Johnston v. Norrell Health Care, Inc.
This text of 835 S.W.2d 565 (Johnston v. Norrell Health Care, Inc.) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinion
Plaintiff, Carol Johnston, appeals from the dismissal with prejudice of her action for civil conspiracy and restraint of trade against defendants, Norrell Health Care, Inc. and Comprehealth, Inc. We affirm.
On October 2, 1990, plaintiff filed a petition alleging that certain “wrongful” agreements between defendants and between defendants and local hospitals constitute a civil conspiracy and restraint of trade in violation of § 416.031 RSMo 1986. Defendants filed motions to dismiss or in the alternative for a more definite statement, contending plaintiff had failed to allege the elements of a civil conspiracy or an action for restraint of trade. On January 11, 1991, the trial court denied the motions to dismiss but granted the motions for a more definite statement. The court ordered plaintiff to file an amended petition within thirty days.
Plaintiff failed to heed the trial court’s order, and on March 5, 1991, defendant Norrell filed another motion to dismiss pursuant to Rules 55.27(a) and 67.06. Defendant Comprehealth filed a similar motion shortly thereafter. The court heard argument on defendants’ motions on April 15, 1991; plaintiff’s counsel stated he intended to file the amended petition that day. The court did not rule on the motions, and plaintiff never filed the amended petition.
*567 Roughly three months later, defendants filed renewed motions to dismiss, again requesting the trial court to dismiss plaintiff’s petition pursuant to Rules 55.27(a) and 67.06. On October 21, 1991, the court granted defendants’ motions after argument and dismissed plaintiff’s action with prejudice. This appeal followed. 1
Because the trial court did not specify its reasons for dismissing plaintiff's petition, we assume the court acted for one of the reasons stated in defendants’ motions to dismiss. Austin v. Trotter’s Corp., 815 S.W.2d 951, 957 (Mo.App.1991). The motions sought dismissal pursuant to Rules 55.27(a)(6) and 67.06 for failure to state a claim and failure to amend. Plaintiff contends the court erred in dismissing the petition pursuant to either rule.
Rule 67.06 requires a court to dismiss an action with prejudice if a party fails to file an amended pleading within the time allowed by the court upon sustention of a motion to dismiss. Here, however, the court granted plaintiff leave to amend after sustaining defendants’ motions for a more definite statement; no motion to dismiss was sustained in this case until the trial court’s order on October 21, 1991, dismissing the case with prejudice. 2 Nevertheless, we will sustain the judgment of dismissal if any of the grounds offered in the motion is proper, Austin, 815 S.W.2d at 957, and we find the court’s dismissal proper on the ground that the petition failed to state a claim upon which relief could be granted.
In determining the sufficiency of a petition to which a motion to dismiss is directed, we give the petition its broadest intendment, treating all facts alleged as true. Defino v. Civic Center Corp., 718 S.W.2d 505, 509 (Mo.App.1986). Further, we construe the allegations favorably to plaintiff to determine whether they invoke principles of substantive law and inform defendant of what plaintiff will attempt to establish at trial. Id. at 509-510. Although the petition need only allege ultimate facts, id. at 510, “[m]ere conclusions of the pleader that are not supported by factual allegations are disregarded in determining whether a petition states a cause of action on which relief can be granted.” Lick Creek Sewer Sys. v. Bank of Bourbon, 747 S.W.2d 317, 322 (Mo.App.1988).
In her petition, plaintiff alleged that (1) she had been previously employed by both defendants; (2) defendants “wrongfully” agreed to refrain from hiring any person whom either defendant had previously employed; (3) defendants entered into contracts with hospitals in St. Louis County and the City of St. Louis whereby defendants would be the exclusive supplier of nurses to hospitals in the area; and (4) as a result of defendants’ “wrongful” agreements, plaintiff was unable to obtain employment at any hospital with which defendants had entered such agreements. Plaintiff contended defendants’ actions constitute a civil conspiracy and a restraint of trade in violation of § 416.031 RSMo 1986. 3
*568 To state a cause of action for civil conspiracy, a petition must allege that defendants conspired and agreed to commit an unlawful act and did in fact commit an unlawful act, in pursuit of the conspiracy, which resulted in damages to plaintiff. McMullin v. Community Sav. Serv. Corp., 762 S.W.2d 462, 465 (Mo.App.1988). Plaintiffs mere allegation that defendants “wrongfully” agreed to enter into certain “wrongful” agreements fails to state a cause of action. Plaintiff has failed to allege defendants conspired to commit or in fact committed an unlawful act; her allegation that the agreements were “wrongful” is conclusory and does not state sufficient facts to inform defendants of how and why the agreements were allegedly improper.
Similarly, plaintiffs petition is insufficient to state a cause of action for conspiracy in restraint of trade in violation of § 416.031.1 RSMo 1986. That section provides: “Every contract, combination or conspiracy in restraint of trade or commerce in this state is unlawful.” Pursuant to § 416.141 RSMo 1986, we construe the section in harmony with ruling judicial interpretations of comparable federal antitrust statutes.
Section 416.031.1 closely parallels 15 U.S.C. § 1 of the Sherman Act. A party alleging a violation of 15 U.S.C. § 1 must allege that (1) defendants contracted, combined or conspired among each other; (2) the combination or conspiracy produced adverse, anticompetitive effects within relevant product and geographic markets; (3) the objects of and the conduct pursuant to the contract or conspiracy were illegal; and (4) plaintiff was injured as a proximate result of the conspiracy. Defino, 718 S.W.2d at 510 (citing Martin B. Glauser Dodge Co. v. Chrysler Corp., 570 F.2d 72, 81 (3rd Cir.1977), cert. denied, 436 U.S. 913, 98 S.Ct. 2253, 56 L.Ed.2d 413 (1978)).t
As detailed earlier, plaintiff in support of her restraint of trade claim alleges only that defendants agreed not to employ any person whom either defendant had previously employed; that defendants entered into “exclusive supply” contracts with certain, unnamed hospitals in the St.
Free access — add to your briefcase to read the full text and ask questions with AI
Related
Cite This Page — Counsel Stack
835 S.W.2d 565, 1992 Mo. App. LEXIS 1357, 1992 WL 195495, Counsel Stack Legal Research, https://law.counselstack.com/opinion/johnston-v-norrell-health-care-inc-moctapp-1992.