Maverick Steel Co. v. Dick Corporation/Barton Malow

54 A.3d 352, 2012 Pa. Super. 173, 2012 Pa. Super. LEXIS 2061
CourtSuperior Court of Pennsylvania
DecidedAugust 21, 2012
StatusPublished
Cited by24 cases

This text of 54 A.3d 352 (Maverick Steel Co. v. Dick Corporation/Barton Malow) is published on Counsel Stack Legal Research, covering Superior Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Maverick Steel Co. v. Dick Corporation/Barton Malow, 54 A.3d 352, 2012 Pa. Super. 173, 2012 Pa. Super. LEXIS 2061 (Pa. Ct. App. 2012).

Opinion

OPINION BY SHOGAN, J.:

Appellant, Maverick Steel Company (“Maverick”) appeals from the judgment entered on a directed verdict in favor of Dick Corporation, Barton Mallow Company, and their joint venture Dick Corporation/Barton Malow (“DBM”). We reverse and remand.

Maverick’s predecessor, Wilhelm & Kruse, Inc. (“W & K”), provided products and services for the PNC Stadium construction project (“Stadium Project”) pursuant to a structural steel subcontract with DBM. Claiming that W & K defaulted on its contract, DBM issued a default notice and sought coverage from W & K’s surety, United States Fidelity and Guarantee (“USF & G”). In response, Maverick claimed that any delays in W & K’s performance were the result of circumstances beyond its control and that DBM extorted money from USF & G to cover the cost of the Stadium Project. According to Maverick, DBM intimidated and threatened USF & G into paying millions of dollars into the Stadium Project, thereby interfering with the surety relationship between USF & G and W & K. Consequently, W & K lost other contracts because it had no surety, and W & K’s creditors threw it into involuntary bankruptcy. Maverick, which arose out of W & K’s involuntary bankruptcy, filed a lawsuit against DBM, averring breach of contract, fraud, conspiracy, trade libel, and intentional interference with business relationships.

After Maverick voluntarily withdrew multiple claims, Judge Wettick dismissed Maverick’s libel claim as time barred under the one-year statute of limitations. Also, Judge Wettick denied DBM’s pre[354]*354trial motions for judgment on the pleadings and summary judgment with regard to Maverick’s intentional interference counts. Eventually, only the count related to W & K’s relationship with USF & G on projects other than the Stadium Project (“interference claim”) went to trial before Judge O’Brien. Maverick argued that it based the interference claim on DBM’s course of conduct in extorting money from USF & G and, therefore, the claim was subject to a two-year statute of limitations. According to DBM, however, the gravamen of Maverick’s interference claim was the alleged libel of DBM telling USF & G that W & K defaulted on its contract. DBM argued, therefore, that the interference claim was time barred under the one-year statute of limitations for libel. Judge O’Brien requested post-trial memoranda on the statute of limitations issue. He then found that the one-year statute of limitations barred Maverick’s interference claim because it was libel-based, granted DBM’s motion for directed verdict, and entered judgment for DBM. Maverick moved for post-trial relief, which the trial court denied. This appeal followed.

Maverick presents the following questions for our consideration:

1. Did the Court err in holding that the Appellant’s claim for tortious interference was governed by the one year statute of limitations for trade libel?
2. Did the Court err in concluding that the “gravamen” of Maverick’s interference claims was based on the commission of the tort of trade libel?
3. Did the Court err in relying upon the case of Evans v. Philadelphia Newspapers, Inc., 411 Pa.Super. 244, 601 A.2d 330 (1991)?
4. Did the Appellant offer sufficient evidence to establish a viable claim for tortious interference under Pennsylvania law?
5.Did the Court’s decision violate the law of the case doctrine and/or the principle that judges of coordinate jurisdiction may not overrule each other?

Maverick’s Brief at 4.

Maverick’s first three issues challenge the trial court’s ruling that the one-year statute of limitations for trade libel barred Maverick’s interference claim. The issue of which limitations period applies to a particular cause of action is a question of law. Burger v. Blair Medical Associates, 600 Pa. 194, 202, 964 A.2d 374, 378 (2009). When faced with questions of law, our scope of review is plenary and our standard of review is de novo. Skonieczny v. Cooper, 37 A.3d 1211, 1213 (Pa.Super.2012) (citation omitted).

This case implicates two causes of action arising out of the commercial business arena: trade libel and intentional interference with contractual relations. Trade libel, also called “injurious falsehood,” consists of the publication of a disparaging statement concerning the business of another and is actionable where:

(1) the statement is false; (2) the publisher either intends the publication to cause pecuniary loss or reasonably should recognize that publication will result in pecuniary loss; (3) pecuniary loss does in fact result; and (4) the publisher either knows that the publication is false or acts in reckless disregard of its truth or falsity.

Pro Golf Manufacturing, Inc. v. Tribune Review Newspaper Company, 570 Pa. 242, 246, 809 A.2d 243, 246 (2002). This tort is subject to a one-year statute of limitations. Evans v. Philadelphia Newspapers, Inc., 411 Pa.Super. 244, 601 A.2d 330, 333 (1991).

Tortious interference with prospective or existing contractual relations consists of the following elements:

[355]*355(1) the existence of a contractual, or prospective contractual relation between the complainant and a third party;
(2) purposeful action on the part of the defendant, specifically intended to harm the existing relation, or to prevent a prospective relation from occurring;
(3) the absence of privilege or justification on the part of the defendant; and
(4) the occasioning of actual legal damage as a result of the defendant’s conduct.
In determining whether a particular course of conduct is improper for purposes of setting forth a cause of action for intentional interference with contractual relationships, or, for that matter, potential contractual relationships, the court must look to section 767 of the Restatement (Second) of Torts. This section provides the following factors for consideration: 1) the nature of the actor’s conduct; 2) the actor’s motive; 3) the interests of the other with which the actor’s conduct interferes; 4) the interests sought to be advanced by the actor; 5) the proximity or remoteness of the actor’s conduct to interference, and 6) the relationship between the parties.

Steffy & Son, Inc. v. Citizens Bank of Pennsylvania, 7 A.3d 278, 288 (Pa.Super.2010) (quoting Strickland v. Univ. of Scranton, 700 A.2d 979, 985 (Pa.Super.1997) (citations omitted)).

Usually, the tort of contractual interference is subject to a two-year statute. 42 Pa.C.S.A.

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Bluebook (online)
54 A.3d 352, 2012 Pa. Super. 173, 2012 Pa. Super. LEXIS 2061, Counsel Stack Legal Research, https://law.counselstack.com/opinion/maverick-steel-co-v-dick-corporationbarton-malow-pasuperct-2012.