IN THE COURT OF APPEALS OF TENNESSEE
AT NASHVILLE
November 1999 Session
TIMOTHY E. ISBELL v. TRAVIS ELECTRIC COMPANY
AND MILTON TRAVIS
Appeal from the Circuit Court for Davidson County
No. 97C-475 Hamilton V. Gayden, Jr., Judge
No. M1999-00052-COA-R3-CV - Filed December 13, 2000
After Plaintiff resigned from his job and attempted to start his own competing business, his former
manager informed a mutual client of the circumstances surrounding his resignation. Plaintiff sued
his former employer and its service manager, alleging slander, libel, defamation, and tortious
interference with contract. The trial court directed a verdict for Defendants, and Plaintiff appeals,
arguing that the trial court misapplied the substantial truth doctrine, failed to apply the doctrine of
implication, and was incorrect in its finding that no contract existed between Plaintiff and his new
company’s main client. Plaintiff also insists that, by failing to grant a new trial so that he could add
an allegation of invasion of privacy, the court ignored the proper legal consequences arising from
the disclosure of a confidential drug test. For the following reasons, we affirm the decision of the
trial court.
Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court
Affirmed and Remanded
PATRICIA J. COTTRELL, J., delivered the opinion of the court, in which WILLIAM C. KOCH , JR., and
WILLIAM B. CAIN , JJ., joined.
Christopher K. Thompson, Murfreesboro, Tennessee, Shelley I. Stiles, Brentwood, Tennessee, for
the appellant, Timothy E. Isbell.
Thomas C. Corts, Nashville, Tennessee, for the appellees, Travis Electric Company and Milton
Travis.
OPINION
Timothy E. Isbell sued his former employer, Travis Electric Company, and its service
manager, Milton Travis, alleging slander, libel, defamation, and tortious interference with contract.1
A jury was empaneled to hear the case. At the close of Plaintiff’s proof, the trial court directed a
verdict for TEC and Mr. Travis. We first review the facts as established by Plaintiff’s proof.
I. Background
Mr. Isbell worked as an electrician at TEC for approximately three years. Over the course
of his employment, much of Mr. Isbell’s work involved installing electrical cable at various First
American Bank branches. During Mr. Isbell’s third year of employment, TEC initiated drug testing
at the request of its workers’ compensation carrier. Mr. Isbell underwent his first test on February
6, 1996, and tested positive for marijuana. Mr. Isbell testified that when he came in to take the test,
“it was kind of a common known element, a joke, because everybody was laughing. Everybody was
aware that I was not going to pass the test.” He admitted that he told a supervisor, in front of a
secretary, that he would not pass the test that day. Mr. Isbell did fail that test. He was not
disciplined for failing the test, but was told he could take a second test thirty days later, which he
took and passed.
Mr. Isbell’s marijuana use was known by his coworkers. He admitted that, prior to the first
drug test, he had often used marijuana, that he had smoked marijuana in the presence of coworkers,
and that he regularly smoked just prior to having an apprentice drive him to out-of-town jobs in
company trucks. He also admitted to smoking marijuana in hotel rooms paid for by his employer
while on out-of-town jobs. Further, on one occasion he helped a coworker purchase a sufficient
amount of marijuana to resell. In addition, he assisted an employee of First American Bank in a
purchase of marijuana.
In November 1996, two TEC employees purportedly told Mr. Travis that Mr. Isbell was using
marijuana again. One employee had asked not to be assigned to go on an out-of-town job with Mr.
Isbell because Mr. Isbell was using marijuana again and the employee didn’t want to be around it.
Another employee was assigned to go on that out-of-town job with Mr. Isbell. Upon his return, that
employee told Mr. Travis that Mr. Isbell had smoked marijuana in the truck on the way to the job
and in the motel while on the out-of-town assignment. Shortly thereafter, Mr. Travis told Mr. Isbell
that he would no longer have access to his company truck, telephone, and pager. When Mr. Isbell
pressed him about the reason for this action, Mr. Travis stated, “We’ve heard you’re using that
marijuana again.” At that point, Mr. Isbell purportedly asked to take another drug test. Then he
“stormed out” and went home for the day. When he returned, Mr. Isbell was reassigned to work at
the company headquarters and received a decrease in his pay. At that time, Mr. Isbell quit. The day
that he left TEC he again smoked marijuana, “just like someone would have a drink.”
1
Hereinafter, Travis Electric Company will be referred to as “TEC” and Milton Travis will
be referred to as “Mr. Travis.”
2
On Mr. Isbell’s first or second day of his new employment, his employer, Harlan Electric,
required him to take a drug test. He informed that employer that he probably wouldn’t pass the test,
but took it. Rather than wait for the results, he told Harlan Electric that he was taking a leave of
absence while his wife had surgery and then did not return. He decided to set up his own company.
