Chatham Racquet Club v. Commonwealth

561 A.2d 354, 127 Pa. Commw. 209, 1989 Pa. Commw. LEXIS 452
CourtCommonwealth Court of Pennsylvania
DecidedJune 28, 1989
Docket2123 C.D. 1988
StatusPublished
Cited by11 cases

This text of 561 A.2d 354 (Chatham Racquet Club v. Commonwealth) is published on Counsel Stack Legal Research, covering Commonwealth Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Chatham Racquet Club v. Commonwealth, 561 A.2d 354, 127 Pa. Commw. 209, 1989 Pa. Commw. LEXIS 452 (Pa. Ct. App. 1989).

Opinion

McGINLEY, Judge.

Chatham Racquet Club (Chatham) a/k/a Downtown Racquet Club appeals an order of the Court of Common Pleas of Allegheny County (Chancellor), which granted a permanent injunction sought by the Office of the Attorney General (Attorney General) pursuant to the Unfair Trade Practices and Consumer Protection Law (Consumer Protection Law), Act of December 17, 1968, P.L. 1224, as amended, 73 P.S. §§ 201-1—201-9.2. We reverse.

The facts are not in dispute. During the bankruptcy proceedings of the Downtown Racquet and Athletic Club (Facility), a new ownership group purchased the Facility’s assets. The evidence at the hearing for permanent injunction established that at the bankruptcy proceedings several bids were made for the Facility, including one bid for $1,500,000 and Chatham’s bid of $1,400,000. Chatham also offered to take the Facility subject to the memberships (members), whereas the higher bid did not include such an *211 undertaking. 1 The bankruptcy court entered an order directing the sale to Chatham with the specific provision that the sale was subject to the terms and conditions of a purchase agreement which in turn provided that the sale to Chatham was subject to all the membership contracts.

Subsequent to its purchase Chatham began to charge the members a monthly service fee which varied in amount depending upon the members’ original contract. Despite this charge, Chatham offered no commensurate increase in services. The members complained and the Attorney General sought an injunction under the provisions of Section 4 of the Consumer Protection Law, 73 P.S. § 201-4 alleging there was reason to believe that Chatham was in the process of using a method, act or practice declared to be unlawful under the Consumer Protection Law. 2

The Attorney General alleged that the increase in members’ fees constituted fraudulent conduct which created a likelihood of confusion or misunderstanding under Section 2 of the Consumer Protection Law, 73 P.S. § 201-2. After hearing, the Chancellor found that Chatham’s acts created “a chaotic situation fraught with confusion.” (Opinion of the Chancellor, November 26, 1986, at 5-6.) The Chancellor did not specifically find that Chatham had an intent to defraud anyone or that it had acted in bad faith, but *212 granted the injunction. 3 Chatham’s petition for reconsideration was denied.

Chatham next sought a stay pending appeal in this Court. On May 9, 1988, this Court reversed the order of the Chancellor, vacated the preliminary injunction and remanded the case for a trial on the merits of the Attorney General’s request for a permanent injunction. 4

After hearing on May 13, 1988, the Chancellor concluded that the action of Chatham

in demanding or charging an additional service fee was in complete disregard of the Court Order and was a fraud, not only upon the Bankruptcy Court, but upon the consumers who were the objects of consideration of the Bankruptcy Court in directing that the sale be made subject to the existing membership contracts.

(Opinion of the Chancellor, June 20, 1988, at 2.)

The Chancellor then issued a decree nisi. On August 25, 1988, the Chancellor denied Chatham’s motions for post *213 trial relief and recusal and entered judgment on the decree nisi. Chatham appeals.

Chatham raises several issues 5 on appeal. The issue dispositive of this matter is whether Chatham’s actions constituted the requisite fraudulent conduct under the Consumer Protection Law.

This Court’s scope of review is limited:

The trial judge sitting in equity as a chancellor is the ultimate fact finder.’ ... The findings of fact of the chancellor should not be set aside unless the error is manifest.... Therefore only if it is plain that the rule of law relied upon was palpably erroneous or misapplied will we interfere with the decision of the chancellor.’ (Citations omitted.)

Peugeot Motors of America, Inc. v. Stout, 310 Pa.Superior Court 412, 418, 456 A.2d 1002, 1005 (1983).

Our State Supreme Court in Commonwealth by Creamer v. Monumental Properties, Inc., 459 Pa. 450, 329 A.2d 812 (1974), explained that the Consumer Protection Law’s underlying foundation is fraud prevention, and that it is to be construed liberally to effect its object of preventing unfair or deceptive practices. 6

Section 2 of the Consumer Protection Law contains a list of seventeen specific prohibited activities which are therein defined as unfair methods of competition or deceptive acts or practices. It also contains in Section 2(4)(xvii) a “catchall provision” which provides that “[ejngaging in any other fraudulent conduct which creates a likelihood of confusion *214 or of misunderstanding” constitutes an unfair method of competition or an unfair or deceptive act or practice. In Monumental Properties, the Court indicated that this catchall provision in Section 2 of the Consumer Protection Law is designed to cover generally all unfair and deceptive acts or practices in the conduct of trade or commerce. The Attorney General argues that, even though Chatham’s conduct is not expressly prohibited by the Consumer Protection Law, the members were being billed additional sums subsequent to the full payment of their dues, yet Chatham’s purchase had been “subject to the memberships,” and therefore Chatham’s increase in fees is violative of Section 2 of the Consumer Protection Law.

Chatham argues that the Attorney General failed to prove fraudulent conduct because it did not establish these essential elements:

(1) a false representation of an existing factor; (2) if the misrepresentation is innocently made, then it is actionable only if it relates to a matter material to the transaction involved; while if the misrepresentation is knowingly made or involves a non-privileged failure to disclose, materiality is not a requisite to the action; (3) scienter, which may be either actual knowledge of a truth or falsity of representation, reckless ignorance of the falsity of the matter, or mere false information where a duty to know is imposed on a person by reason of special circumstances; (4) reliance, which must be justifiable, so that common prudence or diligence could not have ascertained the truth; and (5) damage to the person relying thereon. (Citations omitted.)

Mancini v. Morrow, 312 Pa.Super. 192, 202, 458 A.2d 580, 585 (1983) (quoting Shane v. Hoffmann, 227 Pa.Super.

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561 A.2d 354, 127 Pa. Commw. 209, 1989 Pa. Commw. LEXIS 452, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chatham-racquet-club-v-commonwealth-pacommwct-1989.