Summary
explaining that a misrepresentation made to a third party is generally insufficient to establish a fraud claim
Summary of this case from Intelligent Sols., Inc. v. Girocheck Fin., Inc.Opinion
Docket No. 157354.
Submitted June 7, 1995, at Detroit.
Decided November 28, 1995, at 9:15 A.M.
Miller, Cohen, Martens, Ice Greary, P.C. (by Christopher P. Legghio and Ronald C. Engler), for the plaintiffs.
Honigman Miller Schwartz Cohn (by Frank T. Marnat and Norman D. Hawkins), for the defendants.
Plaintiffs appeal as of right the trial court's grant of defendants' motion for summary disposition pursuant to MCR 2.116(C)(8) with respect to plaintiff Cornwall and pursuant to MCR 2.116(C)(10) with respect to plaintiff International Brotherhood of Electrical Workers. We affirm in part, reverse in part, and remand.
In 1986, the Rochester Board of Education advertised for competitive bids for electrical work at the school district's two high schools. The invitation to bid notified all prospective bidders that the project was subject to the prevailing wage act (hereinafter the act), MCL 408.551 et seq.; MSA 17.256(1) et seq. In September 1986, defendant McNulty Electric, Inc., submitted a bid in which it represented that it would pay the prevailing wage and benefit rates as required by the act. Defendant John McNulty is president of McNulty Electric.
A federal district court has recently held that the act is preempted in its entirety by the Employment Retirement Income Security Act of 1974, 29 U.S.C. § 1001 et seq. See Associated Builders Contractors, Saginaw Valley Area Chapter v Perry, 869 F. Supp. 1239 (ED Mich, 1994). The case has been appealed to the Court of Appeals for the Sixth Circuit. Until the question is resolved through the federal appellate process, we will assume that the act remains good law.
However, plaintiffs allege that defendants had previously worked out an agreement through which their workers accepted wages and benefits considerably below the prevailing rates. According to plaintiffs, because of this arrangement, defendants were able to underbid contractors who complied with the provisions of the act and, therefore, were awarded the contract.
In accordance with the act, the contract required defendants to pay their construction mechanics the prevailing wage and benefit rates for the area. However, plaintiffs maintain that defendants ordered their workers to misrepresent their hourly wages and benefits if questioned by Michigan Department of Labor (MDOL) representatives, union officials, or the Rochester Board of Education. Defendants allegedly coerced their workers into complying by threatening to fire them if they refused.
On May 20, 1988, plaintiff Raleigh S. Cornwall filed an employment wage complaint against defendants with the Bureau of Employment Standards of the MDOL. On August 4, 1988, Cornwall filed a prevailing wage complaint against defendants. Cornwall claimed that defendants failed to pay him the prevailing wage and benefits rates when he worked at the Rochester high schools. Other mechanics who had worked at the high schools filed similar complaints.
In response to these allegations, the MDOL conducted an investigation. During the initial stages of the investigation, Cornwall told a MDOL representative that he had not worked on the Rochester schools project. However, Cornwall later stated that he had worked on the projects and had told the investigator otherwise because he was afraid of losing his job.
In the course of its investigation, the MDOL audited defendants' payroll records. In April 1990, the MDOL determined that defendants had not paid the prevailing wage and benefit rates to construction mechanics on the Rochester schools project and had therefore violated the act. The MDOL further determined that defendants owed Cornwall $39,187.22. Defendants contested the results of the MDOL's audit, alleging several errors, but the MDOL rejected defendants' requests that it revise its findings. Consequently, defendants refused to pay the audit amount. The MDOL referred the matter to the Oakland County Prosecutor's office, which declined to prosecute.
On May 9, 1991, plaintiffs filed this lawsuit. Plaintiff International Brotherhood of Electrical Workers, Local Union No. 58 is a labor organization consisting of electricians who were allegedly denied employment opportunities because of defendants' wrongful acts. In count I, plaintiffs alleged damages from defendants' violation of the act. In count II, the union alleged fraudulent misrepresentation. Defendants denied wrongdoing and claimed that the union has a longstanding animus against McNulty Electric because of its status as a nonunion shop.
