Opti-Copy, Inc. v. Dalpe

2 Mass. L. Rptr. 597
CourtMassachusetts Superior Court
DecidedOctober 6, 1994
DocketNo. 92-3151
StatusPublished

This text of 2 Mass. L. Rptr. 597 (Opti-Copy, Inc. v. Dalpe) is published on Counsel Stack Legal Research, covering Massachusetts Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Opti-Copy, Inc. v. Dalpe, 2 Mass. L. Rptr. 597 (Mass. Ct. App. 1994).

Opinion

McHugh, J.

I. BACKGROUND

The individual defendants in this case are former employees of the plaintiff. They left the plaintiff to work for the defendant, Graphics LXCorp. (“GLXj. Plaintiff claimed in this action that the individual defendants and GLX were engaging in unfair competition and a variety of related acts. After the action started, defendants asserted a series of counterclaims, including a claim that plaintiffs commencement of this action itself amounted to an abuse of process and, ás a result, a violation of G.L.c. 93A.

After trial, the jury returned a verdict in favor of defendants on all of the plaintiffs claims. The jury found for the individual defendants on their claims for abuse of process and knowing and willful violations of G.L.c. 93A1 but also found that their damages were zero. The jury also found that plaintiff wrongfully interfered with the advantageous relations between GLX and third parties, that such interference was a knowing and willful violation of G.L.c. 93A but again that the damages were zero. Finally, the jury found that commencement of this action against GLX amounted to an abuse of process, that the abuse of process amounted to a knowing and willful violation of G.L.c. 93A and that the corporation suffered as a consequence damages in the amount of $625,000.

In the wake of those verdicts, the parties have filed a series of motions that are resolved, for the following reasons, in the following fashion:

II. PLAINTIFF’S MOTION FOR JUDGMENT N.O.V. OR FOR A NEW TRIAL

A. Standard of Review

In considering a motion for judgment n.o.v., the court cannot weigh conflicting evidence. Instead, the court must uphold the verdict as long as “anywhere in the evidence, from whatever source derived, any combination of circumstances could be found from which a reasonable inference could be drawn in favor” of the verdict winner. Brown v. Gerstein, 17 Mass.App.Ct. 558, 560 (1984).

The standard for ruling on a motion for a new trial is less constricting. Nevertheless, in ruling on such a motion, the trial judge cannot simply act as a thirteenth juror. See Clapp v. Haynes, 11 Mass.App.Ct. 895, 896 (1980), quoting Borras v. Sea-Land Serv., [598]*598Inc., 586 F.2d 881, 887 (1st Cir. 1978). Instead, the trial judge may “set aside the verdict only if he [or she] is satisfied that the jury failed to exercise an honest and reasonable judgment in accordance with controlling principles of law.” Hartmann v. Boston Herald-Traveler Corp., 323 Mass. 56, 60 (1948). In other words, the question to be faced when the trial judge is presented with a motion for a new trial is whether allowance of the motion is necessary to prevent a failure of justice. Davis v. Boston Elevated Railway Co., 235 Mass. 482, 495-96 (1920). In ruling on the motion, the trial judge “may, and indeed should, judge credibility and weigh conflicting evidence.” Smith & Zobel, Rules Practice, 8 Mass. Prac. Series 442 (1977). In the last analysis

[a] motion to set aside a verdict as against the evidence is addressed to the sound discretion of the judge. “It is the right and duty of a judge presiding at the trial of a civil case to set aside the verdict of a jury when in his [or her] judgment it is so greatly against the weight of the evidence as to induce in his [or her] mind the strong belief that it was not due to a careful consideration of the evidence, but that it was the product of bias, misapprehension or prejudice.”

Solimene v. B. Grauel & Co., 399 Mass. 790, 802 (1987).

B. Judgment N.O.V.

Plaintiffs claim of entitlement to judgment n.o.v. is based chiefly on an erroneous legal premise, Le„ that an essential ingredient of a claim for abuse of process is proof that the allegedly abusive claim was groundless, baseless or otherwise without merit. That is not so. Under well established principles of Massachusetts law, the plaintiff in an action for abuse of process, unlike the plaintiff in an action for malicious prosecution, is not required to prove that the action was baseless or meritless. Fishman v. Brooks, 396 Mass. 643, 652 (1986).

To be sure, a party asserting a claim for abuse of process is required to prove that the claim was advanced for an ulterior purpose, i.e., for a purpose other than the one for which the legal proceeding was designed or intended. Gabriel v. Borowy, 324 Mass. 231, 236 (1949). Nevertheless, the ulterior purpose need not be the sole purpose for which the action was commenced; it is instead enough that the action was commenced “primarily to accomplish a purpose for which it [was] not designed.” Restatement (Second) of Torts §682; Datacomm Interface, Inc. v. Computerworld, Inc., 396 Mass. 760, 776 (1986).

Here there was sufficient evidence for a jury to conclude that plaintiff was concerned about the inroads GLX was making on plaintiffs share of the market, inroads achieved through what the jury concluded were perfectly legitimate marketing methods. The evidence also was sufficient to permit the jury to conclude that plaintiff commenced this action chiefly to chill both GLXs ability to obtain needed capital and its ability to persuade potential customers that it could provide long-term support for its complicated and sophisticated product. The evidence in that regard was, of course, not one-sided. But there was enough of it, qualitatively and quantitatively, to enable a jury to conclude that commencement of the action amounted to an abuse of process.

C. New Trial

Plaintiffs motion for a new trial on the question of damages presents a set of different considerations. For two reasons, I am of the opinion that that motion should be granted.

First of all, the verdict was strongly against the weight of the evidence. GLX proffered two basic components of its damage claim. First was the amount of time GLX employees were required to spend defending the action instead of pursuing corporate business activities. Second was the action’s assertedly negative impact on GLX’s ability to sell its product generally and to six specific customers.

The evidence was sufficient to enable a jury to return a verdict compensating GLX for its lost employee time. The evidence suggested that the value of that time was in the range of $42,000 to $57,000. But the overwhelming weight of the evidence was that the action had nothing to do with GLX’s hoped-for profits from the six specific sales on which it focussed. GLX did not ultimately consummate sales to Moore Data Systems, Montgomery News,2 and Havertown Printing for reasons wholly independent of the action’s commencement or progress. Moreover, the overwhelming weight of the evidence with respect to R.R. Donnelly, Automated Graphics and ZBR Publication is that the sales discussions never passed from the stage of preliminary negotiations to the realistic expectancy of a sale.

There was, to be sure, testimony about the impact of the action on GLX’s overall ability to raise funds after the action was filed in May of 1992.

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Davis v. Boston Elevated Railway Co.
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Hartmann v. Boston Herald-Traveler Corp.
80 N.E.2d 16 (Massachusetts Supreme Judicial Court, 1948)
Gabriel v. Borowy
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Datacomm Interface, Inc. v. Computerworld, Inc.
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Clapp v. Haynes
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2 Mass. L. Rptr. 597, Counsel Stack Legal Research, https://law.counselstack.com/opinion/opti-copy-inc-v-dalpe-masssuperct-1994.