FOR PUBLICATION
ATTORNEYS FOR APPELLANTS
: ATTORNEY FOR APPELLEE:
DAVID C. JENSEN DAVID E. WICKLAND
JOHN P. TWOHY Munster, Indiana
Eichhorn & Eichhorn
Hammond, Indiana
DENNIS C. BIELFELDT, KATHERINE ONEILL,)
LEONIDAS KOPULOS, RANDALL E. HAYES, )
And DANIEL A. HOLTZ, )
)
Appellants, )
)
vs. ) No. 45A03-0305-CV-170
)
ERNST R. NIMS, )
)
Appellee. )
That further, beginning in approximately the summer of 2000, and continuing through and
including December 7, 2000, the defendants, and each of them, knowing that plaintiff
was an employee of the Munster office of Raymond James & Associates, Inc.,
as a licensed securities broker, contacted superior representatives of said Raymond James &
Associates, Inc., tortiously and intentionally, for their own personal gain induced the superiors
of plaintiff to transfer the employment of plaintiff as a licensed securities broker
with said Raymond James & Associates, Inc. to Chicago, Illinois and induced the
said corporation to terminate plaintiffs employment as a licensed securities broker in the
Munster, Indiana office.
Appendix at 1-2. Count II of the complaint alleged that in the
fall of 2000 and continuing into early December of 2000, Katherine ONeill falsely
and maliciously accused Nims of sexual harassment and immoral conduct in the workplace
with the purpose of harming Nimss trade, profession, and business.
On December 13, 2002, Defendants filed as their responsive pleading a motion to
compel arbitration, together with a supporting memorandum of law. Following a contested
hearing, the trial court denied Defendants motion to compel arbitration. In its
Order of April 10, 2003, the trial court explained the denial as follows:
Defendants have not established that there was, in fact, an agreement to arbitrate
claims between plaintiffs former employer Raymond James & Associates, Inc. and the plaintiff.
A claim for tortuous [sic] interference, as the Plaintiff has made in his
complaint, is not the kind of claim contemplated by NASD Rule 10201 which
mandates arbitration.
Appendix at 83. Defendants now appeal.
When reviewing the denial of a motion to compel arbitration, our standard of
review is de novo. Showboat Marina Casino Pship v. Tonn & Blank
Constr., 790 N.E.2d 595 (Ind. Ct. App. 2003). Indiana and federal law
recognize a strong policy of favoring enforcement of arbitration agreements. See, e.g.,
Shearson/Am. Express, Inc. v. McMahon, 482 U.S. 220 (1987); Moses H. Cone Meml
Hosp. v. Mercury Constr. Corp., 460 U.S. 1, 24-25 (1983) (any doubts concerning
the scope of arbitrable issues should be resolved in favor of arbitration); Polinsky
v. Violi, No. 09A05-0310-CV-538 (February 18, 2004). The party seeking to compel
arbitration has the burden of demonstrating the existence of an enforceable arbitration agreement
and that the disputed matter is the type of claim intended to be
arbitrated under the agreement. See Polinsky v. Violi, No. 09A05-0310-CV-538. When
determining whether the parties have agreed to arbitrate a dispute, we apply ordinary
contract principles. Showboat Marina Casino Pship v. Tonn & Blank Constr., 790
N.E.2d 595. In addition, [w]hen construing arbitration agreements, every doubt is to
be resolved in favor of arbitration, and the parties are bound to arbitrate
all matters, not explicitly excluded, that reasonably fit within the language used.
Id. at 598 (quoting Mislenkov v. Accurate Metal Detinning, Inc., 743 N.E.2d 286,
289 (Ind. Ct. App. 2001)). Parties are bound to arbitrate, however, only
those issues that by clear language they have agreed to arbitrate, as arbitration
agreements will not be extended by construction or implication. Showboat Marina Casino
Pship v. Tonn & Blank Constr., 790 N.E.2d 595.
Upon being employed by Roney in 1994, Nims completed and signed a Form
U-4 Uniform Application for Securities Industry Registration or Transfer (Form U-4), registering his
association with Roney and applying for registration with the NASD and other exchanges.
Under the heading THE APPLICANT MUST READ THE FOLLOWING VERY CAREFULLY, Nimss
Form U-4 contains the following provisions:
I apply for registration with the jurisdictions and organizations indicated in Item 10
as may be amended from time to time and, in consideration of the
jurisdictions and organizations receiving and considering my application, I submit to the authority
of the jurisdictions and organizations and agree to comply with all provisions, conditions
and covenants of the statutes, constitutions, certificates of incorporation, by-laws and rules and
regulations of the jurisdictions and organizations as they are or may be adopted,
or amended from time to time. I further agree to be subject
to and comply with all requirements, rulings, orders, directives and decisions of, and
penalties, prohibitions and limitations imposed by the jurisdictions and organizations, subject to right
of appeal or review as provided by law.
Appendix at 26. The organizations listed in Item 10 of Nimss Form
U-4 include the NASD.
NASDs Code of Arbitration Procedure Rule 10201(a), entitled Required Submission, provides as
follows:
(a) Except as provided in paragraph (b) or Rule 10216,[
See footnote ] a dispute,
claim, or controversy eligible for submission under the Rule 10100 Series 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 person(s) with such member, shall be arbitrated under this Code, at the
insistence of:
a member against another member;
a member against a person associated with a member or a person associated
with a member against a member; and
a person associated with a member against a person associated with a member.
Appendix at 27 (emphasis supplied). Defendants claim that Nims is bound by
the agreement to arbitrate, contained in the Form U-4 and corresponding NASD rule,
and that it was the intent of Nims and the NASD, as expressed
in said agreement, that disputes such as those in the instant case be
submitted to NASD arbitration.