On October 9, 1991, defendants moved for summary disposition pursuant to MCR 2.116(C)(8) and (10). The trial court held that the act does not afford individuals a private right of action and, therefore, granted defendants' motion with respect to Cornwall under MCR 2.116(C)(8). With respect to the union, the trial court concluded that it had not presented any evidence that defendants had violated the act and, therefore, granted defendants' motion pursuant to MCR 2.116(C)(10).
I
Plaintiffs first argue that the trial court erred in dismissing the union's claims pursuant to MCR 2.116(C)(10). On appeal, an order granting or denying summary disposition is reviewed de novo. A motion for summary disposition may be granted pursuant to MCR 2.116(C)(10) when, except with regard to the amount of damages, there is no genuine issue of material fact and the moving party is entitled to judgment as a matter of law. Giving the benefit of reasonable doubt to the non-movant, the trial court must determine whether a record might be developed that would leave open an issue upon which reasonable minds might differ. Michigan Mutual Ins Co v Dowell, 204 Mich. App. 81, 85-86; 514 N.W.2d 185 (1994).
When the trial court granted defendants' motion, it stated: "[W]hile the Union has stated a claim, they [sic] fail[ed] to come forward with any evidence to support its claim. Whereas, the Defendant presented evidence of compliance with the Act."
When a motion for summary disposition is filed pursuant to MCR 2.116(C)(10), the moving party must specify the issues for which it claims there is no genuine factual dispute. If the moving party's motion is properly supported, the opposing party must then respond with affidavits or other evidentiary materials that show the existence of a genuine issue for trial. If the opposing party does not so respond, MCR 2.116(G)(4) allows judgment to be entered against that party. Skinner v Square D Co, 445 Mich. 153, 160; 516 N.W.2d 475 (1994). However, the party opposing a motion for summary disposition has no obligation to submit any affidavit until the moving party provides documentary evidence regarding a dispositive fact. SSC Associates Ltd Partnership v General Retirement System of the City of Detroit, 192 Mich. App. 360, 364; 480 N.W.2d 275 (1991).
We agree with plaintiffs that the trial court erred in dismissing the union's claims pursuant to MCR 2.116(C)(10). Defendants have not identified specifically the issues for which they claim there is no factual dispute, nor have they submitted documentary evidence establishing the nonexistence of material facts. Rather, the evidence defendants submitted provided support only for the factual allegations in their brief in support of their motion for summary disposition and for their argument that the act does not provide for a private cause of action. In fact, there are several specific issues of material fact in dispute. First, there is an issue concerning whether defendants violated the act. In addition, the parties disagree over whether Cornwall actually worked as an electrician on the Rochester schools project. Furthermore, defendants challenge the accuracy of the MDOL audit findings.
Because defendants did not meet their burden of showing that no genuine issue of material fact exists, the trial court should not have granted defendants' motion for summary disposition. Contrary to the statement of the trial court, plaintiffs were under no obligation to submit affidavits in response to defendants' defective motion. SSC Associates, supra at 367.
II
Plaintiff Cornwall argues that the trial court erred in concluding that a violation of the act does not give rise to a private cause of action and, therefore, in dismissing his claim under MCR 2.116(C)(8). A motion for summary disposition brought pursuant to MCR 2.116(C)(8) tests the legal sufficiency of the plaintiff's complaint and should be granted only if the claims are so clearly unenforceable as a matter of law that no factual development could possibly justify recovery. Rogalski v Tavernier, 208 Mich. App. 302, 304; 527 N.W.2d 73 (1995).
The act provides in pertinent part:
Every contract executed between a contracting agent and a successful bidder as contractor and entered into pursuant to advertisement and invitation to bid for a state project which requires or involves the employment of construction mechanics, other than those subject to the jurisdiction of the state civil service commission, and which is sponsored or financed in whole or in part by the state shall contain an express term that the rates of wages and fringe benefits to be paid to each class of mechanics by the bidder and all of his subcontractors, shall be not less than the wage and fringe benefit rates prevailing in the locality in which the work is to be performed. [MCL 408.552; MSA 17.256(2).]
Under MCL 408.557; MSA 17.256(7), contractors who violate the act are guilty of a misdemeanor. In addition, MCL 508.556; MSA 17.256(6) provides that the contracting agent may terminate a violating contractor's right to proceed with the contract and hold the contractor liable for any costs associated with hiring another contractor to complete performance of the contract.
