Se. Anesthesiology Consultants, PLLC v. Rose, 2019 NCBC 51.
STATE OF NORTH CAROLINA IN THE GENERAL COURT OF JUSTICE SUPERIOR COURT DIVISION GUILFORD COUNTY 17 CVS 9002 MASTER FILE (related case 18 CVS 2955)
SOUTHEAST ANESTHESIOLOGY CONSULTANTS, PLLC and MEDNAX SERVICES, INC.,
Plaintiffs,
v.
GEORGE S. ROSE, M.D.; W. EDMOND FITZGERALD, M.D.; ADAM HODIERNE, M.D.; DAVID C. JOSLIN, M.D.; J. TERRILL MASSAGEE, M.D.; KEVIN D. OSSEY, M.D.; DANIEL SINGER, M.D.; ROSE ANESTHESIA, PLLC; ANESTHESIOLOGY CONSULTANTS OF NORTH CAROLINA, PLLC; and THE MOSES ORDER AND OPINION ON H. CONE MEMORIAL HOSPITAL DEFENDANT CONE HEALTH’S OPERATING CORPORATION d/b/a PARTIAL MOTION TO DISMISS CONE HEALTH,
Defendants.
PETER CARIGNAN, M.D.; CHARLENE EDWARDS, M.D.; ROBERT FITZGERALD, M.D.; WILLIAM E. FITZGERALD, JR., M.D.; MICHAEL A. FOSTER, M.D.; JOHN R. GERMEROTH, M.D.; JOHN F. HATCHETT, JR., M.D.; ADAM HODIERNE, M.D.; KEVIN D. HOLLIS, M.D.; CARSWELL JACKSON, M.D.; KYLE E. JACKSON, M.D.; DAVID C. JOSLIN, M.D.; JAMES T. MASSAGEE, M.D.; CHRISTOPHER P. MOSER, M.D.; [Type here]
KEVIN D. OSSEY, M.D.; GEORGE ROSE, M.D.; JAMES D. SINGER, M.D.; STEPHEN E. TURK, M.D.; and ANESTHESIOLOGY CONSULTANTS OF NORTH CAROLINA, PLLC,
SOUTHEAST ANESTHESIOLOGY CONSULTANTS, PLLC; AMERICAN ANESTHESIOLOGY, INC.; MEDNAX, INC.; MEDNAX SERVICES, INC.; and ERIC W. MASON, M.D.,
1. THIS MATTER is before the Court on Defendant The Moses H. Cone
Memorial Hospital Operating Corporation d/b/a Cone Health’s (“Cone Health”)
Partial Motion to Dismiss (the “Motion”) pursuant to Rule 12(b)(6) of the North
Carolina Rules of Civil Procedure (“Rule(s)”). (EFC No. 19.) For the reasons set forth
herein, the Court GRANTS in part and DENIES in part the Motion.
Nelson Mullins Riley & Scarborough LLP, by Noah H. Huffstetler, III, Mark A. Stafford, and Candace Friel, for Plaintiffs Southeastern Anesthesiology Consultants, PLLC and MEDNAX Services, Inc.
Fox Rothschild LLP, by Maureen Demarest Murray, Patrick M. Kane, and Ellis William Martin, for Defendant The Moses H. Cone Memorial Hospital Operating Corporation d/b/a Cone Health.
Robinson, Judge. [Type here]
I. FACTUAL BACKGROUND
2. The Court does not make findings of fact on a motion to dismiss pursuant
to Rule 12(b)(6), but only recites those factual allegations that are relevant and
necessary to the Court’s determination of the Motion. This statement of facts
assumes all well-pleaded factual allegations to be true solely for purposes of the
Motion. See Krawiec v. Manly, 370 N.C. 602, 606, 811 S.E.2d 542, 546 (2018)
A. The Parties
3. Plaintiff Southeastern Anesthesiology Consultants, PLLC (“SAC”) is a
professional limited liability company organized and existing under the laws of the
State of North Carolina. (First Am. Compl. ¶ 1, ECF No. 3 [“FAC”].) SAC is wholly
owned by a licensed anesthesiologist, Eric W. Mason, M.D. (“Dr. Mason”), and
provided professional anesthesiology services in Guilford County, North Carolina
prior to the initiation of this litigation. (FAC ¶ 14.)
4. Plaintiff MEDNAX Services, Inc. (“MEDNAX”) is a corporation organized
and existing under the laws of the state of Florida. (FAC ¶ 2.) MEDNAX provides
medical practice management and administrative services for SAC pursuant to an
agreement between the entities (the “Management Services Agreement”). (FAC ¶
19.) SAC and MEDNAX are referred to collectively herein as “Plaintiffs.”
5. Defendants George S. Rose, M.D. (“Dr. Rose”), W. Edmond Fitzgerald, M.D.,
Adam Hodierne, M.D., J. Terrill Massagee, M.D., Kevin D. Ossey, M.D. (“Dr. Ossey”),
and Daniel Singer, M.D., are citizens and residents of Guilford County, North
Carolina, (FAC ¶¶ 4–6, 8–10), and Defendant David C. Joslin, M.D. (“Dr. Joslin”) [Type here]
(collectively, “the Individual Defendants”) is a citizen and resident of Iredell County,
North Carolina, (FAC ¶ 7).
6. Defendant Rose Anesthesia, PLLC (“Rose Anesthesia”) is a professional
limited liability company organized by Dr. Rose in or around October 2, 2017 and
existing under the laws of the State of North Carolina. (FAC ¶ 11.) The Individual
Defendants have acted and served as “members, employees, representatives[,] or
agents” of Rose Anesthesia since its founding. (FAC ¶ 11.)
7. Defendant Anesthesiology Consultants of North Carolina, PLLC (“ACNC”)
is a professional limited liability company organized by Dr. Ossey on or around
October 18, 2017, and existing under the laws of the State of North Carolina. (FAC
¶ 12.) As with Rose Anesthesia, (see FAC ¶ 11), the Individual Defendants are alleged
to have acted and served as “members, employees, representatives[,] or agents” of
ACNC since its founding, (FAC ¶ 12). Rose Anesthesia and ACNC are referred to
collectively herein as the “PLLC Defendants.”
8. Cone Health is a non-profit corporation organized and existing under the
laws of the State of North Carolina with its principal place of business in Guilford
County, North Carolina. (FAC ¶ 13.) Cone Health operates The Moses H. Cone
Memorial Hospital (“Cone Memorial Hospital”). (FAC ¶ 16.) As alleged, Cone
Memorial Hospital “is the largest and most comprehensive medical center within the
local five-county region[,]” with over 500 beds and perform[s] approximately 25,000
surgeries annually, the substantial majority of which require the services of SAC’s
anesthesiologists (the “SAC Physicians”). (FAC ¶ 16.) The Individual Defendants, [Type here]
the PLLC Defendants, and Cone Health are referred to collectively herein as
“Defendants.”
B. The Agreements
9. Pursuant to the Management Services Agreement, MEDNAX provides
various administrative, recruiting and credentialing, and contract negotiation
services to SAC in exchange for SAC’s payment to MEDNAX of an annual fee. (FAC
¶¶ 20–21.) Plaintiffs allege that Defendants knew of the existence of the
Management Services Agreement at all times relevant to this action. (FAC ¶ 19.)
10. On or around November 1, 2010, SAC purchased 100% of the stock and
personal goodwill of each shareholder in Greensboro Anesthesia Physicians, P.C.
(“GAP”) and other assets in which many of the Individual Defendants were
shareholders pursuant to a Stock and Personal Goodwill Purchase Agreement (the
“Purchase Agreement”). (FAC ¶¶ 23–24.) As part of the purchase, SAC paid “tens of
millions of dollars” to several of the Individual Defendants who were owners of GAP.
