Snipes v. West Flagler Kennel Club, Inc.

105 So. 2d 164
CourtSupreme Court of Florida
DecidedAugust 1, 1958
StatusPublished
Cited by22 cases

This text of 105 So. 2d 164 (Snipes v. West Flagler Kennel Club, Inc.) is published on Counsel Stack Legal Research, covering Supreme Court of Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Snipes v. West Flagler Kennel Club, Inc., 105 So. 2d 164 (Fla. 1958).

Opinion

105 So.2d 164 (1958)

E.F. SNIPES, Appellant,
v.
WEST FLAGLER KENNEL CLUB, INC., a Florida corporation, et al., Appellees.

Supreme Court of Florida.

August 1, 1958.
Rehearing Denied October 8, 1958.

Richard P. Kenney, Miami, for appellant.

Ward & Ward, Miami, for West Flagler Kennel Club, Inc.

Hoffman, Kemper & Johnson, Miami, for Volusia County Kennel Club, Inc., a Florida Corp., L.M. Kirkpatrick and Miami Beach Kennel Club, Inc., a Florida Corp.

Yonge & Whiteside, Miami, for Biscayne Kennel Club, Inc., and Bill More.

Aronovitz & Aronovitz, Miami, for Key West Kennel Club, Inc.

DREW, Justice.

Appellant Snipes appeals from a final order dismissing his second amended complaint for failure to state a cause of action.

The suit was brought against five racetrack corporations operating in south Florida, and certain individuals connected therewith (appellees here). The questioned complaint alleged that plaintiff had for some years engaged in the business of raising and racing greyhounds and his dogs had been booked regularly at defendants' tracks from 1937 until about 1952-53; that thereafter the defendants denied him bookings and refused to give him cause notwithstanding his request and applications timely filed in compliance with defendant's instructions.

The complaint states, in count one, "that this refusal on behalf of the defendants was the result of the defendants' knowingly, wilfully, wantonly, wickedly, maliciously and malevolently conspiring, combining, confederating and agreeing together *165 * * * and with divers other persons * * * to prevent the plaintiff's racing his greyhounds on said defendants' tracks * * * and the defendants have through coercion and intimidation prevented other persons from leasing the plaintiff's dogs and running them * * * prevented the plaintiff doing business with other dog owners and operators in this area," and "have `spread the word' that the plaintiff is not to be allowed to race at any tracks, and that he is `a trouble maker'." There is a further direct allegation that the defendants "through their force of numbers and economic stature, have intimidated other dog tracks in this state and made them unwilling partners in the boycott and conspiracy directed against the plaintiff." (Emphasis supplied.) In elaboration of the charge of malice, plaintiff asserts that the conspiracy "is done not to gain any financial or economic benefit to the defendants, but rather to precipitate and bring about the plaintiff's financial ruin," to drive him out of the greyhound business, and deprive him of his livelihood.

Two additional counts seek damages for slander and for alleged violation of plaintiff's rights under Sections 4 and 12 of the Declaration of Rights of the Constitution of Florida. Upon appeal no argument is addressed to this portion of the complaint; accordingly, the order of the court below must be and hereby is affirmed insofar as it relates to these counts.

The allegations first above set forth, however, are sufficient to state a cause of action for civil conspiracy. Appellees rely upon the general rule that "an act which constitutes no ground of action against one person cannot be made the basis of a civil action for conspiracy." Liappas v. Augoustis, Fla., 47 So.2d 582.[1] The reason for the rule is said to be that "the gist of a civil action for conspiracy is not the conspiracy itself, but the civil wrong which is alleged to have been done pursuant to the conspiracy" (Loeb v. Geronemus, Fla., 66 So.2d 241, 243), and that "before the courts can punish or prevent a conspiracy, either the act conspired or the manner of its doing must be unlawful." Jetton-Dekle Lumber Co. v. Mather, 53 Fla. 969, 43 So. 590, 592. The cases point out that "the common law writ of conspiracy has been supplanted by the remedy of action on the case in the nature of conspiracy," that civil conspiracy is not an independent tort, and the sufciency of a complaint in such cases is to be determined by the otherwise tortious character of the acts alleged. See Dr. P. Phillips & Sons, Inc., v. Kilgore, 152 Fla. 578, 12 So.2d 465, 466, illustrating the general rule, where a judgment was affirmed upon a complaint for conspiracy to injure a business by malicious prosecution.

Appellant takes cognizance of this doctrine and appears to concede that the acts alleged, if performed by the defendants separately, would not be actionable, there being no compulsion upon defendants under our law to contract with particular individuals. But he relies upon an exception to the ordinary rule governing civil conspiracy (see footnote 1), most cogently stated in a line of Massachusetts decisions referred to in Liappas v. Augoustis, supra:

"From the general structure of the declaration, as well as from its allegations of power and influence on the part of the individual defendants, it would seem that this declaration was intended to state a cause of action for true conspiracy, that is to say a cause of action which involves more than a mere joint tort and the gist of which consists in the combination itself making unlawful a course of conduct that might not give rise to liability if carried on by a single individual. The attempt is to state a case like Willett v. *166 Herrick, 242 Mass. 471, 136 N.E. 366. * * * The controlling proposition of law was recently stated by this court in DesLauries v. Shea, [300] Mass. [30], 13 N.E.2d 932, 935, in these words, `There can be no independent tort for conspiracy unless in a situation "where mere force of numbers acting in unison or other exceptional circumstances may make a wrong." * * * And in order to prove an independent tort for conspiracy upon the basis of "mere force of numbers acting in unison," it must be shown that there was some "peculiar power of coercion of the plaintiff possessed by the defendants in combination which any individual standing in a like relation to the plaintiff would not have had."' The most common illustration of such a `conspiracy' is to be found in the combined action of groups of employers or employees, where through the power of combination pressure is created and results brought about different in kind from anything that could have been accomplished by separate individuals." Fleming v. Dane, 304 Mass. 46, 22 N.E.2d 609, 611. See also 6 Fla.Jur. 244.

The origin and foundations of this doctrine are made plain in an earlier opinion of that court with respect to a conspiracy to injure plaintiff's business and property interests by a scheme involving failure and refusal, with improper motives, to negotiate a loan, and causing applications to others to be successively refused. This intentional interference with an individual's credit by parties who "exercised a commanding influence in financial circles" throughout the area was deemed to be tortious when by the exercise of power in combination the plaintiff's credit was destroyed.

"If these acts were in fact committed by the concerted action of the defendants they were illegal, even if harmless when committed by an individual * * * This principle has been applied in labor cases * * * It is unfair competition for a combination of men who labor to injure another's business by an illegal strike, or to carry out a strike for a lawful purpose by unlawful means.

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Bluebook (online)
105 So. 2d 164, Counsel Stack Legal Research, https://law.counselstack.com/opinion/snipes-v-west-flagler-kennel-club-inc-fla-1958.