Statutory interpretation is a question of law that is reviewed de novo on appeal. Markillie v Livingston Co Bd of Co Road Comm'rs, 210 Mich. App. 16, 21; 532 N.W.2d 878 (1995). The primary goal of statutory interpretation is to give effect to the intent of the Legislature. In interpreting a statute, courts must assign words their ordinary, normally accepted meanings. Moreover, in determining legislative intent, courts should give statutory language a reasonable construction that best accomplishes the purpose of the statute. Mino v McCarthy, 209 Mich. App. 302, 304-305; 530 N.W.2d 779 (1995).
Plaintiff Cornwall also argues that the decision of the trial court should be reversed because the trial court failed to make an adequate record of its reasoning when granting defendants' motion for summary disposition. However, because statutory interpretation and the grant of summary disposition are reviewed de novo on appeal, we see no purpose in remanding on that basis.
As a general rule, the remedies provided by statute for violation of a right having no common-law counterpart are exclusive. Dudewicz v Norris Schmid, Inc, 443 Mich. 68, 78; 503 N.W.2d 645 (1993). However, an exception to this general rule provides that if the statutory remedy is plainly inadequate, a private cause of action can be inferred. Forster v Delton School Dist, 176 Mich. App. 582, 585; 440 N.W.2d 421 (1989).
Cornwall relies on this exception to support his claim that the statute allows a private cause of action. Specifically, Cornwall argues that the limited remedies provided under the act are insufficient to achieve the act's purpose of ensuring that workers on public construction projects receive wages equal to union scale. See West Ottawa Public Schools v Director, Dep't of Labor, 107 Mich. App. 237, 245; 309 N.W.2d 220 (1981). Cornwall points out that although the act mandates payment of statutorily mandated wages and benefits, without a private cause of action there is no means of ensuring that workers will receive appropriate wages and benefits.
However, this Court has held that because the act is in derogation of the common law and contains penal provisions, it must be strictly construed. Muskegon Building Construction Trades v Muskegon Area Intermediate School Dist, 130 Mich. App. 420, 437; 343 N.W.2d 579 (1983). There is no express provision in the act for a private cause of action. In contrast, the Legislature explicitly authorized a private cause of action in the Minimum Wage Law. See MCL 408.393; MSA 17.255(13).
The dissent notes that this Court held in Muskegon Building Construction Trades that a circuit court has equity jurisdiction to issue an injunction. In Muskegon Building Construction Trades, the plaintiff was a labor organization consisting of various craft and trade unions. The plaintiff requested injunctive relief after discovering that the defendant school district had solicited bids for a remodeling project without including provisions for the payment of wages and benefits at the prevailing rates in the specifications. Muskegon Building Construction Trades, supra at 423. This Court affirmed the trial court's grant of an injunction that enjoined the school district from receiving bids and awarding contracts that did not require payment of the prevailing wage rate and fringe benefits. Id. at 429-430. However, we do not see how this Court's support for an injunction under the facts of Muskegon Building Construction Trades supports the dissent's conclusion that there is a private cause of action under the act.
In 1973, a bill was introduced in the Legislature that would have allowed a person employed by a contractor that paid less than the stipulated rates to bring a civil action to recover the difference. See HB 5232. The Legislature did not pass this bill.
Given these factors, we cannot find that the Legislature intended to establish a private cause of action under the act. Rather, we believe that the Legislature intended the remedies provided in the statute to be exclusive. Although the statutory remedies are not as comprehensive as plaintiffs and our dissenting colleague would like, we cannot conclude that the remedies are inadequate to accomplish the act's purpose. Accordingly, we hold that there is no private cause of action to enforce the act.
III
Plaintiffs also argue that the trial court erred in dismissing the union's fraud claim. To show fraud or misrepresentation, a plaintiff must establish the following elements: (1) the defendant made a material misrepresentation; (2) it was false; (3) when it was made, the defendant either knew it was false or made it recklessly without knowledge of its truth or falsity; (4) the defendant made it with the intent that the plaintiff would act upon it; (5) the plaintiff acted in reliance on it; and (6) the plaintiff suffered damage. Arim v General Motors Corp, 206 Mich. App. 178, 195; 520 N.W.2d 695 (1994).