(FAC ¶ 23.)
11. Following the purchase, the SAC Physicians, including the Individual
Defendants, were employees of SAC until October 31, 2017 (the “Departure Date”).
(FAC ¶ 22.) As employees of SAC, the Individual Defendants each received in excess
of $400,000 annually as compensation for their services. (FAC ¶ 28.) As part of their
employment with SAC, the Individual Defendants and other SAC Physicians each
executed written agreements with SAC, or its predecessor in interest, GAP, certain [Type here]
of which were amended from time to time (the “Employment Agreement(s)”). (FAC ¶
27.)
12. The Employment Agreements contain restrictive covenants that prohibit
the SAC Physicians, including the Individual Defendants from providing professional
anesthesiology services, either directly or through entities such as the PLLC
Defendants, in competition with SAC within a specific geographic region and for a
“reasonable period of time” following the termination of their employment with SAC
(the “Non-Competition Covenants”). (FAC ¶ 41.) Additionally, Plaintiffs allege that
the Employment Agreements prohibit the SAC Physicians, directly or through
entities such as the PLLC Defendants, from either soliciting SAC’s patients or
inducing its employees to terminate their relationships with SAC (the “Non-
Solicitation Covenants”). (FAC ¶ 41.) At all times relevant to this action, Cone
Health knew of the Employment Agreements. (FAC ¶ 27; see FAC ¶ 67.)
13. Under the Purchase Agreement, GAP assigned to SAC an agreement,
effective November 1, 2010, under which the SAC Physicians served as the exclusive
providers of anesthesia services to Cone Health facilities (as assigned and amended
from time to time, the “Cone Health Agreement). (FAC ¶¶ 16, 25–26.) According to
Plaintiffs, “[b]ut for th[e] assignment” by GAP to SAC of the Cone Health Agreement,
SAC would not have executed the Purchase Agreement, and MEDNAX would not
have loaned SAC the funds necessary to make the purchase. (FAC ¶ 25.)
14. Plaintiffs allege that the anesthesia services provided by the SAC
Physicians under the Cone Health Agreement “are essential to both emergency and [Type here]
scheduled surgical procedures.” (FAC ¶ 26.) Under the Cone Health Agreement,
“SAC remained the exclusive provider of anesthesia services for Cone Health” until
Cone Health “wrongfully and intentionally terminated” the agreement on November
1, 2017. (FAC ¶¶ 25, 55.) Plaintiffs allege that, at all times relevant to this action,
the SAC Physicians knew of the Cone Health Agreement. (FAC ¶ 18.)
C. Defendants’ Alleged Conspiracy and Breaches of the Agreements
15. In or around early 2017, SAC began negotiations with the Individual
Defendants and other SAC Physicians for possible increased compensation packages.
(FAC ¶ 29.) SAC offered the SAC Physicians “competitive . . . [and] greater
compensation [packages] than existed in the then-current [E]mployment
[A]greements,” which increased compensation packages would become effective on
November 1, 2017. (FAC ¶ 29.) However, at around this same time, the Individual
Defendants allegedly began “to act in concert, conspire[,] and collude with one
another . . . in order to form competing practices in the form of one or more of the”
Defendant PLLCs in an effort to “remove SAC from the relevant marketplace and to
exact for themselves additional profits from payors and the consuming public.” (FAC
¶ 30.)
16. Then, in or around June 2017, the Individual Defendants, through their
common counsel, threatened to file complaints against Plaintiffs with the North
Carolina Medical Board (“NCMB”) alleging purportedly illegal contractual
arrangements between SAC and MEDNAX and “ownership and operational structure
of SAC” in violation of NCMB rules and regulations. (FAC ¶ 31.) Plaintiffs contend [Type here]
the Individual Defendants’ threats served as a “pretext for implementing their
conspiracy and wrongful conduct and to improperly pressure SAC to accede to [the
Individual Defendants’] financial and contractual demands[.]” (FAC ¶ 31.) On or
around June 26, 2017, the Individual Defendants, through their counsel, sent SAC a
“’Notice of Breach of Employment Agreements and Intent to Terminate’ the
Employment Agreements of the Individual Defendants and certain of the other SAC
Physicians,” unless SAC cured its alleged breaches of the Employment Agreements
within thirty days. (FAC ¶ 32.) On June 29, 2017, the Individual Defendants filed
their complaint with the NCMB as threatened. (FAC ¶ 33.)
17. Plaintiffs further allege that the Individual Defendants’ counsel, on their
behalf, transmitted documents asserting that SAC breached its obligations under the
Employment Agreements, and that SAC and MEDNAX’s purported illegal
relationship and operations provided the Individual Defendants with the right to
terminate their Employment Agreements “for cause” and “relieved [them] of their
obligations” under the Non-Competition Covenants and Non-Solicitation Covenants.
(FAC ¶¶ 34, 42.) Plaintiffs contend the Individual Defendants had no basis for their
allegations, (see FAC ¶ 35), and the NCMB “declin[ed] to take any action in response
to the complaint[,]” (FAC ¶ 43).
18. On or around July 19, 2017, the Individual Defendants’ counsel sent SAC
another notice that the Individual Defendants and “certain other of the SAC
Physicians” intended not to renew their Employment Agreements upon their
expiration on October 31, 2017 or other dates as provided in the specific Employment [Type here]
Agreements. (FAC ¶ 36.) Moreover, Plaintiffs allege that, in the months leading up
to the filing of this action, the Individual Defendants themselves, and acting as
members of the PLLC Defendants after their formation in October 2017,
“intentionally, with actual malice, and without justification or recognized privilege,”
published to Cone Health their allegations against Plaintiffs contained in the notices
sent to SAC and the complaint filed with the NCMB in June 2017. (FAC ¶ 37.)
Plaintiffs allege this publication of “disparage[ing] and defam[atory] statements” was
designed to “cause Cone Health to cease or terminate” the Cone Health Agreement
as part of the Individual Defendant’s “conspiracy to exact exorbitant sums from SAC.”
(FAC ¶ 37.)
19. Plaintiffs additionally allege that, despite the NCMB’s refusal to consider
the Individual Defendants’ complaint based on the same allegations, the Individual
Defendants nevertheless conspired to publish these same false, disparaging, and
defamatory statements to solicit certain other SAC Physicians and “encourage[] them
to breach and/or terminate their [Employment Agreements] and/or prevent SAC from
entering into new prospective contractual relations with” the SAC Physicians. (FAC
¶¶ 38, 44.) Cone Health also allegedly asserted to “persons outside their employ such
as the Individual Defendants and their counsel, that SAC was unable to fulfill its
obligations under the Cone Health Agreement to provide sufficient coverage for
anesthesia services.” (FAC ¶ 70.) Further, Plaintiffs allege that a member of Cone
Health’s Medical Staff Office “leaked and published inaccurate and otherwise
defamatory information concerning Plaintiffs to a physician” in an attempt to [Type here]
discourage the physician from working with SAC, calling the physician a “scab” if he
were to do so. (FAC ¶ 70.)
20. Plaintiffs aver that SAC has been damaged and “was not permitted” to
fulfill its obligations to Cone Health as of November 1, 2017 because of the Individual
Defendants’ conduct, both personally by them and through the PLLC Defendants,
“with Cone Health’s complicity and collusion[.]” (FAC ¶ 45.)