As set forth above, the trial courts first basis for denying the motion
to compel arbitration was that Defendants failed to demonstrate an agreement to arbitrate
between Nims and Raymond James. While this may be true, we observe
that such a finding is inapposite to the issue at hand, as Raymond
James is not a party in this case and Defendants have never relied
upon an agreement between Nims and Raymond James to establish their right to
arbitration. Rather, Defendants have consistently cited the Form U-4 agreement to arbitrate
that Nims entered into with the NASD.
Contrary to Nimss apparent misguided belief,
See footnote the arbitration obligations assumed in his Form
U-4 ran to the NASD, as well as the other organizations with which
he registered, and not to his employer (whether Raymond James or Roney).
See Zandford v. Prudential-Bache Sec., Inc., 112 F.3d 723, 727 (4th Cir. 1997)
(such agreements are with securities exchanges rather than with individual employers) (citing Gilmer
v. Interstate/Johnson Lane Corp., 500 U.S. 20 (1991)); Northwestern Mut. Life Ins. Co.
v. Stinnett, 698 N.E.2d 339 (Ind. Ct. App. 1998). This is true
because the arbitration requirement arises from Nimss relationship with the NASD as a
member of that organization. See Northwestern Mut. Life Ins. Co. v. Stinnett,
698 N.E.2d at 342 ([a]lthough Stinnett signed the U-4 and joined the New
York Stock Exchange and the [NASD] because of his employment with Defendants, they
are totally separate relationships and the termination agreement signed by the parties does
not supersede the arbitration provisions entered into by Stinnett as a result of
the U-4) (citing Zandford v. Prudential-Bache Sec., Inc., 112 F.3d 723). Because
the arbitration agreement was entered into between Nims and the NASD, the subsequent
merger between Roney and Raymond James did not alter Nimss arbitration agreement with
the NASD.
See footnote
Cf. Zandford v. Prudential-Bache Sec., Inc., 112 F.3d at 728
(noting that, despite termination of employment with defendant, plaintiff remained a member of
the securities exchanges and subject to their requirements when the events leading to
this lawsuit occurred).
Having determined that Nims is bound by the NASD arbitration agreement, we now
turn to whether his claims against Defendants are the type of claims contemplated
by NASD Rule 10201. NASD arbitration provisions are very broad, Northwestern Mut.
Life Ins. Co. v. Stinnett, 698 N.E.2d at 342, and encompass claims arising
in connection with the business of a member (i.e., Raymond James) or the
activities of an associated person (i.e., Defendants or Nims), or arising out of
the employment or termination of employment of an associated person. See NASD
Rule 10201(a). With regard to the latter, we observe that the specific
source from which a controversy must arise is not the employment contract; it
is simply employment or termination of employment. Cf. Zandford v. Prudential-Bache Sec.,
Inc., 112 F.3d 723 (interpreting similar arbitration provision in NYSE rules). In
this regard, we look to whether resolution of the claim depends upon evaluation
of a partys performance either as a broker or as an employer of
brokers during the time of the contractual relationship. Northwestern Mut. Life Ins.
Co. v. Stinnett, 698 N.E.2d at 342 (quoting Zandford v. Prudential-Bache Sec., Inc.,
112 F.3d at 729).
Nims argues that the underlying claims in his complaint involve false accusations of
sexual harassment and, therefore, do not involve matters arising out of or in
connection with Raymond Jamess business or involve an evaluation of Nimss performance as
a broker. We do not view the claims so narrowly. First,
we cannot agree that the complaint is necessarily limited to claims of false
accusations of sexual harassment. Rather, the first count of the complaint, the
tortious interference claim, makes no mention of sexual harassment allegations, and the defamation
claim refers broadly to false accusations of immoral conduct in the workplace as
well as sexual harassment. Appendix at 3.
Moreover, at the heart of Nimss complaint is his claim that Defendants tortiously
induced Raymond James to terminate Nimss employment with the firm as branch manager
and broker in the Munster, Indiana office. Determination of his claims will
necessarily involve an evaluation of Nimss performance and conduct as a broker and
branch manager with Raymond James and inquiry into why Raymond James terminated Nimss
employment with the branch. Examination of Nimss activities as a branch manager,
including his supervision of and interaction with Defendants, will also be integral to
the resolution of this dispute.
Mindful of our obligation to resolve any doubts in favor of arbitration, we
conclude that the claims made by Nims against Defendants fall within the realm
of NASD Rule 10201 and, therefore, must be arbitrated. The trial court
erred in denying Defendants motion to compel arbitration.
Reversed.
RILEY, J., concurs.
SULLIVAN, J., concurs in part and dissents in part with separate opinion.
SULLIVAN, Judge, concurring in part and dissenting in part
I concur that Count I of Nimss complaint is subject to arbitration.
I disagree, however, as to Count II of the complaint.
Although Nimss claim is one of false accusation of sexual harassment by ONeill
rather than an act of sexual harassment itself, the false allegation claim is
inextricably intertwined with the act of which Nims was allegedly accused. Accordingly,
I would hold that Nimss claim of false accusation is not required to
be arbitrated. NASD Code of Arbitration Procedure Rule 10201(b).
I do not read NASD Arbitration Rule 10216, referenced by the majority in
Footnote 1, to provide for coordination of Nimss two separate claims under Counts
I and II. The Rule addresses a claim asserted by a party
either in arbitration or in a court and coordination of a related claim
by a respondent to the claim of the party.
I would reverse as to Count I but would affirm as to Count
II.