Around the day Mr. Isbell quit TEC, a representative of First American Bank, Johnny
Dudley, called Mr. Travis in an attempt to locate Mr. Isbell to check on a project he had been
working on for the bank. During that conversation, Mr. Travis informed Mr. Dudley that Mr. Isbell
no longer worked for TEC. According to Mr. Dudley, Mr. Travis said that “Tim had failed to take
a drug test and that they had took his responsibility of driving a vehicle away from him, and he had
gotten mad and left the company.” Mr. Dudley also testified that Mr. Travis “said that it was a
policy of Travis to give each employee a drug test and that Tim had some problems earlier in the year
before that and he had – he had kind of talked to him about it and then they had asked him to take
another test and he refused it.” When asked if Mr. Travis said that Mr. Isbell was asked to take a
drug test in February of 1996, Mr. Dudley answered in the affirmative and stated that he was told
that Mr. Isbell “had took a drug test and not passed it earlier.” He later agreed that Mr. Travis
didn’t tell . . . [him] basically anything other than, at one time, he’d [Mr. Isbell]
flunked a drug test and that there was some suspicion that there might have been
some further use and [TEC] took him off the truck and he quit.
In early December, Mr. Isbell formed Isbell Contracting Electric and started performing
specific jobs for First American Bank. Just before Christmas, Mr. Travis visited a representative of
First American Bank, Paul Carothers, to deliver a complimentary calendar. According to Mr.
Carothers, Mr. Travis mentioned “that Tim had been taken off the road, brought back into the shop
because of failing a drug test at the time he was still working for Travis.” Mr. Carothers also
recalled that:
Milton [Travis] brought up the subject of Timothy Isbell doing some work for First
American. . . He mentioned that Tim had failed a drug test while at Travis Electric.
As a result, Tim ha[d] been reassigned to the shop. My recollection of the story was
that other employees traveling with him on out-of-town jobs complained of Tim
using drugs in the company truck and while they were present in the motels at night.
This was the cause for the drug test.
Mr. Carothers could not recall whether Mr. Travis informed him that Mr. Isbell had
subsequently passed a drug test. He had heard that, but could not remember the source. Mr.
Carothers stated that he had learned that Mr. Isbell had failed a drug test before talking to Mr. Travis
and had previously known that Mr. Isbell had left TEC because of some drug problems that had
surfaced. He stated that Mr. Isbell’s marijuana use was “kind of already known.” About a month
after his discussion with Mr. Travis, Mr. Carothers sent an e-mail to his supervisor, Mr. Meacham,
asking advice on whether to permit Mr. Isbell to do any work for them. The e-mail stated, in part:
3
Recently Tim Isbell surfaced as a contractor for cabling. Ameristar [a First American
subsidiary or affiliate] has requested to use him as they have been very satisfied with
his work. I talked to him and got a proposal for some standard pricing which is
cheaper than Travis . . .
Enter Milton Travis. Milton came by to pay a courtesy call and brought Tim up in
the conversation. He repeated an allegation (which Johnny Dudley had already told
me about) that Tim had tested positive for drugs while with Travis. He wasn’t fired,
but was reassigned, which caused him to quit. I asked him whether he had
documented proof which he could share with me. Of course he doesn’t; privacy
issues.
So, I’m in a quandry whether I should permit Tim to do any work for us or not. We
have a much delayed initiative to do regional RFPs for cabling work, but in the
meantime what should I do? And could Tim’s company be considered for the RFP?
Mr. Meacham testified, “Paul had communicated to me that we had a subcontractor doing
work and that he had received some information regarding some type of substance abuse issue. I
don’t recall what the - - in my mind, it stuck as a substance abuse issue. . .” He shared the issue with
other managers, one of whom responded with other concerns. She told Mr. Meacham, “I have a
larger issue. How is an electrical subcontractor doing work at First American Bank and I don’t know
about it?” She was in charge of managing the facility, and stated that she normally had knowledge
of subcontractors and that the bank needed to fine-tune the policy. She stated her concerns in
another e-mail about Mr. Isbell or any other contractor working for the bank without certain
procedures being followed:
In response to the Tim Isabell [sic] question: we cannot have anyone work in the First
American Center without obtaining landlord approval. Also, I am not comfortable
having an uncertain number of contractors working on our systems. When something
goes wrong, it will be no one’s fault. Choosing contractors to work on/in building
systems needs to stay centralized through Facilities . . .
If we are dissatisfied with Travis’ rates . . . then we need to put an RFP together and
qualify another company to work for us. The parameters of qualification would
include experience, references, insurance, and company depth since we often need
them in more than one place at once.
One additional consideration is that we are on a program of strategic alliance with
our good banking customers. That means they get preference. . . over any other RFP
respondent.
Let me know if your guys want to go through the RFP and qualification process with
4
us, to try to qualify someone other than Travis to do their work. In any event, we
should not have a process that allows non-Facilities employees to hire electrical or
mechanical contractors to work in our owned or leased space.