21. Faced with the prospect that the SAC Physicians would leave SAC’s employ
at the end of their respective Employment Agreement periods, Plaintiffs devised a
new staffing proposal that, if acceptable to Cone Health, would allow SAC to continue
providing exclusive anesthesia services to Cone Health under the Cone Health
Agreement. (FAC ¶ 48.) Accordingly, Plaintiffs: (i) sought out and persuaded
physicians from other areas of North Carolina, including “hospital-credentialed
physicians employed by SAC” or its affiliates, to “become credentialed . . . at Cone
Health on a temporary basis[;]” and (ii) advertised nationwide for permanent
positions for well-qualified anesthesiologists. (FAC ¶ 48.) Plaintiffs contend their
efforts in this regard were “more than sufficient” to meet Cone Health’s and its
patients’ needs and complied “with the credentialing provisions of Cone Health’s
Medical Staff Bylaws, Rules[,] and Regulations” (the “Bylaws”). (FAC ¶ 48.)
22. Furthermore, Plaintiffs allege that Cone Health was aware of Plaintiffs’
efforts in this regard by August 2017. (FAC ¶ 49.) Plaintiffs’ proposed staffing plan
was “consistent with prior instructions over [SAC’s] course of dealing with Cone
Health[,]” when providing Cone Health with information necessary to credential [Type here]
anesthesiologists on a locum tenens basis.1 (See FAC ¶ 49.) For nearly two months,
Cone Health lodged no objection to SAC’s efforts, leading SAC to “reasonably assume
that the use of locum tenens” anesthesiologists—a practice expressly allowed for
under the Bylaws—was acceptable to Cone Health. (FAC ¶ 50.)
23. Then, on October 24, 2017, Cone Health’s President, Terrance Akin
(“Akin”), “definitively stated Cone Health would refuse any and all locum tenens
credentialing requests submitted by SAC”—a decision allegedly based solely on the
personal preferences of certain Cone Health surgeons, and one not permitted by the
Cone Health Agreement, the Bylaws, or applicable law (FAC ¶ 51 (emphasis in
original).) Nevertheless, Akin advised that Cone Health would consider a staffing
plan so long as it included North Carolina-licensed anesthesiologists practicing at
entities affiliated with SAC. (FAC ¶ 51.) Based on Akin’s representation, “Plaintiffs
worked diligently and provided Cone Health with a staffing plan comprised of more
than [thirty] North Carolina-licensed and based anesthesiologists, all credentialed at
reputable hospitals[,]” several of whom had previously been credentialed at Cone
Health-affiliated entities. (FAC ¶ 52.)
24. On October 26, 2017, Akin spoke with the President of MEDNAX National
Medical Group, David Clark (“Clark”), and represented that Cone Health would
consider “non-locums” anesthesiologists from around North Carolina if SAC
presented such a plan within twenty-four hours. (FAC ¶ 53.) Clark left a voicemail
1 “Locum tenens” is a Latin phrase meaning “holding the place” and often used to refer to a
“deputy; [] substitute; [or] representative.” Locum Tenens, Black’s Law Dictionary (10th ed. 2014). [Type here]
for Akin around 6:00 p.m. that evening describing SAC’s proposed staffing plan and
representing that the details of the plan would be submitted in writing by the
morning. (FAC ¶ 54.) Within thirty minutes of Clark’s leaving the voicemail, Akin
e-mailed a letter dated October 26, 2017 giving SAC notice of Cone Health’s intention
to terminate the Cone Health Agreement effective November 1, 2017, at least in part
on the basis that SAC had breached and “repudiated” the Cone Health Agreement.
(FAC ¶ 55.) Akin’s e-mailed letter contained no response to SAC’s proposed plan
described generally in Clark’s voicemail. (FAC ¶ 55.) The First Amended Complaint
does not allege that Akin had received or listened to Clark’s voicemail in advance of
sending the October 26 letter.
25. Early on October 27, 2017, Akin texted Clark stating that he would consider
SAC’s proposed staffing plan, which SAC then submitted to Cone Health in writing,
as promised. (FAC ¶ 56.) Within hours, however, Akin again sent a letter to SAC
refusing to consider SAC’s proposed plan, “reiterating the termination of the Cone
Health Agreement[,]” and referring further discussion of the matter of Cone Health’s
outside counsel. (FAC ¶ 56.)
26. Just before noon on October 31, 2017, Cone Health’s counsel e-mailed a
letter to SAC’s counsel representing that Cone Health “remain[ed] willing to discuss
this matter and to work with you toward resolving these issues.” (FAC ¶ 57.) The
letter invited Plaintiffs’ representatives to meet with Cone Health’s representatives
the same day. (FAC ¶ 57.) Plaintiffs’ counsel advised Cone Health that SAC
representatives could travel to Greensboro for a meeting that day between 5:00 p.m. [Type here]
and 6:00 p.m. (FAC ¶ 58.) Though Cone Health “initially signaled it would consider
such a meeting[,]” it ultimately rejected Plaintiffs’ offer to meet. (FAC ¶ 58.) When
Plaintiffs’ representatives and counsel offered to move the meeting to 4:30 p.m., Cone
Health again rejected the offer. (FAC ¶ 58.) Undeterred, at 2:38 p.m, Plaintiffs’
counsel notified Cone Health that Dr. Mason and Plaintiffs’ counsel “could meet with
Cone Health as soon as they could drive to Cone Health’s outside counsel’s office.”
(FAC ¶ 59.) Finally, Cone Health agreed to a meeting, which began at 4:30 p.m. (FAC
¶ 59.)
27. Just over an hour before the meeting was to begin, Cone Health’s outside
counsel e-mailed SAC at 3:21 p.m. advising that “Cone Health has finalized
arrangements with another anesthesia group to provide service to Cone Health
beginning on November 1[, 2017].” (FAC ¶ 60.) Cone Health’s representatives
confirmed that this “anesthesia group” was one of the PLLC Defendants, (FAC ¶ 60),
though the First Amended Complaint does not specify which of the two PLLC
Defendants Cone Health was referring to or whether Cone Health identified the
PLLC Defendant with which it had contracted. Cone Health further represented to
SAC that, in light of its new exclusive agreement with (one of) the PLLC Defendants,
“no SAC anesthesiologist could work for Cone Health as of midnight October 31,
2017.” (FAC ¶ 60.) Despite Cone Health’s vacillations, SAC continued its efforts to
provide an alternative staffing proposal and “had more than fifty [ ] qualified
anesthesiologists standing ready, willing[,] and able to provide services for Cone [Type here]
Health on November 1, 2017 and thereafter.” (FAC ¶ 60.) SAC was also continuing
its negotiations with the SAC Physicians during this period. (See FAC 29.)
28. According to Plaintiffs, Akin and Cone Health “never intended to consider
in good faith” SAC’s proposed staffing plan or to allow Cone Health’s credentialing
personnel to consider the plan pursuant to the Bylaws during the course of their
negotiations, though Cone Health had the time and ability to do so. (FAC ¶¶ 61, 62.)
Moreover, the Cone Health Agreement provided that, “upon its termination, the
hospital privilege of all physician employees of SAC [would] automatically
terminate[;]” yet, Cone Health and Akin “somehow deemed all the physicians now
associated with one of the PLLC[ Defendants] to be privileged by Cone Health as of
the next day, November 1, 2017.” (FAC ¶ 62.)
29. Plaintiffs contend the explanation for Cone Health’s actions is clear: “Upon
information and belief,” Cone Health had “joined the conspiracy” with the Individual
Defendants and the Defendant PLLCs after “decid[ing] to breach [the Cone Health
Agreement] as a result of the wrongful actions of the [other Defendants]” and “at
some time prior” to October 23, 2017. (FAC ¶¶ 61, 63.) According to Plaintiffs, at the
time it was negotiating with SAC, Cone Health had “already—and secretly—reached
an agreement in principle with the other Defendants or one or more of them[] to use
them on an exclusive basis,” in order to “exclude Plaintiffs from the Greensboro
market[.]” (FAC ¶¶ 63, 80.)
