of contract
    construction,” such as the principle that a contract subject to more than one
    fair reading will be construed so as to most benefit the non-drafting party. 9 The
    5 Facilities, Inc. v. Rogers-Usry Chevrolet, Inc., 
    908 So. 2d 107
    , 110-11 (Miss. 2005)
    (quoting Turner v. Terry, 
    799 So. 2d 25
    , 32 (Miss. 2001)).
    6 Royer Homes of Miss., Inc. v. Chandeleur Homes, Inc., 
    857 So. 2d 748
    , 752 (Miss.
    2003).
    7 
    Id. 8 Id.
    at 752-53 (citations and internal quotation marks omitted, alteration in original).
    9 
    Id. at 753.
    6
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    district court noted that the canons also include the principle that “specific
    language controls over general, inconsistent language.” 10
    Third and finally,
    if the contract continues to evade clarity as to the parties’ intent,
    the court should consider extrinsic or parol evidence. It is only
    when the review of a contract reaches this point that prior
    negotiation, agreements and conversations might be considered in
    determining the parties’ intentions in the construction of the
    contract. 11
    As suggested above, if the subcontract requires arbitration under
    Mississippi law, then the arbitration provision is enforceable under the FAA.
    III.    DOES THE SUBCONTRACT BETWEEN RAC AND NOG REQUIRE NOG TO
    ARBITRATE THE CLAIMS PRESENTED HERE?
    All parties agree that Section 27.4 generally provides that RAC and NOG
    “agree to litigate any claims between them.” The only question is whether
    Section 27.3 applies under these circumstances to require NOG to join the
    arbitration to assert any claims or defenses against RAC arising out of the
    same general subject matter as RAC’s existing arbitration against the
    Developer and Owners’ Association.
    NOG argues, and the district court concluded, that Section 27.3 applies
    only to NOG’s claims against a third party, not RAC. NOG asserted in its
    complaint that “Section 27.3 of the RAC-NOG Subcontract . . . applies in
    circumstances where RAC and NOG each have similar claims against third
    parties, and it does not apply to claims between RAC and NOG.” Similarly, the
    district court concluded that “Section 27.3 applies when the subcontractor has
    10District Court Order, slip op. at 5 (citing Harris v. Harris, 
    988 So. 2d 376
    , 379 (Miss.
    2008); Pursue Energy Corp. v. Perkins, 
    558 So. 2d 349
    , 352-53 (Miss. 1990)).
    11 
    Royer, 857 So. 2d at 753
    (internal citation omitted).
    7
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    a claim or dispute with a third party.” That reading ignores the plain language
    of Section 27.3, which is not limited to NOG’s claims against a third party.
    Section 27.1 of the RAC-NOG Subcontract provides that “all claims,
    disputes, and other matters in controversy or question between the Contractor
    and the Subcontractor arising out of or relating to this Subcontract shall be
    decided in accordance with this Section.”
    Section 27.2 provides:
    If the Contractor has a claim or dispute involving the same general
    subject matter, either in whole or in part, with the Owner, if so
    elected by the Contractor, the Subcontractor shall pursue its claim
    or resolve its dispute by timely submission of its claim through the
    Contractor to the Owner, and Subcontractor’s recovery and any
    other relief shall be limited to the amounts actually recovered or
    other relief actually obtained by the Contractor through the Owner
    on account of the Subcontractor’s claims or disputes.
    By its plain terms, Section 27.2 applies only to claims the Subcontractor has
    against the Owner. It allows RAC to pursue those claims on behalf of NOG.
    Section 27.3 provides:
    If the Contractor has a claim or dispute involving the same general
    subject matter, either in whole or in part, with any third party if
    elected by the Contractor, the Subcontractor shall assert its claims
    and defenses in and shall be bound by the same forum and in the
    same proceeding which has jurisdiction over the claims or disputes
    between the Contractor and such third party.
