RJM Sales & Marketing, Inc. v. Banfi Products Corp.

546 F. Supp. 1368, 1982 U.S. Dist. LEXIS 14726
CourtDistrict Court, D. Minnesota
DecidedSeptember 21, 1982
DocketCiv. 4-81-212
StatusPublished
Cited by44 cases

This text of 546 F. Supp. 1368 (RJM Sales & Marketing, Inc. v. Banfi Products Corp.) is published on Counsel Stack Legal Research, covering District Court, D. Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
RJM Sales & Marketing, Inc. v. Banfi Products Corp., 546 F. Supp. 1368, 1982 U.S. Dist. LEXIS 14726 (mnd 1982).

Opinion

MEMORANDUM AND ORDER

MacLAUGHLIN, District Judge.

This diversity case arises out of the plaintiff’s 12 count amended complaint alleging breach of contract and other causes of action. This matter is before the Court on the defendant’s motion to dismiss under Rule 37 of the Federal Rules of Civil Procedure, the defendant’s motion for summary judgment, and the defendant’s appeal from the United States Magistrate’s order granting the plaintiff leave to amend its complaint.

FACTS

The defendant Banfi Products Corp. (Banfi) is a New York corporation engaged in the manufacture, sale, and distribution of various beverages. Banfi is also a leading importer of wines, including its popular brand Riunite. Banfi markets its wines through distributors who in turn promote and sell the wines to retailers. Banfi’s distributor in Minnesota was Griggs, Cooper & Co.

The plaintiff RJM Sales & Marketing, Inc. (RJM), a Minnesota corporation, is a brokerage organization representing various beverage manufacturers. The function of a broker is to help promote and market a company’s products. In the case of beverages, this role includes distributing advertising and promotional material, contacting distributors and retailers, training and educating sales personnel, and encouraging retailers to display the product prominently in their stores.

Prior to October, 1979, Banfi was dissatisfied with the sale and promotion of its products in Minnesota. It considered engaging a broker, and began discussing a contract with RJM. At this time, RJM was a broker for Glenmore Distillers, Seagrams, W.A. Taylor & Co., and Sambuca Romana. RJM had never represented a wine compa *1371 ny. Banfi and RJM officials discussed a target range of sales, commissions, promotional funds, and termination clauses. These negotiations culminated in a contract in the form of a letter of agreement dated October 15, 1979. The contract includes a termination clause which provides, in part:

Either party to this agreement may terminate it by giving thirty (30) days written notice to the other party. In the event of a termination by Banfi, we will not be responsible for any damages of any nature resulting from the termination of the relationship between the parties.

In January of 1981, 15 months after the signing of the contract, Banfi terminated RJM as its broker, effective February 15, 1981.

On May 1, 1981, Banfi hired Howard Mourer to become its broker for North and South Dakota. Mourer had previously been an RJM employee, but had submitted a formal resignation to RJM on April 6, 1981, effective May 1, 1981.

RJM filed a complaint against Banfi on April 22, 1981, asserting causes of action based on the Minnesota Franchise Act, violation of FTC Franchising Rules, breach of contract, common law fraud and misrepresentation, breach of fiduciary duty, tortious interference with contract in the hiring of Mourer, and unfair competition. On July 6, 1982, some 13 months after the filing of its original complaint, but before the Magistrate’s August 1, 1982, deadline for filing nondispositive motions, RJM moved to amend its complaint to allege Banfi’s violation of the federal antitrust laws. The Magistrate granted RJM’s motion and Banfi has appealed that order.

DISCUSSION

A. Defendant’s Motion to Dismiss

Banfi seeks dismissal of this suit under Rule 37 of the Federal Rules of Civil Procedure based on the refusal of RJM to cooperate in discovery. The circumstances giving rise to this motion are as follows. During the December 8, 1981, deposition of RJM’s president, Richard Mrocek, counsel for Banfi asked Mrocek to elaborate on certain “out of the ordinary expenses” incurred by RJM while serving as Banfi’s broker. Mrocek had referred to these expenses in an earlier letter to Banfi’s regional manager. Deposition of Richard Mrocek, Dec. 8, 1981, at 877-78. Mrocek responded that he had been referring to “rebates,” which he defined as “money going back to the retailers for purchasing products.” Id. at 879. When asked whether he or anyone else at RJM had ever given a rebate, Mrocek initially responded that he was “sure there have been some instances,” id. at 880, then stated that he knew of no cash rebates given before February 15, 1981, the effective date of Banfi’s termination of RJM as its broker. Id. at 891-92. On the advice of counsel, Mrocek refused to answer questions regarding whether rebates were given after February 15, 1981, on relevance grounds. Counsel for Banfi then made a motion before the United States Magistrate for an order compelling Mrocek to answer questions regarding rebates. The Magistrate granted that motion over RJM’s relevance objections. At the reconvened deposition several months later, Mrocek again refused to answer questions regarding rebates that may have been given after February 15, 1981, asserting for the first time his fifth amendment privilege against self-incrimination. 1

When a party or its agent refuses to comply with a discovery order, Rule 37 permits a court to “make such orders in regard to the failure as are just Fed.R. Civ.P. 37(b)(2). Dismissal of the action is only one of several sanctions available to a court. Other sanctions include an order that matters to which the disobedient party refuses to permit discovery are taken to be established against that party, id. (b)(2)(A), *1372 or an order refusing to allow the disobedient party to support designated claims, id. (b)(2)(B).

Banfi has cited a number of cases in which courts, under similar circumstances, have ordered dismissal on the principle that a party should not be allowed to use the shield of the fifth amendment as a sword to cut off the opposing party’s access to relevant information. E.g., Lyons v. Johnson, 415 F.2d 540, 542 (9th Cir. 1969), cert. denied, 397 U.S. 1027, 90 S.Ct. 1273, 25 L.Ed.2d 538 (1970). Here, the Court is of the view that the extreme sanction of dismissal is not warranted at this time. Mrocek testified that he did not give any cash rebates during the period that RJM served as Banfi’s broker and knew of no other RJM employee who did so. Thus, the only issue is whether Mrocek, or others, gave cash rebates after RJM had been terminated as Banfi’s broker. Counsel for Banfi argued that this issue is relevant because it might affect the measure of damages, if any, to which RJM is entitled, or the availability of equitable relief. 2

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Bluebook (online)
546 F. Supp. 1368, 1982 U.S. Dist. LEXIS 14726, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rjm-sales-marketing-inc-v-banfi-products-corp-mnd-1982.