Matt Logan, Inc. v. Abitz

CourtNorth Carolina Business Court
DecidedJune 9, 2026
Docket25-CVS-25485
StatusPublished
AuthorMichael L. Robinson

This text of Matt Logan, Inc. v. Abitz (Matt Logan, Inc. v. Abitz) is published on Counsel Stack Legal Research, covering North Carolina Business Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Matt Logan, Inc. v. Abitz, (N.C. Super. Ct. 2026).

Opinion

Matt Logan, Inc. v. Abitz, 2026 NCBC 54.

STATE OF NORTH CAROLINA IN THE GENERAL COURT OF JUSTICE SUPERIOR COURT DIVISION GUILFORD COUNTY 25CV025485-400

MATT LOGAN, INC. d/b/a TMRW WEALTH,

Plaintiff, ORDER AND OPINION ON DEFENDANT’S PARTIAL MOTION TO v. DISMISS FIRST AMENDED VERIFIED COMPLAINT BENJAMIN ABITZ,

Defendant.

1. THIS MATTER is before the Court on the 26 March 2026 filing of

Defendant’s Partial Motion to Dismiss First Amended Verified Complaint (the

Motion). (ECF No. 27 [Mot.].) Pursuant to Rule 12(b)(6) of the North Carolina Rules

of Civil Procedure (the Rule(s)), Defendant seeks dismissal of Plaintiff Matt Logan,

Inc. d/b/a TMRW Wealth’s (Plaintiff or Logan Inc.) claims alleged against him for (1)

breach of the employment agreement, in part; (2) misappropriation of trade secrets;

(3) unfair competition and unfair and deceptive trade practices; and (4) injunctive

relief. (Mot. 1.)

2. For the reasons set forth herein, the Court GRANTS in part and DENIES

in part the Motion.

Carruthers & Roth, P.A. by Robert Young and Craig Almond, for Plaintiff Matt Logan, Inc. d/b/a TMRW Wealth.

Bell, Davis & Pitt, P.A. by Marc E. Gustafson and Carson L. Pace, for Defendant Benjamin Abitz.

Robinson, Chief Judge. I. INTRODUCTION

3. This action arises from the departure of Defendant from his employment

with Plaintiff. Plaintiff contends that Defendant breached the non-solicitation, non-

compete, and nondisclosure provisions of his employment agreement;

misappropriated Plaintiff’s trade secrets; and participated in unfair and deceptive

trade practices in an effort to poach Plaintiff’s clients.

II. FACTUAL BACKGROUND

4. The Court does not make findings of fact when ruling on a motion to dismiss

pursuant to Rule 12(b)(6) and only recites those factual allegations relevant and

necessary to the Court’s determination of the Motion.

A. The Parties

5. Plaintiff is a North Carolina corporation with its principal place of business

in Guilford County, North Carolina. (First Am. Verified Compl. & Mot. TRO, Prelim.

& Permanent Inj. ¶ 1, ECF No. 4 [Am. Compl.].)

6. Defendant Benjamin Abitz (Defendant or Abitz) is a citizen and resident of

Greensboro, North Carolina and was formerly employed by Plaintiff. (Am. Compl.

¶¶ 2, 5.)

B. Defendant’s Employment and the Employment Agreement

7. Plaintiff provides long-term, individualized financial and brokerage advice

to select clients from its office in Greensboro, North Carolina. (Am. Compl. ¶ 3.)

8. Abitz is a certified financial planner and a registered representative with

the Financial Industry Regulatory Authority. (Am. Compl. ¶ 4.) 9. Abitz became employed by Plaintiff on 1 October 2020 as a Financial

Planner. (Am. Compl. Ex. A, at 1 [Employment Agreement].) On or about 4

November 2020, Abitz entered into an employment agreement with Plaintiff (the

Employment Agreement). (Am. Compl. ¶ 5.) In consideration of his execution of the

Employment Agreement, Abitz received a check for two hundred and fifty dollars.

(Am. Compl. ¶ 7.)

10. The Employment Agreement contains, in relevant part, a series of

restrictive covenants, including provisions on non-competition, non-solicitation, and

confidentiality. (Am. Compl. ¶¶ 11–13.)

1. Non-Competition Provision
11. Section 6 of the Employment Agreement provides:

(iv) During his employment with the Company and for a full year after termination of his employment with the Company, the Employee will not for himself or any other entity perform any services in competition with or provide any information in competition with the Company either from a location within Guilford County, North Carolina or for any person or entity located in Guilford County, North Carolina.

(Employment Agreement § 6(b)(iv).)

2. Non-Solicitation Provision
12. Section 6 of the Employment Agreement also provides:

(iii) During his employment with the Company and for a full year after termination of his employment with the Company, the Employee will not induce or attempt to induce or assist any other person or entity to induce or attempt to induce, either directly or indirectly, any person or persons to discontinue doing business with the Company (whether or not such person would commit a breach of contract).

(Employment Agreement § 6(b)(iii).) 3. Confidentiality Provisions

13. Pursuant to the Employment Agreement:

(i) During his employment, and at all times thereafter, the Employee will not use for his own benefit or disclose to any person, firm, or corporation (except as may be required by law or expressly authorized by the Company) the following information of the Company: financial information; strategic plans; operational policies; profit structure; marketing techniques of the Company; financial or any personal information of Company clients or prospective clients with who Employee has dealt; or any other proprietary information, trade secrets, financial information, or any other confidential information or material relating to the Company, its services, its clients, or the operation of its business, or any similar information which has been obtained by the Employee during the Employee’s employment by the Company.

(Employment Agreement § 6(b)(i).)

14. The Employment Agreement defines trade secrets and confidential

information to include “any information relating to the Company, its finances, its

shareholders, its clients, its suppliers, its industry practices, know-how, processes,

decisions, and any other information of whatever nature which gives to the Company

an opportunity to obtain an advantage over its competitors[.]” (Employment

Agreement § 6(b)(i).)

C. Securities and Financial Advisory Firm

15. Prior to 6 October 2025, Plaintiff offered securities to its clients through

Cetera Wealth Services, LLC and offered financial advisory services to its clients

through Cetera Investment Advisers LLC (together with Cetera Wealth Services,

LLC, Cetera). (Am. Compl. ¶ 14.) 16. In spring 2025, with Defendant’s support and encouragement, Plaintiff

reevaluated its affiliation with Cetera and decided to affiliate with a new securities

and financial advisory firm, known as Kestra. (Am. Compl. ¶ 15.)

17. Over the next several months, Plaintiff began planning its transition from

Cetera to Kestra, which was projected to take place sometime in October 2025.

Defendant participated in several attorney-client meetings regarding this transition

in which he was privy to certain confidential business information. (Am. Compl.

¶¶ 16, 18, 28.)

D. Events Giving Rise to Litigation

18. In May 2025, Defendant organized Abax Capital, LLC (Abax), a North

Carolina limited liability company, located in Greensboro, North Carolina. (Am.

Compl. ¶ 19.) Defendant represented to Plaintiff that Abax would serve as an entity

for Defendant to receive shared revenue from Plaintiff after the transition from

Cetera to Kestra. (Am. Compl. ¶ 20.) Plaintiff contends that Defendant actually

registered Abax with Cetera so he could separate from Plaintiff and accept

reassignment of Plaintiff’s clients during Plaintiff’s transition to Kestra. (See Am.

Compl. ¶ 30.)

19. On 6 October 2025, the day before the transition was to occur, Defendant

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