    Unlike Section 27.2, there is no language in Section 27.3 limiting its
    application to NOG’s claims against a particular party. Thus, the district court
    erred in reading Section 27.3 to apply only to NOG’s claims against a third
    party. Instead, a plain reading shows that it applies to NOG’s “claims and
    defenses” “involving the same general subject matter” as RAC’s claim or
    dispute with any third party, and amounts to an agreement to arbitrate or
    8
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    litigate its claims, depending on the forum of the existing dispute between RAC
    and a third party.
    Under the plain language of Section 27.3, the present circumstances
    trigger its application. First, RAC does have a dispute with third parties, the
    Developer and Owners’ Association. Second, the general subject matter of that
    dispute is alleged construction and design defects, apparently including some
    of NOG’s work. NOG’s “claim or defense” in this declaratory judgment action
    concerns the interpretation of Section 19.1 of the RAC-NOG Subcontract, a
    defense and indemnity obligation, which certainly concerns the “same general
    subject matter” as RAC’s dispute with the third parties. Third, RAC elected to
    invoke Section 27.3 by asserting a third-party demand against NOG in the
    arbitration. Consequently, under a straightforward reading of Section 27.3,
    NOG agreed to arbitrate its claims under these circumstances unless somehow
    precluded by another contractual provision.
    NOG attempts to sidestep Section 27.3 by arguing that Sections 27.4 and
    27.5 mean that all claims “solely” between NOG and RAC must be litigated
    unless the parties agree to arbitrate. There are a few problems with NOG’s
    interpretation. First, Mississippi law requires that we interpret the contract
    so as to give full effect to every provision. NOG’s reading fails to give effect to
    the plain language of Section 27.3 because that reading impermissibly restricts
    its application to NOG’s claims against a third party.
    Second, while there may be some apparent tension between Sections 27.3
    and 27.4, that tension is easily resolved by applying Mississippi’s canon of
    statutory construction under which “specific language controls over general,
    inconsistent language.” 12 Section 27.4 is a general provision applying to claims
    12 District Court Order, slip op. at 5 (citing 
    Harris, 988 So. 2d at 379
    ; Pursue Energy
    
    Corp., 558 So. 2d at 352-53
    ). Although the district court mentioned this canon, it did not need
    to apply it because it read Section 27.3 as applying only to NOG’s claims against third parties.
    9
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    between NOG and RAC, while Section 27.3 applies to all claims NOG might
    have (whether against RAC or a third party) under specific circumstances. The
    clear purpose of Section 27.3 is to allow for consolidated dispute resolution
    when there is already a proceeding between RAC and a third party.
    Third, NOG argues that RAC’s agreements with its other subcontractors
    contain much clearer provisions requiring arbitration, and RAC could have
    used those provisions here if it wanted that result. There is no merit to that
    argument. For one thing, RAC could have reached the same result in any
    number of ways. For another, we may only examine extrinsic evidence such as
    the other subcontracts if the RAC-NOG Subcontract “continues to evade clarity
    as to the parties’ intent,” 13 but there is no such difficulty here because it clearly
    and unambiguously establishes an agreement to arbitrate under these
    circumstances.
    Under the RAC-NOG Subcontract, Section 27.4 generally requires RAC
    and NOG to litigate claims between themselves, unless they specifically agree
    to arbitrate. However, Section 27.3 requires NOG to join RAC’s existing
    arbitration or litigation with a third party if the dispute involves the same
    general subject matter as NOG’s claim or dispute and if RAC elects to invoke
    the provision. Those conditions were satisfied here, and under the plain terms
    of Section 27.3, NOG is required to arbitrate. That plain language reading
    leads to more efficient dispute resolution through consolidation, and the result
    is clearly not coincidental. Because the arbitration clause is clear and
    unambiguous under Mississippi law, it is enforceable under the FAA.
    13   Facilities, 
    Inc., 908 So. 2d at 111
    .
    10
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    IV.     CONCLUSION
    Because the RAC-NOG Subcontract requires NOG to assert its claims
    and defenses in the existing arbitration between RAC and the Developer and
    Owners’ Association under these circumstances, we REVERSE the district
    court’s January 22, 2015 order denying RAC’s motion to compel arbitration and
    REMAND for entry of an order compelling arbitration.
    11