30. Following the termination of the Cone Health Agreement and Employment
Agreements on October 31, 2017, the Individual Defendants and PLLC Defendants, [Type here]
“with the active assistance and collusion of Cone Health[,]” continued to solicit other
SAC Physicians who had not already given SAC notice of their intent to leave its
employ, including Dr. Jennifer Allan (“Dr. Allan”) and Dr. Richard S. Guidetti (“Dr.
Guidetti”). Thereafter, in November 2017, “Cone Health permitted Drs. Allan and
Guidetti to work at Cone Health facilities[.]” (FAC ¶ 67.) After SAC informed Cone
Health that Cone Health had breached the Cone Health Agreement, Cone Health
“demanded” that Dr. Allan and Dr. Guidetti “obtain from SAC a waiver of their”
respective Non-Competition Covenants “in order to continue to work at” Cone
Health’s facilities. (FAC ¶ 67.) According to Plaintiffs, this conduct indicates that
Cone Health recognized “and tacitly admit[ed]” that its interference with the Non-
Competition covenants in the Employment Agreements with the SAC Physicians was
wrongful. (FAC ¶ 67.)
II. PROCEDURAL BACKGROUND
31. The Court sets forth here only those portions of the procedural history
relevant to its determination of the Motion.
32. Plaintiffs initiated this action (Case No. 17 CVS 9002) by filing their
Complaint on November 9, 2017, which did not name Cone Health as a party. (See
Compl., ECF No. 12.)
33. On December 13, 2017, Plaintiffs filed their First Amended Complaint as
of right, adding several new allegations and adding Cone Health as a defendant. (See
generally FAC.) The First Amended Complaint asserts claims against Cone Health
for: defamation; civil conspiracy; breach of contract; breach of implied covenant of [Type here]
good faith and fair dealing; tortious interference with contract, prospective business
relations, and economic advantage; breach of duty of loyalty; common law unfair
competition; and unjust enrichment. (FAC ¶¶ 68–116.)
34. Cone Health filed the Motion on February 12, 2018. The Motion has been
fully briefed, and the Court held a hearing on the Motion on September 26, 2018 at
which all parties were represented by counsel.
35. The Motion is ripe for resolution.
III. LEGAL STANDARD
36. In ruling on a motion to dismiss pursuant to Rule 12(b)(6), the Court
reviews the allegations in the First Amended Complaint in the light most favorable
to Plaintiffs. See Christenbury Eye Ctr., P.A. v. Medflow, Inc. 370 N.C. 1, 5, 802 S.E.2d
888, 891 (2017). The Court’s inquiry is “whether, as a matter of law, the allegations
of the complaint, treated as true, are sufficient to state a claim upon which relief may
be granted under some legal theory[.]” Harris v. NCBC Nat’l Bank, 85 N.C. App. 669,
670, 355 S.E.2d 838, 840 (1987). The Court accepts all well-pleaded factual
allegations in the First Amended Complaint as true. See Krawiec, 370 N.C. at 606,
811 S.E.2d at 546. The Court is therefore not required “to accept as true allegations
that are merely conclusory, unwarranted deductions of fact, or unreasonable
inferences.” Good Hope Hosp., Inc. v. N.C. Dep’t of Health & Human Servs., 174 N.C.
App. 266, 274, 620 S.E.2d 873, 880 (2005) (citation omitted).
37. Our Supreme Court has noted that “[i]t is well-established that dismissal
pursuant to Rule 12(b)(6) is proper when ‘(1) the complaint on its face reveals that no [Type here]
law supports the plaintiff’s claim; (2) the complaint on its face reveals the absence of
facts sufficient to make a good claim; or (3) the complaint discloses some fact that
necessarily defeats the plaintiff’s claim.’” Corwin v. British Am. Tobacco PLC, 371
N.C. 605, 615, 821 S.E.2d 729, 736–37 (2018) (quoting Wood v. Guilford County, 355
N.C. 161, 166, 558 S.E.2d 490, 494 (2002)). This standard of review for Rule 12(b)(6)
is the standard our Supreme Court “uses routinely . . . in assessing the sufficiency of
complaints in the context of complex commercial litigation.” Id. at 615, 821 S.E.2d at
737 n.7 (citations omitted).
IV. ANALYSIS
38. The Motion seeks dismissal of Plaintiffs’ claims against Cone Health for: (i)
breach of implied covenant of good faith and fair dealing; (ii) tortious interference
with contract, prospective business relationships, and prospective economic
advantage; and (iii) civil conspiracy.2
A. Breach of Implied Covenant of Good Faith and Fair Dealing
39. Plaintiffs’ claim for breach of the implied covenant of good faith and fair
dealing alleges that Cone Health breached the covenant by its “misleading actions
and statements with regard to SAC’s proposed staffing plans during August through
October 2017, . . . and its secret and wrongful collusion and conspiracy with the other
Defendants to oust SAC from the local market place, . . . with the specific intent to
defeat the purpose of the Cone Health Agreement[.]” (FAC ¶ 91.) Plaintiffs also
2 The Motion also seeks dismissal of Plaintiffs’ claim for defamation.Plaintiffs voluntarily dismissed their defamation claim without prejudice on September 26, 2018, (ECF No. 85), thus mooting Cone Health’s request for dismissal of that claim. As a result, the Court does not address that claim here. [Type here]
assert a claim against Cone Health for breach of the Cone Health Agreement. (See
FAC ¶¶ 85–86.) Cone Health does not seek dismissal of the breach of contract claim;
rather, the Motion targets only Plaintiffs’ good faith and fair dealing claim.
40. “Under North Carolina law, every contract contains ‘an implied covenant
of good faith and fair dealing that neither party will do anything which injures the
rights of the other to receive the benefits of the agreement.’” Cordaro v. Harrington
Bank, FSB, 817 S.E.2d 247, 256 (N.C. Ct. App. 2018) (quoting Bicycle Transit Auth.
v. Bell, 314 N.C. 219, 228, 333 S.E.2d 299, 305 (1985)). “A breach of the implied
covenant of good faith and fair dealing ‘requires the wrongful intent of a party to
deprive another party of its contractual rights.’” Herrera v. Charlotte Sch. of Law,
LLC, 2018 NCBC LEXIS 35, at *30 (N.C. Super. Ct. Apr. 20, 2018) (quoting RREF
BB Acq. v. MAS Props., L.L.C., 2015 NCBC LEXIS 61 at *47 (N.C. Super. Ct. June 9,
2015)).
41. Cone Health seeks dismissal of Plaintiffs’ claim for breach of the implied
covenant of good faith and fair dealing on two grounds. First, Cone Health contends
that the factual allegations supporting Plaintiffs’ good faith and fair dealing claim
are “the same facts” supporting Plaintiffs breach of contract claim. (Br. Supp. Cone
Health’s Partial Mot. to Dismiss 17, ECF No. 20 [“Br. Supp.”].) Cone Health argues
that the Court should therefore dismiss Plaintiffs’ independent good faith and fair
dealing claim as duplicative or “part and parcel” of Plaintiffs’ breach of contract claim.