The union has not claimed that it acted in reliance on defendants' allegedly false statements. Rather, the union has asserted that defendants fraudulently told the Rochester Board of Education that they would comply with the act. According to the union, as a result of the misrepresentations its members were deprived of employment opportunities because defendants were awarded the contract on the Rochester schools project. An allegation of fraud based on misrepresentations made to a third party does not constitute a valid fraud claim.
IV
Plaintiffs argue that the trial court erred in dismissing their claims without giving them the opportunity to amend their pleadings. The rules pertaining to the amendment of pleadings are designed to facilitate amendment except where prejudice to the opposing party would result. Amendment is generally a matter of right rather than grace, and a motion to amend ordinarily should be denied only for particularized reasons. Patillo v Equitable Life Assurance Society of the United States, 199 Mich. App. 450, 456; 502 N.W.2d 696 (1993). The grant or denial of leave to amend a pleading is reviewed for an abuse of discretion. Reed v Citizens Ins Co of America, 198 Mich. App. 443, 450; 499 N.W.2d 22 (1993).
After the trial court granted defendants' motions for summary disposition, plaintiffs requested the opportunity to amend their pleadings in a motion for reconsideration. However, both in their motion below and in their arguments on appeal, plaintiffs did not indicate how they would amend the complaint. The trial court did not abuse its discretion in refusing to allow plaintiffs to amend their pleadings.
V
Finally, defendants argue that the trial court erred in denying their motion for summary disposition with respect to the union pursuant to MCR 2.116(C)(8). However, defendants did not file a cross appeal. Accordingly, this claim of error is not properly before this Court.
Affirmed in part, reversed in part, and remanded.
MARKMAN, J., concurred.
I concur with parts I, III, IV, and V of the majority opinion reversing the trial court's grant of summary disposition.
With regard to part II, I respectfully dissent.
This Court has already held that a private right of action does exist, at least in equity. In Muskegon Building Construction Trades v Muskegon Intermediate School Dist, 130 Mich. App. 420, 430; 343 N.W.2d 579 (1983), this Court held that the members of the plaintiff union had sufficient property rights that the circuit court could grant the union an injunction against the defendant's pending violation of the statute:
[P]laintiff alleges that it can prove that, as a result of defendant's failure to comply with the prevailing wage act, its members were deprived of employment they would otherwise have enjoyed. Under these circumstances, the circuit court had equity jurisdiction to issue an injunction.
Moreover, Dudewicz v Norris-Schmid, Inc, 443 Mich. 68; 503 N.W.2d 645 (1993), is a limited holding. In that case, an employee was fired for reporting to the police that he had been assaulted by a fellow employee. The trial court dismissed the plaintiff's claim under the Whistleblowers' Protection Act, MCL 15.361 et seq.; MSA 17.428(1) et seq., and also dismissed his alternative "public policy" tort claim.
The Supreme Court reversed, holding that the plaintiff did state a claim under the Whistleblowers' Protection Act. This being the case, the Supreme Court went on to hold that where a plaintiff already has a remedy expressly conferred by statute, the Court will not recognize a tort claim based on "public policy.
In Forster v Delton School Dist, 176 Mich. App. 582, 585; 440 N.W.2d 421 (1989), this Court held:
The campaign financing act does not allow for enforcement by private individuals. MCL 169.215; MSA 4.1703(15) provides an express remedy to enforce the duties imposed under the campaign financing act. The campaign financing act also provides for criminal penalties for knowing violation of the act. . . .
. . . Since the act provides an adequate remedy to enforce its provisions, no private right of action can be inferred.
In both of the above-cited cases, the appellate court's focus was not upon the existence of a statutorily created right, but, rather, the existence of an adequate remedy to enforce the statutory right.
In the present case, Cornwall alleges that a contractor (a) fraudulently induced a public entity to engage his company, (b) underbid his competitors by violating the law, (c) intimidated his employees against blowing the whistle while the project was under construction, and (d) finished the project before the Rochester Board of Education received any allegations of chicanery — thus precluding the Board of Education from timely invoking MCL 508.556; MSA 17.256(6).
If there is no right of action in this situation, then the intended beneficiaries of the statute — the workers — have no means of timely seeking court enforcement of their rights without being fired. If ever a statutory remedy was plainly inadequate, this one is.
Therefore, I would infer that where it is alleged that a contractor has prevented his employees from timely informing the other contracting party of violations, thus depriving them of their only statutory remedy, a private right of action for damages exists.