Carnes v. St. Paul Union Stockyards Co.

205 N.W. 630, 164 Minn. 457, 1925 Minn. LEXIS 1408
CourtSupreme Court of Minnesota
DecidedOctober 16, 1925
DocketNo. 24,870.
StatusPublished
Cited by74 cases

This text of 205 N.W. 630 (Carnes v. St. Paul Union Stockyards Co.) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Carnes v. St. Paul Union Stockyards Co., 205 N.W. 630, 164 Minn. 457, 1925 Minn. LEXIS 1408 (Mich. 1925).

Opinions

1 Reported in 205 N.W. 630, 206 N.W. 396. In June, 1923, James E. Gibbons and Jessie C. Carnes, doing business under the name of Gibbons Carnes, were buying and selling live stock on a commission basis at defendant's stockyards. Jessie C. Carnes is plaintiff's wife. Plaintiff alleges that he was employed by Gibbons Carnes as a salesman, while defendant aleges that plaintiff was really a member of the firm and in the active management of the business. *Page 459

Gibbons and his partner were members of the South St. Paul Live Stock Exchange until June 6, when they were suspended from membership for 30 days and fined $500. The exchange is an organization separate and distinct from defendant. It is composed of commission men who do business at the South St. Paul stockyards, but membership in the Exchange is not a condition of the right to deal in live stock in the yards.

Under a contract with defendant, Gibbons Carnes were permitted to do business in the yards, subject to rules and regulations prescribed by the defendant, and subject to defendant's right to cancel the contract on 30 days' notice. On June 12, 1923, defendant notified plaintiff that he and the members of the firm would thereafter be excluded from the yards. Subsequently this action was brought to enjoin defendant from excluding plaintiff from the yards and to recover damages for preventing him from securing employment therein as a salesman.

The answer alleged that the firm of Gibbons Carnes was a market agency, as defined in the Federal Packers Stockyards Act of August 15, 1921, and had registered with the Secretary of Agriculture in compliance with the act; that the firm was suspended by the Live Stock Exchange for misconduct in business transactions with shippers of live stock; that this was the reason for excluding plaintiff from the yards; that it was defendant's intention to continue to exclude him therefrom; that, when Gibbons Carnes applied for and obtained permission to operate in the yards, the fact that they had been guilty of business irregularities and misconduct was unknown to defendant and defendant had no knowledge thereof until after they were suspended by the Live Stock Exchange.

The case was tried by the court with a jury. In the course of the trial it was stipulated that defendant refused to enter into contracts permitting commission men to do business at its yards if they gave employment to plaintiff as a yard salesman. When plaintiff rested, defendant moved for a dismissal, the motion was granted, a new trial denied, and plaintiff has appealed. *Page 460

In his reply brief plaintiff denominates this action as one at common law, founded on defendant's wrongful interference with the employment of plaintiff by commission men who do business in defendant's yards. Defendant's counsel do not dispute that this is the nature of the action, but counsel for both parties have referred to the Packers Stockyards Act in their briefs and in their oral arguments.

The act is pertinent insofar as it discloses the policy of Congress. It places stockyards and commission men under the supervision and control of the Secretary of Agriculture, who is given power to prevent discrimination and unfair practices, to issue cease and desist orders and to apply to the courts to compel obedience thereof. Manifestly Congress believed that there had been abuses which needed correction, and that authority to curb unfair practices should be conferred upon some governmental agency. However, this does not necessitate the conclusion that, if defendant wrongfully excluded plaintiff from its yards, the only course open to him was to apply to the Secretary of Agriculture for redress, for the act expressly declares that it is not an abridgment of but an addition to the common law remedies available to one injured by conduct condemned by the act. The inquiry then is whether plaintiff's evidence, coupled with the admissions in defendant's answer, made a prima facie case of actionable wrong at common law.

The courts hold with substantial unanimity that the wrongful and malicious interference by a stranger with existing contract relations between others, which causes one of the parties to breach the contract, is a tort, and that the injured party may recover damages therefor. Bacon v. St. Paul Union Stockyards Co.161 Minn. 522, 201 N.W. 326, is a case in which this principle was applied. It was there held, citing numerous decisions of this court, that a complaint similar to the one in the case at bar stated a cause of action.

It is a legal principle of general application that one who has been prevented from securing employment by reason of the wrongful *Page 461 and malicious interference of another may recover damages from the wrongdoer. 2 Cooley, Torts, p. 587.

The principle was mentioned in Joyce v. G.N. Ry. Co. 100 Minn. 225,110 N.W. 975, 8 L.R.A. (N.S.) 756, and is discussed in Brennan v. United Hatters, 73 N.J. Law, 729, 65 A. 165,9 L.R.A. (N.S.) 254, 118 Am. St. 727, 9 Ann. Cas. 698; Graham v. St. Charles St. R. Co. 47 La. 214, 16 So. 806, 27 L.R.A. 416,49 Am. St. 366; Delz v. Winfree, Norman Pearson, 80 Tex. 400,16 S.W. 111, 26 Am. St. 755; and Hundley v. L. N.R. Co. 105 Ky. 162,48 S.W. 429, 63 L.R.A. 289, 88 Am. St. 298.

In the Joyce case the action was brought to recover damages for personal injuries and damages for wrongfully preventing plaintiff from obtaining employment. After referring to the general rule, the court said:

"Some eminent judges and courts have insisted with persuasive argument that such wrongful interference for the purpose of preventing the formation of contracts is equally actionable. * * * The precise question has never come before this court, though we had an analogous case in Gray v. Building Trades Council,91 Minn. 171. * * * We there held, as respects a boycott, that it was immaterial whether contract relations actually existed between the person boycotted and his customers; that it was equally unlawful to prevent him from obtaining customers with whom he could contract, as to interrupt existing relations, and such is the law in other states."

These observations were followed by the statement that because of the provisions of the blacklisting statute, section 5097, R.L. 1905 (section 10378, G.S. 1923), it was unnecessary to inquire whether the common law does or does not afford a remedy against an intermeddler in cases where he does not interfere with existing contract relations, but only prevents their formation.

The Joyce case clearly indicates that the court was inclined to adopt the view that a wrongful interference with the formation of a contract was no less actionable than a wrongful interference with *Page 462 an existing contract, and we have found no well-considered case in which the contrary view was adopted.

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Cite This Page — Counsel Stack

Bluebook (online)
205 N.W. 630, 164 Minn. 457, 1925 Minn. LEXIS 1408, Counsel Stack Legal Research, https://law.counselstack.com/opinion/carnes-v-st-paul-union-stockyards-co-minn-1925.