(Br. Supp. 16–18.) Cone Health supports its first argument with two unpublished
North Carolina federal district court opinions, BioSignia, Inc. v. Life Line Screening [Type here]
of Am., Ltd., 2014 U.S. Dist. LEXIS 89678 (M.D.N.C. June 30, 2014), and Rezapour
v. Earthlog Equity Grp., Inc., 2013 U.S. Dist. LEXIS 92124 (W.D.N.C. July 1, 2013).
42. Generally, “where a party’s claim for breach of the implied covenant of good
faith and fair dealing is based upon the same acts as its claim for breach of contract,”
North Carolina courts “treat the former claim as ‘part and parcel’ of the latter.”
Cordaro, 817 S.E.2d at 256 (quoting Murray v. Nationwide Mut. Ins. Co., 123 N.C.
App. 1, 19, 472 S.E.2d 358, 368 (1996)). The North Carolina federal court decisions
relied on by Cone Health interpret this “part and parcel” language to suggest that
“the weight of North Carolina authority holds that a claim for breach of the covenant
of good faith and fair dealing based on facts identical to those supporting a breach of
contract claim should not be pursued separately.” BioSignia, 2014 U.S. Dist. LEXIS
89678, at *13 (dismissing such good faith and fair dealing claim while allowing breach
of contract claim to proceed and noting plaintiffs could “assert theories of breach of
good faith in support of its claims for breach of contract”); Rezapour, 2013 U.S. Dist.
LEXIS 92124, at *11–12 (“Since[] [p]laintiffs’ allegations of breach of the duty of good
faith and fair dealing center on alleged breaches of express contract terms, these
claims rise and fall with the underlying claims for breach of contract. Therefore,
[p]laintiffs’ allegations are duplicative of [p]laintiffs’ allegations of breach of contract
elsewhere in the complaint and will be dismissed as a freestanding claim for relief.”).
43. North Carolina state court decisions considering good faith and fair dealing
claims that are “part and parcel” of breach of contract claims, however, have
concluded that the two claims merely stand or fall together, not that the independent [Type here]
good faith and fair dealing claim should necessarily be dismissed as duplicative. See
Cordaro, 817 S.E.2d at 256 (affirming dismissal of good faith and fair dealing claim
that shared identical basis for breach of contract claim for which dismissal was also
affirmed); Haigh v. Superior Ins. Mgmt. Grp., 2017 NCBC LEXIS 100, at *12–17 (N.C.
Super. Ct. Oct. 24, 2017) (denying motion to dismiss under Rule 12(b)(6) good faith
and fair dealing claim that was “the same as the claim for” breach of contract where
motion to dismiss breach of contract claim was denied). The Court therefore
concludes that Cone Health’s argument for dismissal of Plaintiffs’ good faith and fair
dealing claim on this basis is unavailing.
44. Cone Health’s second argument is that Plaintiffs’ good faith and fair dealing
claim amounts to a claim for bad faith breach of contract, which North Carolina law
does not recognize in this context. (Reply Br. Further Supp. of Cone Health’s Partial
Mot. to Dismiss 9–10, ECF No. 58 [“Reply”].) In response to Cone Health’s contention
that the good faith and fair dealing claim are premised on allegations identical to
those support the breach of contract claim, Plaintiffs identify several distinct
allegations in support of their good faith and fair dealing claim. (See Pls.’ Br. Resp.
to Def.’s Partial Mot. to Dismiss 22, ECF No. 38 [“Br. Resp.”].) These allegations
include that Cone Health: (i) knew Plaintiffs intended to include locum tenens in
SAC’s proposed staffing plan but lodged no objection to the plan for two months while
Plaintiffs prepared to implement the plan, (FAC ¶¶ 49–53); (ii) later refused to
consider any proposed plan that included locum tenens physicians even though this
option was allowed for under the Cone Health Agreement, (FAC ¶¶ 51, 54–56); and [Type here]
(iii) refused to consider Plaintiffs’ attempts to resolve its objections and secretly
contracted with the Individual Defendants, all while purporting to negotiate with
Plaintiffs, (FAC ¶¶ 51–64). Plaintiffs then allege these “misleading actions and
statements regarding SAC’s proposed staffing plans . . . well all undertaken in bad
faith[] and with the specific intent to defeat the purpose of the Cone Health
Agreement[.]” (FAC ¶ 91.)
45. Cone Health contends that these allegations “indicate[] that [Plaintiffs’]
breach of the implied duty of good faith and fair dealing claim is actually an
attempted bad faith breach of contract claim[,]” which North Carolina only recognizes
where the parties to the contract bear certain “special relationships” not alleged to
exist here—e.g., insurance contracts and contracts for funeral services. (Reply 9–10
(citing Abbington SPE, LLC v. U.S. Bank, N.A., 352 F. Supp. 3d 508, 512 (E.D.N.C.
2016), aff’d, 698 Fed. App’x 750 (4th Cir. 2017); Ada Liss Grp. v. Sara Lee Corp., 2009
U.S. Dist. LEXIS 91792, at *42 n. 10 (M.D.N.C. Sept. 30, 2009)).)
46. The Court does not read the First Amended Complaint as attempting to
assert a bad faith breach of contract claim. Though Plaintiffs use the phrase “bad
faith” to characterize Cone Health’s conduct between August and October 2017, this
does not mandate a conclusion that Plaintiffs’ have failed to assert a breach of the
covenant of good faith and fair dealing claim. See, e.g., Haigh, 2017 NCBC LEXIS
100, at *13, 17 (denying motion to dismiss good faith and fair dealing claim where the
complaint alleged the defendant “acted in bad faith with respect to the [contracts] by [Type here]
negotiating and receiving its own direct commission[s] from” third parties (second
alteration in original)).
47. The Court concludes that Plaintiffs have set forth allegations sufficient to
state a claim for breach of the implied covenant of good faith and fair dealing. The
Motion therefore should be, and is, DENIED as to that claim.
B. Tortious Interference with Contract, Prospective Business Relationships, and Prospective Economic Advantage
48. Plaintiffs’ plead their tortious interference claim as a single claim against
all Defendants for “Tortious Interference with Contract, Prospective Business
Relationships, and Prospective Economic Advantage.” As to Cone Health,3 the Court
construes the First Amended Complaint as alleging that Cone Health tortiously
interfered: (i) with SAC’s contractual obligations to MEDNAX under the
Management Services Agreement; (ii) with certain of the SAC Physicians’, including
Dr. Allan’s and Dr. Guidetti’s, contractual obligations to SAC under their respective
Employment Agreements; and (iii) with SAC’s prospective business relations with the
anesthesiologists it proposed to submit for credentialing at Cone Health as part of
SAC’s proposed staffing plan in late October 2017 (the “Replacement
Anesthesiologists”). See Artistic S. Inc. v. Lund, 2015 NCBC LEXIS 113, at *26 (N.C.
3 In its brief in support of the Motion, Cone Health questions whether Plaintiffs intend to
assert against it a claim for tortious interference. (Br. Supp. 10.) Cone Health observes that Plaintiffs’ tortious interference claim in the First Amended Complaint is “virtually identical” to the one pleaded in Plaintiffs original Complaint in which Cone Health was not named as a defendant. (Br. Supp. 10.) Plaintiffs’ response to the Motion, however, makes clear that Plaintiffs intend to assert a tortious interference claim against Cone Health. (See Br. Resp. 8.) The Court therefore considers whether Plaintiffs have adequately alleged this claim against Cone Health. [Type here]
Super. Ct. Dec. 9, 2015) (construing similarly pleaded and styled tortious interference
claim in this manner).
49. To state a claim for tortious interference with contract, a complaint must
allege that:
(1) a valid contract [exists] between the plaintiff and a third-person which confers upon the plaintiff a contractual right against a third person; (2) the defendant knows of the contract; (3) the defendant intentionally induces the third person not to perform the contract; (4) and in doing so acts with justification; (5) resulting in actual damage to plaintiff.
