Vitone v. Metropolitan Life Insurance

943 F. Supp. 192, 1996 U.S. Dist. LEXIS 15465, 1996 WL 600824
CourtDistrict Court, D. Rhode Island
DecidedOctober 17, 1996
DocketC.A. 95-0367L
StatusPublished
Cited by13 cases

This text of 943 F. Supp. 192 (Vitone v. Metropolitan Life Insurance) is published on Counsel Stack Legal Research, covering District Court, D. Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Vitone v. Metropolitan Life Insurance, 943 F. Supp. 192, 1996 U.S. Dist. LEXIS 15465, 1996 WL 600824 (D.R.I. 1996).

Opinion

MEMORANDUM AND ORDER

LAGUEUX, Chief Judge.

This ease involves a dispute arising out of the employment relationship between plaintiff Vito Vitone and Metropolitan Life Insurance Company (“Metlife”). The matter is presently before the Court on a motion by *194 defendant Metlife to compel arbitration of the dispute and stay the action until the completion of any such arbitration. For the reasons that follow, that motion is granted. In addition, after finding that plaintiff has no standing to bring federal and state RICO claims, the Court dismisses those claims sua sponte.

I. Background

The following facts are not in dispute, unless otherwise noted. Plaintiff joined Metlife in October 1969, serving as Sales Representative, Sales Manager, District Sales Manager, Regional Sales Manager, Director of Overseas Operations, and Regional Executive at various points during his tenure. Most of the conduct that gives rise to the present dispute took place from May 1988 to July 1994, during which time plaintiff served as Metlife’s Director of Overseas Operations.

The relationship between plaintiff and Metlife came to an end on October 28, 1994. 1 In July 1995, plaintiff filed the present lawsuit against Metlife and five unnamed employees, officers, and agents of Metlife (John Does 1-5) challenging the propriety of that termination and related conduct. Plaintiff contends that Metlife terminated him in retaliation for his complaints to Metlife’s auditors, management, and Legal Department about compliance irregularities in the company’s operations, and for his intention to report these irregularities to the appropriate state and federal regulatory authorities. Plaintiff asserts that such a termination violates the Rhode Island Whistleblowers’ Protection Act. 2

Further, plaintiffs complaint asserts claims for intentional and negligent misrepresentation, defamation/false light invasion of privacy, and federal and Rhode Island civil RICO recovery. 3 These claims present more general challenges to Metlife’s conduct vis-a-vis plaintiff during the term of his employment. Specifically, plaintiff contends that he was induced to accept the Director of Overseas Operations position when he received assurances that Metlife’s operations were in compliance with applicable regulatory protocols. 4 In addition, plaintiff asserts that he was made a scapegoat in Metlife’s attempts to cover-up the alleged improprieties, and that statements were made by Metlife and John Does 1-5 regarding plaintiffs “poor business judgment” that damaged his future employment prospects. Finally, plaintiff claims that he was “injured in his business or property” by reason of Metlife’s alleged criminal RICO violations.

Of relevance to this dispute is an arbitration agreement executed in the course of plaintiffs employment with Metlife. In 1986, plaintiff registered with the National Association of Securities Dealers, Inc. (“NASD”), of which Metlife is a member. As part of his NASD application, plaintiff completed a Uniform Application for Securities Industry Registration or Transfer, known as a “Form U-4.” Paragraph 5 of the Form U-4 contains the following arbitration clause:

I agree to arbitrate any dispute, claim or controversy that may arise between me and my firm, or a customer, or any other person, that is required to be arbitrated under the rules, constitutions, or by-laws of the organizations with which I register, as indicated in item 10 as may be amended from time to time. 5

Thus, plaintiff agreed to submit disputes to arbitration as required by NASD rules and *195 By-Laws; for all matters relevant to this litigation, the applicable regulations are provided by the NASD Code of Arbitration Procedures (“NASD Code”).

At issue here is the extent to which the NASD Code compels arbitration of the present dispute. This question is complicated by the fact that the NASD Code was amended, effective October 1, 1993, in a' manner that directly bears on this issue: language was added to the NASD Code to bring matters “arising out of the employment or termination of employment of associated person(s)” specifically within the scope of arbitrable matters. 6 The following are the relevant provisions of the NASD Code; the highlighted .material was added by the 1998 amendments.

Part I, Sec. 1.

This Code of Arbitration Procedure is, prescribed ... for the arbitration of any dispute, claim or controversy arising out of or in connection with the business of any member of the Association, or arising out of the employment or termination of employment of associated person(s) with any member, with the exception of disputes involving the insurance business of any member which is also an insurance company:
(1) between or among members;
(2) between or among members and associated persons;
(3) between or among members or associated persons and public customers, or others; and
(4) between or among members, registered clearing agencies with which the Association has entered into an [arbitration] agreement....
Part II, Sec. 8(a).
Any dispute, claim, or controversy eligible for arbitration under Part I of this Code between or among members and/or associated persons, and/or certain others, arising in connection with the business of such member(s) or in connection with the activities of such associated person(s), or arising out of the employment or termination of employment of such associated persons) with such member, shall be arbitrated under this Code, at the instance of:
(1) a member against another member;
(2) a member against a person associated with a member or a person associated with a member against a member; and
(3) a person associated with a member against a person associated with a member.

Contending that the present dispute is within the scope of arbitrable matters under these provisions of the NASD Code, Metlife filed a motion to compel arbitration and to stay this action pending the completion of any court-ordered arbitration. After hearing arguments of counsel, the Court took the matter under advisement. The matter is now in order for decision.

II. Discussion

The Court approaches the present matter with a healthy regard for the strong congressional and jurisprudential mandate favoring arbitration. Section 2 of the Federal Arbitration Act provides that written arbitration provisions within contracts involving commerce are valid and enforceable. 9 U.S.C. § 2

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Bluebook (online)
943 F. Supp. 192, 1996 U.S. Dist. LEXIS 15465, 1996 WL 600824, Counsel Stack Legal Research, https://law.counselstack.com/opinion/vitone-v-metropolitan-life-insurance-rid-1996.