Vane v. Nocella

494 A.2d 181, 303 Md. 362, 1985 Md. LEXIS 609
CourtCourt of Appeals of Maryland
DecidedJune 27, 1985
Docket34, September Term, 1984
StatusPublished
Cited by14 cases

This text of 494 A.2d 181 (Vane v. Nocella) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Vane v. Nocella, 494 A.2d 181, 303 Md. 362, 1985 Md. LEXIS 609 (Md. 1985).

Opinion

COLE, Judge.

We granted certiorari in this case to decide whether the trial court erred in finding that the National Labor Relations Act (NLRA or Act), 29 U.S.C.

*365 §§ 151-169 (1982), preempted appellant’s state common law action for tortious interference with contractual relations.

We glean the following facts from the record. Appellant, Milton M. Vane, was employed by H.L. Hartz & Sons (Hartz) as an industrial engineer. In his deposition, appellant explained that his position entailed the regulation of production employees through the establishment of piece rates. Piece rates are incentive rates that compensate employees according to their productivity. In addition to establishing these rates, appellant instituted and applied the rates in the shops, and met with business agents of the Amalgamated Clothing and Textile Workers of America (Union) to negotiate settlements.

Sam Nocella, Manager of the Union’s Baltimore Regional Joint Board, participated in the negotiation of piece rates at Hartz. Nocella and the Union objected to these rates because they considered them unjust. Discussion between Nocella, as Union representative, and appellant’s immediate supervisor allegedly led to a demand by Nocella and the Union that Hartz dismiss appellant or else run the risk of having the Union considerably increase its wage demands. In response, Hartz dismissed appellant on June 16, 1981.

Appellant filed a two count declaration in the Superior Court of Baltimore City (now Circuit Court for Baltimore City) against Nocella and the Union, alleging that they “intentionally and willfully coerced the employer into terminating” appellant’s employment. In his declaration appellant sought both compensatory and punitive damages. In accordance with former Md. Rule 323 a 10 (now Md. Rule 2-322(b)(l)), appellees filed a Motion Raising Preliminary Objection on the basis that the trial court lacked jurisdiction over the subject matter of the suit. The trial court granted this motion on October 11, 1983, ruling that the National Labor Relations Board (NLRB or Board) had exclusive jurisdiction over the action. Appellant filed an order of appeal with the Court of Special Appeals, but we granted certiorari prior to decision by that Court. We affirm.

*366 I

Federal labor law preemption is a complex and evolving body of law which this Court has had few occasions to analyze. See, e.g., Memco v. Maryland Employment Security Administration, 280 Md. 536, 375 A.2d 1086 (1977) [hereinafter cited as Memco]; Baltimore Building & Construction Trades Council v. Maryland Port Authority, 238 Md. 232, 208 A.2d 564 (1965). In light of the significant increase in Supreme Court decisional law in this area since Memco and in view of the Supreme Court’s refinement and modification of the basic federal labor preemption doctrine since its formulation over a quarter of a century ago in San Diego Building Trades Council v. Garmon, 359 U.S. 236, 79 S.Ct. 773, 3 L.Ed.2d 775 (1959) [hereinafter cited as Garmon], we find it useful to provide a brief overview of this doctrine.

A.

The enactment of the NLRA in 1935 marked a fundamental change in this Nation’s labor policies. Congress expressly recognized that collective organization of segments of the labor force into bargaining units capable of exercising economic power comparable to that possessed by employers could produce benefits for the entire economy. Congress determined that those benefits would eventually outweigh the occasional costs of industrial strife associated with the organization of unions and the negotiation and enforcement of collective bargaining agreements. The previous notion that union activity was a “conspiracy” and that strikes and picketing were examples of unreasonable restraints of trade was replaced by an unequivocal national declaration of policy establishing the legitimacy of labor unionization and encouraging collective bargaining. See Sears, Roebuck & Co. v. San Diego County District Council of Carpenters, 436 U.S. 180, 190, 98 S.Ct. 1745, 1754, 56 L.Ed.2d 209, 221 (1978) [hereinafter cited as Sears]; R. Gorman, Basic Text on Labor Law 1-6 (1976).

*367 Through the NLRA Congress sought to protect the collective bargaining activities of employees and their representatives. To that end, Congress created a regulatory scheme to be administered by a federal agency (NLRB) that would, in Congress’s view, develop experience and expertise in the labor relations area. As Justice Stevens explained in Sears, “[t]he interest in uniform development of the new national labor policy required that matters which fell squarely within the regulatory jurisdiction of the [NLRB] be evaluated in the first instance by that agency.” Sears, supra, 436 U.S. at 191, 98 S.Ct. at 1754, 56 L.Ed.2d at 222. Thus, to achieve uniform as well as effective enforcement of the national labor policy, Congress vested the NLRB, not federal or state courts, with primary jurisdiction over activities subject to regulation by the Board. Local 926, International Union of Operating Engineers v. Jones, 460 U.S. 669, 681, 103 S.Ct. 1453, 1461, 75 L.Ed.2d 368, 379 (1983) [hereinafter cited as Jones]. In this respect, the “animating force” behind the federal labor law preemption doctrine “has been the recognition that nothing could more fully serve to defeat the purposes of the Act than to permit state and federal courts, without any limitation, to exercise jurisdiction over activities that are subject to regulation by the [NLRB].” Sears, supra, 436 U.S. at 218, 98 S.Ct. at 1768, 56 L.Ed.2d at 238 (Brennan, J., dissenting).

This congressional scheme thus comports with the constitutional principles of preemption, which are designed to avoid conflicting regulation of conduct by various official bodies that might have some authority over the subject matter. Amalgamated Association of Motor Coach Employees v. Lockridge, 403 U.S. 274, 285-86, 91 S.Ct. 1909, 1917, 29 L.Ed.2d 473, 482 (1971) [hereinafter cited as Lock-ridge]. Justice Jackson, writing for a unanimous Court in a 1953 decision involving the Labor Management Relations Act, succinctly articulated the rationale underlying the federal labor law preemption doctrine:

Congress did not merely lay down a substantive rule of law to be enforced by any tribunal competent to apply *368 law generally to the parties.

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Bluebook (online)
494 A.2d 181, 303 Md. 362, 1985 Md. LEXIS 609, Counsel Stack Legal Research, https://law.counselstack.com/opinion/vane-v-nocella-md-1985.