United Labs., Inc. v. Kuykendall, 322 N.C. 643, 661, 370 S.E.2d 375, 387 (1988). As
this Court has often noted, “[t]he pleading standards for a tortious interference with
contract claim are strict.” Kerry Bodenhamer Farms, LLC v. Nature’s Pearl Corp.,
2017 NCBC LEXIS 27, at *16 (N.C. Super. Ct. Mar. 27, 2017) (alteration in original)
(quoting Urquhart v. Trenkelbach, 2017 NCBC LEXIS 12 at *15 (N.C. Super. Ct. Feb.
8, 2017)); see also Charah, LLC v. Sequoia Servs. LLC, 2019 NCBC LEXIS 18, at *13
(N.C. Super. Ct. Mar. 11, 2019); Wells Fargo Ins. Servs. USA v. Link, 2018 NCBC
LEXIS 42, at *47 (N.C. Super. Ct. May 8, 2018).
1. The Management Services Agreement
50. Plaintiffs allege that Cone Health tortiously interfered with the
Management Services Agreement by “destroying the economic value of SAC’s
Greensboro-based practice,” presumably in part by breaching the Cone Health
Agreement, which “caused SAC to be unable to fulfill its obligations to MEDNAX”
under the Management Services Agreement. (FAC ¶ 103.) As alleged, it appears
that only MEDNAX can assert a claim for tortious interference with the Management [Type here]
Services Agreement though the claim is brought by all Plaintiffs—i.e., SAC is the
third-party who Cone Health (and the other Defendants) allegedly induced to breach
the Management Services Agreement with MEDNAX. (See Reply 6 n.2.)
51. Cone Health argues that the allegation that Cone Health’s breach of the
Cone Health Agreement caused SAC to breach the Management Services Agreement
is insufficient as a matter of law to support the inducement element of Plaintiffs’
tortious interference claim. (Br. Supp. 12–13; Reply 6.) The Court agrees.
52. This Court has interpreted “induce” to mean “purposeful conduct,” “active
persuasion, request, or petition.” KRG New Hill Place, LLC v. Springs Inv’rs, LLC,
2015 NCBC LEXIS 20, at *14–15 (N.C. Super. Ct. Feb. 27, 2018) (quoting Inland Am.
Winston Hotels, Inc. v. Crockett, 212 N.C. App. 349, 354, 712 S.E.2d 366, 369–70
(2011)); see also Charah, 2019 NCBC LEXIS 18, at *18. Purposeful conduct, active
persuasion, request, and petition require that a defendant do more than cause a third
party to breach an agreement with the plaintiff. See KRG New Hill Place, 2015 NCBC
LEXIS 20, at *16; see also Patel v. Scotland Mem’l Hosp., 1995 U.S. Dist. LEXIS 5258,
at *21–23 (M.D.N.C. Mar. 31, 1995) (stating that, under North Carolina law, “[a]
claim of breach by [d]efendants of a contract with [the plaintiff-anesthesiologist]
which in turn causes [plaintiff] to breach contracts with third parties . . . does not
support a claim for tortious interference with contract without some allegation that
[d]efendants affirmatively induced the third parties to breach their contracts with
[plaintiff]”). [Type here]
53. Accordingly, here, Plaintiffs’ allegation that Cone Health’s breach of the
Cone Health Agreement caused SAC to breach the Management Services Agreement,
without more, is insufficient to plead that Cone Health induced SAC’s breach of the
Management Services Agreement. KRG New Hill Place, 2015 NCBC LEXIS 20, at
*16–17; see Patel, 1995 U.S. Dist. LEXIS 5258, at *22–23.
54. Plaintiffs’ seek to avoid this conclusion by attempting to distinguish KRG
New Hill Place and Patel on factual and legal grounds. (Br. Resp. 12–13.) First,
Plaintiffs argue that this Court’s analysis in KRG New Hill Place “was limited to [ ]
tortious interference with a prospective contract—not with an existing agreement
such as the Management Services Agreement.” (Br. Resp. 12.) This Court has,
however, specifically applied KRG New Hill Place’s concept of inducement to a claim
for tortious interference with an existing contract. See Charah, 2019 NCBC LEXIS
18 at *18–19 (“Although this Court previously considered the interpretation of
‘induce’ in the context of a claim for tortious interference with prospective economic
advantage, ‘there is nothing about the [C]ourt’s analysis of that word’s meaning [in
that type of claim] that makes it inapplicable to this case.” (alterations in original)
(quoting KRG New Hill Place, 2015 NCBC LEXIS 20, at *15–16)). The Court discerns
no reason to depart from this analysis here.
55. Plaintiffs also attempt to distinguish Patel, arguing that there the plaintiff
“did not allege that the defendants ‘affirmatively induced’ the third parties’ breach of
contract[,]” while, here, Plaintiffs have alleged “with specificity the actions of Cone
Health and the consequences of those actions.” (Br. Resp. 13.) However, beyond mere [Type here]
conclusory allegations that Cone Health induced SAC’s breach of the Management
Services Agreement, the paragraphs of the First Amended Complaint cited to by
Plaintiffs in opposing the Motion allege only that Cone Health knew of the
Management Services Agreement and lacked justification in inducing its breach. (Br.
Resp. 11 (citing FAC ¶¶ 19 (existence of valid contract; knowledge), 96–97 (same),
102–03 (lack of justification; damages)).) In sum, Plaintiffs’ allegations regarding
Cone Health’s tortious interference with the Management Services Agreement “do
not equate to the sort of purposeful conduct or active persuasion necessary for
inducement.” Charah, 2019 NCBC LEXIS 18, at *18–19 (internal quotation marks
omitted).
56. Plaintiffs have therefore failed to sufficiently allege that Cone Health
induced SAC to breach the Management Services Agreement with MEDNAX. See
id.; KRG New Hill Place, 2015 NCBC LEXIS 20, at *16–17; see also Patel, 1995 U.S.
Dist. LEXIS 5258, at *22–23. Accordingly, the Court concludes that the Motion
should be, and is, GRANTED to the extent it seeks dismissal of Plaintiffs’ claim for
tortious interference with the Management Services Agreement.
2. The Employment Agreements
57. As to Cone Health, Plaintiffs’ claim for tortious interference with the
Employment Agreements alleges that: (i) SAC was a party to the Employment
Agreements with its physicians, which were valid contracts, (FAC ¶ 94); (ii)
“Defendants, and each of them” knew of the Employment Agreements, (FAC ¶ 97); [Type here]
and (iii) “Defendants have intentionally induced SAC physicians to wrongfully give
notice of termination and not to perform their contracts with SAC[,]” (FAC ¶ 98).
58. Cone Health argues that Plaintiffs have failed to allege facts supporting
their conclusory allegations that Cone Health induced certain of the SAC Physicians
to breach their Employment Agreements with SAC. (Br. Supp. 12.) The Court agrees.
59. Except as to two of the SAC Physicians discussed below, the First Amended
Complaint’s allegations pertaining to Cone Health’s inducement of breaches of the
Employment Agreements are: (i) that Defendants engaged in a “collusive conspiracy”
to “cause[] a collective cessation of employment by the [SAC Physicians]” that proved
successful, (FAC ¶ 40); and (ii) “Defendants have intentionally induced SAC
Physicians to wrongfully give notice of termination and not to perform their
[Employment Agreements] with SAC[,]” (FAC ¶ 98.) The former allegation merely
links Cone Health’s alleged inducement to the Defendants’ purported conspiracy but
states no facts supporting inducement. Furthermore, as alleged, Defendants
conspired to “cause” the cessation of the SAC Physicians’ Employment Agreements.
