Malley-Duff & Associates, Inc. v. Crown Life Insurance Co.

792 F.2d 341
CourtCourt of Appeals for the Third Circuit
DecidedJuly 1, 1986
Docket84-3228
StatusPublished
Cited by93 cases

This text of 792 F.2d 341 (Malley-Duff & Associates, Inc. v. Crown Life Insurance Co.) is published on Counsel Stack Legal Research, covering Court of Appeals for the Third Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Malley-Duff & Associates, Inc. v. Crown Life Insurance Co., 792 F.2d 341 (3d Cir. 1986).

Opinion

792 F.2d 341

54 USLW 2651, RICO Bus.Disp.Guide 6266

MALLEY-DUFF & ASSOCIATES, INC. Appellant,
v.
CROWN LIFE INSURANCE CO., a Corp. Agency Holding Corp, an
Illinois Corp. Agency Holding Corp, an Ohio Corp. Clarke
Burton Lloyd, individual Kerry Patrick Craig, individual
Diane Pariano, individual Ehrman Ratini Oglevee & Craig
Inc., a Pennsylvania Corporation Robert Oglevee, individual.

No. 84-3228.

United States Court of Appeals,
Third Circuit.

Argued Nov. 19, 1985.
Decided May 30, 1986.
As Amended June 10, 1986.
Rehearing Denied July 1, 1986.

Alexander Black (argued), Robert W. Brown, Mindy J. Mulvihill, Buchanan, Ingersoll Professional Corp., Pittsburgh, Pa., for Crown Life Ins. and Clarke Burton Lloyd.

John H. Bingler, Jr. (argued), Glenn E. Bost, II, Thorp, Reed and Armstrong, Pittsburgh, Pa., for Agency Holding Corp. (Illinois); Agency Holding Corp. (Ohio); Kerry Patrick Craig; Diane Pariano; Ehrman Ratini Oglevee & Craig, Inc.; and Robert Oglevee.

Michael D. Fishbein, Levin and Fishbein, Philadelphia, Pa.,Michael P. Malakoff, Berger, Kapetan, Malakoff & Meyers, P.C., Pittsburgh, Pa., John Paul Curran, Curran, Mylotte, David & Fitzpatrick, Philadelphia, Pa., for amici curiae Peirce Trading Co.; A. J. Cunningham Packing Corp.; Chicago Dressed Beef Co.; Continental Food Products, Inc.; Florence Beef Co.

James H. McConomy, Eric A. Schaffer, Reed, Smith, Shaw and McClay, Pittsburgh, Pa., for amicus curiae Congress Financial Corp.

H. Woodruff Turner, David A. Borkovic (argued), Kirkpatrick, Lockhart, Johnson and Hutchison, Pittsburgh, Pa., for appellant.

Before HIGGINBOTHAM, SLOVITER and MANSMANN, Circuit Judges.

OPINION OF THE COURT

A. LEON HIGGINBOTHAM, Jr., Circuit Judge.

This is an appeal from a final summary judgment of the district court dismissing the complaint of appellant Malley-Duff & Associates, Inc. ("Malley-Duff"). For the reasons that follow, we will reverse and remand for further proceedings.

I.

Until February 13, 1978, Malley-Duff was an agent of defendant Crown Life Insurance Company ("Crown Life") for a territory surrounding and including Pittsburgh, Pennsylvania. Crown Life required Malley-Duff to represent it exclusively. Malley-Duff alleges that defendants formed an "enterprise," the purpose of which was "to acquire, take over or eliminate various Crown agencies that had lucrative territories in the United States of America," and which did so by "false and fraudulent means and pretenses." The enterprise allegedly acquired Malley-Duff's agency by first imposing, nine months into the fiscal year 1977, a "bogus" production quota that could not be met, and then terminating the agency when it in fact failed to meet the quota. According to the complaint, the enterprise used similar means to acquire Crown Life agencies in Chicago, Peoria, Cleveland, Newark, Hartford, Denver, and elsewhere. It is further alleged that terminated agents were defrauded out of renewal commissions.

In April of 1978, Malley-Duff filed suit ("Malley-Duff I") against defendants Crown Life, Lloyd, Craig, Agency Holding Company (Illinois), and Agency Holding Company (Ohio), as well as another individual not named in this suit, alleging violations of the federal antitrust laws and conspiracy to tortiously interfere with contract. The case was tried to a jury, but defendants won a directed verdict on the antitrust claims at the close of Malley-Duff's case. Malley-Duff won a verdict of $900,000 on the state conspiracy claim, but the jury concluded in answer to a special interrogatory that there was no tortious interference. On appeal, this court ordered a new trial, holding that there was sufficient evidence of a violation of Sec. 1 of the Sherman Act to present a jury issue, and "that the verdict form answers on the remaining state law claims were inconsistent," Malley-Duff & Associates v. Crown Life Insurance Company, 734 F.2d 133, 136 (3d Cir.), cert. denied, --- U.S. ---, 105 S.Ct. 564, 83 L.Ed.2d 505 (1984).

On March 20, 1981--prior to trial of Malley-Duff I--Malley-Duff filed the instant complaint, alleging causes of action under the Racketeer Influenced and Corrupt Organizations Act ("RICO"), 18 U.S.C. Secs. 1961-1968 (1982),1 for conspiracy to interfere with civil rights, 42 U.S.C. Sec. 1985,2 and a pendent state civil conspiracy theory. The RICO claims can be divided into two categories: (1) claims arising out of the allegedly fraudulent termination of the agency;3 and (2) claims arising out of alleged obstructions of justice by defendants in the course of the discovery phase of Malley-Duff I.4 The Sec. 1985 claims were based on the same allegedly obstructive conduct. The civil conspiracy count incorporated allegations involving both the termination and the obstructions of justice.

This case was consolidated with Malley-Duff I on November 2, 1981, but was severed on January 11, 1983, prior to trial. Defendants had filed a motion for summary judgment on July 29, 1982. On March 23, 1984, the district court granted defendants' motion and entered judgment for them on all counts. This appeal followed.5

II.

The district court dismissed Malley-Duff's RICO claims, to the extent they arose out of the allegedly fraudulent termination of its agency, on the ground that they were barred by the applicable statute of limitations. Because federal law does not provide a statute of limitations for civil RICO actions, the district court followed the settled practice of turning to the law of the forum state (in this case Pennsylvania) to "borrow" the limitations period for the state cause of action most closely analogous to Malley-Duff's claims.6 See Board of Regents v. Tomanio, 446 U.S. 478, 483-84, 100 S.Ct. 1790, 1794-95, 64 L.Ed.2d 440 (1980); Johnson v. Railway Express Agency, 421 U.S. 454, 462-63, 95 S.Ct. 1716, 1721, 44 L.Ed.2d 295 (1975); see generally Note, Limitation Borrowing in Federal Courts, 77 Mich.L.Rev. 1127 (1979). The parties agreed that common law fraud was the state cause most analogous to these claims, but disagreed as to whether a two- or six-year limitations period governed such actions in Pennsylvania.7 The district court held that the two-year statute applied, and that claims filed on March 20, 1981, relating to events that occurred in early 1978,8 were therefore time-barred.

Subsequent to the district court's decision, the Supreme Court of the United States decided Wilson v. Garcia, --- U.S. ----, 105 S.Ct. 1938, 85 L.Ed.2d 254 (1985), which established a three-part inquiry9 to guide the selection of the statute of limitations that will govern a federal claim.

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Bluebook (online)
792 F.2d 341, Counsel Stack Legal Research, https://law.counselstack.com/opinion/malley-duff-associates-inc-v-crown-life-insurance-co-ca3-1986.