Again, a plaintiff does not sufficiently allege inducement by alleging causation in a
conclusory fashion. See KRG New Hill Place, 2015 NCBC LEXIS 20, at *16. The
same is true of Plaintiffs’ scattered allegations that Cone Health “assist[ed]” the
Individual Defendants and PLLC Defendants “in causing the breaches of the relevant
agreements[.]” (FAC ¶ 61, 80; see also FAC ¶ 66.) As to the latter allegation, (FAC ¶
98), this is a bare conclusion “not entitled to a presumption of truth[,]” Walker v. [Type here]
Sloan, 137 N.C. App. 387, 392, 529 S.E.2d 236, 241 (2000); see also Good Hope Hosp.,
174 N.C. App. at 274, 620 S.E.2d at 880.
60. Other allegations identified in Plaintiffs’ brief in opposition to the Motion
simply allege various elements of a tortious interference with contract claim. (See
Br. Resp. 8–9 (citing FAC ¶¶ 27 (knowledge), 45 (damages)).) “[C]onclusory
allegations that track the elements of a [tortious interference] claim . . . alone are
insufficient to state a legally sufficient claim for” tortious interference. Radcliffe v.
Avenel Homeowners Ass’n, 248 N.C. App. 541, 572, 789 S.E.2d 893, 913 (2016).
61. The First Amended Complaint contains slightly more specific allegations as
to Cone Health’s alleged interference with the Employment Agreements of Dr. Allan
and Dr. Guidetti. Plaintiffs allege that, in November 2017, “Cone Health permitted
Drs. Allan and Guidetti to work at Cone Health facilities[,]” and, after being informed
by SAC that Cone Health had breached the Cone Health Agreement, “demanded”
that Dr. Allan and Dr. Guidetti “obtain from SAC a waiver of their” respective Non-
Competition Covenants “in order to continue to work at” Cone Health’s facilities.
(FAC ¶ 67.)
62. Though more specific than Plaintiffs’ allegations about the breaches of the
other SAC Physicians’ Employment Agreements, the allegations concerning Dr. Allan
and Dr. Guidetti do not state facts showing that Cone Health induced them to breach
their Employment Agreements. Rather, Plaintiffs allege that Cone Health
“permitted[,]” not induced, “Drs. Allan and Guidetti to work at Cone Health
facilities[,]” in violation of their respective Non-Competition Covenants. (FAC ¶ 67.) [Type here]
This allegation is insufficient to allege inducement. See Charah, 2019 NCBC LEXIS
18, at *18–19 (concluding that defendant’s “mere failure to terminate” the
employment of an employee bound by a covenant not to compete with his former
employer, “without more, does not equate to the sort of purposeful conduct or active
persuasion necessary for inducement” (internal quotation marks omitted)).
Moreover, Plaintiffs’ allegation that Cone Health demanded that Dr. Allan and Dr.
Guidetti obtain a waiver of their respective Non-Competition Covenants suggests
that, rather than inducing these doctors to breach their Employment Agreements,
Cone Health took action designed to prevent or eliminate a breach.
63. The Court therefore concludes that Plaintiffs have failed to allege a claim
for tortious interference with contract against Cone Health. The Motion should be,
and is, GRANTED as to this claim.
3. Prospective Business Relationships/Economic Advantage
64. Plaintiffs allege that Cone Health tortiously interfered with SAC’s
prospective business relationships with approximately fifty Replacement
Anesthesiologists submitted for credentialing to Cone Health by rejecting SAC’s
proposed staffing plan and refusing to consider the Replacement Anesthesiologists
for credentialing. (FAC ¶ 99; see FAC ¶¶ 49–67.)
65. “An action for tortious interference with prospective economic advantage is
based on conduct by the defendant[] which prevents the plaintiff[] from entering into
a contract with a third party.” Walker, 137 N.C. App. at 392–93, 529 S.E.2d at 241
(citing Owens v. Pepsi Cola Bottling Co., 330 N.C. 666, 680, 412 S.E.2d 636, 644 [Type here]
(1992)). To state a claim for tortious interference with prospective economic
advantage, “the plaintiffs must allege facts to show that the defendant[] acted
without justification in inducing a third party to refrain from entering into a contract
with them which contract would have ensued but for the interference.” Radcliffe, 248
N.C. App. at 567, 789 S.E.2d at 911.
66. Cone Health argues that Plaintiffs’ claim for tortious interference with
prospective business relationships should be dismissed because “Plaintiffs have failed
to identify any prospective clients, customers, or contracts lost, which is fatal to such
a claim.” (Br. Supp. 14.) Cone Health is correct that under North Carolina law a
claim for tortious interference with prospective business relationships and economic
advantage cannot survive a motion to dismiss under Rule 12(b)6) where the plaintiff
“fail[s] to identify any particular contract that a third party has been induced to
refrain from entering into with [the] [p]laintiff.” Daimlerchrysler Corp. v. Kirkhart,
148 N.C. App. 572, 585, 561 S.E.2d 276, 286 (2002); Plasman v. Decca Furniture
(USA), Inc., 2016 NCBC LEXIS 80, at *70–71 (N.C. Super. Ct. Oct. 21, 2016)
(dismissing tortious interference with prospective economic advantage claim where
plaintiff “failed to identify a particular contract”); Lund, 2015 NCBC LEXIS 113, at
*31 (same). The First Amended Complaint, however, satisfies this requirement.
Plaintiffs identify approximately fifty anesthesiologists, the Replacement
Anesthesiologists, for whom “there was a reasonable probability that SAC would have
entered into . . . new employment relationships” similar, if not largely identical, to
the Employment Agreements. (FAC ¶¶ 60, 99.) The Court deems these allegations [Type here]
sufficient to identify the particular prospective contracts in question and survive a
motion to dismiss under Rule 12(b)(6).
67. However, this conclusion does not save Plaintiffs’ claim because, as with
their claim for tortious interference with contract claims, Plaintiffs have not
adequately alleged inducement. See Radcliffe, 248 N.C. App. at 567, 789 S.E.2d at
911 (“[P]laintiffs must allege facts to show that the defendant[] acted without
justification in inducing a third party to refrain from entering into a contract with
them[.]” (emphasis added)). Rather, Plaintiffs allege that Cone Health refused to
consider credentialing the Replacement Anesthesiologists or to accept SAC’s
proposed staffing plan, thus preventing SAC from being able to secure these
prospective business relationships. (See FAC ¶¶ 49–67.) Cone Health’s actions, as
alleged, were directed toward SAC, not the Replacement Anesthesiologists.
Furthermore, these actions do not rise above merely causing SAC’s inability to enter
into new employment agreements. Such is not enough. See KRG New Hill Place,
2015 NCBC LEXIS 20, at *16–17.
68. Plaintiffs have therefore failed to sufficiently allege that Cone Health
induced the Replacement Anesthesiologists not to enter into employment contracts
with SAC. See Radcliffe, 248 N.C. App. at 567, 789 S.E.2d at 911; KRG New Hill
Place, 2015 NCBC LEXIS 20, at *16–17. Accordingly, the Court concludes that the
Motion should be, and is, GRANTED to the extent it seeks dismissal of Plaintiffs’
claim for tortious interference with prospective business relationships and economic
advantage. [Type here]
69. In sum, having considered each portion of Plaintiffs’ tortious interference
claim against Cone Health separately, the Court concludes that the claime should be
dismissed in its entirety. “The decision to dismiss an action with or without prejudice
is in the discretion of the trial court[.]” First Fed. Bank v. Aldridge, 230 N.C. App.
187, 191, 749 S.E.2d 289, 292 (2013). Because this claim fails as to Cone Health due
to factual insufficiency, the Court concludes, in its discretion, that the claim should
be dismissed without prejudice.
C. Civil Conspiracy
70. It is well-established that North Carolina law does not recognize an
“independent cause of action for civil conspiracy.” Sellers v. Morton, 191 N.C. App.
75, 83, 661 S.E.2d 915, 922 (2008) (citation and quotation marks omitted); see also
Dove v. Harvey, 168 N.C. App. 687, 690, 608 S.E.2d 798, 800 (2005) (“The charge of
conspiracy itself does nothing more than associate the defendants together and
perhaps liberalize the rules of evidence to the extent that under proper circumstances
the acts and conduct of one might be admissible against all.” (citing Shope v. Boyer,
268 N.C. 401, 405, 150 S.E.2d 771, 773–74 (1966))). Rather, “[o]nly where there is an
underlying claim for unlawful conduct can a plaintiff state a claim for civil conspiracy
by also alleging the agreement of two or more parties to carry out the conduct and
injury resulting from that agreement.” Sellers, 191 N.C. App. at 83, 661 S.E.2d at
922 (citation and quotation marks omitted).
71. Therefore, under North Carolina law, “a complaint sufficiently states a
claim for civil conspiracy when it alleges (1) a conspiracy, (2) wrongful acts done by [Type here]
certain of the alleged conspirators in furtherance of that conspiracy, and (3) injury as
a result of that conspiracy.” Krawiec, 370 N.C. at 614, 811 S.E.2d at 550–51.
72. Cone Health argues that Plaintiffs’ civil conspiracy claim should be
dismissed because Plaintiffs’ tortious interference claim should be dismissed and the
conspiracy claim is premised on Defendants’ alleged tortious interference with
Plaintiffs’ agreements and prospective business relationships. (Br. Supp. 19; Reply
10.) While it is true that civil conspiracy is not a standalone claim and requires a
separate “underlying claim for unlawful conduct,” Sellers, 1919 N.C. App. at 83, 661
S.E.2d at 922 (internal quotation marks omitted), and an “overt act” in furtherance
of the conspiracy’s objective, Shope, 268 N.C. at 405, 150 S.E.2d at 774 (quotation
marks omitted), the dismissal of Plaintiffs’ tortious interference claim against Cone
Health “does not bar [Cone Health] from liability for damages resulting from the
[acts] of other conspirator[s]”—the Individual Defendants and the PLLC Defendants,
Chisum v. MacDonald, 2018 NCBC LEXIS 34, at *32 (N.C. Super. Ct. Apr. 18, 2018).
A claim for civil conspiracy requires only that the “overt act [be] committed by one or
more of the conspirators pursuant to the scheme and in furtherance of the objective.”
Shope, 268 N.C. at 405, 774 S.E.2d at 774 (quotation marks omitted). The First
Amended Complaint asserts claims for tortious interference against the Individual
Defendants and the PLLC Defendants, and none of these Defendants has moved to
dismiss these claims. Accordingly, if Plaintiffs have sufficiently alleged the other
elements of their civil conspiracy claim, the claim should not be dismissed as to Cone
Health simply because the Court has concluded that Plaintiffs have not sufficiently [Type here]
alleged that Cone Health tortiously interfered with the relevant agreements and
Plaintiffs’ prospective business relationships. See Chisum, 2018 NCBC LEXIS 34, at
*32.
73. Cone Health also argues that the civil conspiracy claim should be dismissed
because the First Amended Complaint does not sufficiently allege, beyond conclusory
allegations, an agreement between Cone Health and any of the other Defendants
(Reply 10–11). This Court has recognized that “it is difficult to dismiss a conspiracy
claim summarily because the elements of a conspiracy claim are broadly stated.”
Safety Test & Equip. Co. v. Am. Safety Util. Corp., 2015 NCBC LEXIS 40, at *48 (N.C.
Super. Ct. Apr. 23, 2015). Nevertheless, a “threshold requirement” of a civil
conspiracy claim is that a conspiracy existed, which requires “an agreement between
two or more persons.” S.N.R. Mgmt. Corp. v. Danube Partners 141, LLC, 189 N.C.
App. 601, 609, 659 S.E.2d 442, 449 (2008) (quotation marks omitted). Where the
complaint states that the defendants conspired “but fails to allege how th[e]
conspiracy came to be, or when, or where, or why[,]” dismissal is proper. Bottom v.
Bailey, 238 N.C. App. 202, 213, 767 S.E.2d 883, 890 (2014).
74. Apart from allegations that the Individual Defendants and PLLC
Defendants acted to interfere with the relevant agreements and “oust SAC from the
local marketplace” with Cone Health’s “complicity and collusion” or “assistance”
(FAC ¶¶ 45, 66, 91), the only allegations that Cone Health agreed to conspire with
the other Defendants are that Cone Health “joined the conspiracy” with the other
Defendants “at some time prior to October 23, 2017,” (FAC ¶¶ 61, 80). In the First [Type here]
Amended Complaint, the allegation that Cone Health joined the conspiracy at some
time prior to October 23, 2017, (FAC ¶ 61), follows the several allegations relating to
SAC’s and Cone Health’s negotiations over SAC’s proposed staffing plan, (see FAC ¶¶
49–60). Indeed, even construing the First Amended Complaint liberally, in the
context of these allegations, Plaintiffs’ assertion that Cone Health joined the
conspiracy, appears to be more a product of a questionable abductive inference—
based on allegations having no bearing on how or whether the agreement was
reached—rather than a well-pleaded factual allegation. In the Court’s view, even at
this stage of the proceedings, this inference is not one the Court is obligated to, or
should, accept. Good Hope Hosp., 174 N.C. App. at 274, 620 S.E.2d at 880. The
remaining allegations of an agreement, taken in context, amount to “nothing more
than a suspicion or conjecture” that Cone Health reached an agreement with the
other Defendants to conspire to tortiously interfere with the relevant agreements and
drive SAC from the local marketplace. S.N.R. Mgmt., 189 N.C. App. at 609, 659
S.E.2d at 449; see also Bottom, 238 N.C. App. at 213, 767 S.E.2d at 890.
75. Accordingly, the Court concludes that Plaintiffs’ claim for civil conspiracy
against Cone Health should be dismissed for failure to sufficiently allege an
agreement between Cone Health and the other Defendants. The Motion therefore
should be, and is, GRANTED as to this claim. However, for the reasons applicable to
Plaintiffs’ tortious interference claim, the Court concludes, in its discretion, that this [Type here]
claim should be dismissed without prejudice. See Aldridge, 230 N.C. App. at 191, 749
S.E.2d at 292.
V. CONCLUSION
76. THEREFORE, for the foregoing reasons, the Court hereby GRANTS in
part and DENIES in part the Motion as follows:
A. The Motion is DENIED as to Plaintiffs’ claim for breach of the implied
covenant of good faith and fair dealing.
B. The Motion is GRANTED as to Plaintiffs’ claim for tortious interference
with contract, prospective business relationships, and prospective economic
advantage against Cone Health, and this claim is DISMISSED without
prejudice.
C. The Motion is GRANTED as to Plaintiffs’ claim for civil conspiracy against
Cone Health, and this claim is DISMISSED without prejudice.
SO ORDERED, this the 20th day of August, 2019.
/s/ Michael L. Robinson Michael L. Robinson Special Superior Court Judge for Complex Business Cases