As a result of this e-mail and his conversations with the facilities manager, Mr. Meacham
issued an e-mail directive to Mr. Carothers, who forwarded it to others, stating:
Please don’t extend any offers of contract work to Tim Isbell until you hear back
from me. Is anyone else (AmeriStar?) contemplating using Tim? If so, please inform
them that Tim is not yet approved to perform electrical work for us. FYI, it is not
certain that Tim would be a “FANB-approved” electrician. I’ll keep you posted.
Mr. Meacham testified that the reason for his e-mail was the facilities manager’s concerns
and the issues she raised in her e-mail. He agreed that the bank needed to make sure that any
contractor used was on the bank’s approved contractor list. He also testified that this action did not
“close the door” on Mr. Isbell or anyone else doing work for the bank in the future if proper
procedures were followed.
After Dave Dozier, an employee of Ameristar, First American Bank’s investment services
group, received this communication, he told Mr. Isbell that it appeared that Mr. Travis was trying
“cut the legs out from under” him. Mr. Isbell received no new work at the bank after the e-mail from
Mr. Meacham.
II. Slander
At the close of Mr. Isbell’s case, the trial court found that the only two claims actually
asserted in this case were slander and tortious interference with contract. It granted TEC and Mr.
Travis’s motions for directed verdict on both.
Because the trial court directed verdicts for TEC and Mr. Travis, this case primarily involves
questions of law rather than fact. See Norman v. Southern Ry., 119 Tenn. 401, 422, 104 S.W. 1088,
1093-94 (1907). Thus, we must review the record to determine whether Mr. Isbell's evidence was
sufficient to create an issue for the jury to decide. See Underwood v. Waterslides of Mid-America,
Inc., 823 S.W.2d 171, 176 (Tenn. Ct. App. 1991). In conducting this review, we may not weigh the
evidence or evaluate the credibility of the witnesses. See Conatser v. Clarksville Coca-Cola Bottling
Co., 920 S.W.2d 646, 647 (Tenn. 1995); Benson v. Tennessee Valley Elec. Coop., 868 S.W.2d 630,
638-39 (Tenn. Ct. App. 1993). Instead, viewing the evidence in the light most favorable to the
nonmovant, we must give that party the benefit of all reasonable inferences from the evidence, and
disregard all evidence contrary to that party's position. See Eaton v. McLain, 891 S.W.2d 587, 590
(Tenn. 1994); Gann v. International Harvester Co., 712 S.W.2d 100, 105 (Tenn. 1986).
Directed verdicts are appropriate only when reasonable minds can reach no other conclusion.
See Williams v. Brown, 860 S.W.2d 854, 857 (Tenn. 1993); Crosslin v. Alsup, 594 S.W.2d 379, 380
5
(Tenn. 1980). The jury should decide cases where, even if the facts are undisputed, reasonable
persons could draw conflicting conclusions from the facts. See Gulf, M. & O.R.R. v. Underwood,
182 Tenn. 467, 474, 187 S.W.2d 777, 779 (1945); Pettus v. Hurst, 882 S.W.2d 783, 788 (Tenn. Ct.
App. 1993). Such conclusions, however, must be based on more than speculation, conjecture, and
guesswork. See Daniels v. White Consol. Indus., Inc., 692 S.W.2d 422, 425 (Tenn. Ct. App. 1985).
Directed verdicts are appropriate when the plaintiff's evidence fails to establish a prima facie case.
See Eaton v. McLain, 891 S.W.2d at 590-91 n.3.
We will first review the trial court’s dismissal of the slander claim. Regarding the slander
claim, the trial court stated:
Secondly, the truth is a defense to slander. I think there’s some exceptions, but this
is not one of them, and everything that was said was true and he did refuse to take a
test. One time he did fail a test subsequently and passed the test one time, but the
upshot of it is – the overview was there was a problem with marijuana and the Court
grants the verdict on the grounds of slander.
The trial court’s statement that “truth is a defense” is a reference to one of the well-settled
principles of the law of defamation. In this State, both slander and libel are considered to be forms
of defamation. See Quality Auto Parts Co., Inc. v. Bluff City Buick Co., Inc., 876 S.W.2d 818, 820
(Tenn. 1994). “The basis of an action for defamation, whether it be for slander or libel, is the
defamation resulted in an injury to the person's character and reputation.” Id. Libel involves written
defamation and slander, at issue here, involves defamatory language that is spoken. See id.
To establish a prima facie case of defamation, the plaintiff must prove that (1) a party
published a statement; (2) with knowledge that the statement was false and defaming to the other;
or (3) with reckless disregard for the truth of the statement or (4) with negligence in failing to
ascertain the truth of the statement. See Sullivan v. Baptist Mem’l Hosp., 995 S.W.2d 569, 571
(Tenn. 1999) (relying on RESTATEMENT (SECOND) OF TORTS § 580 B (1977)). “Publication” is a
term of art meaning the communication of defamatory matter to a third person. See id.
Truth is an absolute defense “when the defamatory meaning conveyed by the words is true.”
Memphis Publ’g Co. v. Nichols, 569 S.W.2d 412, 420 (Tenn. 1978).
The damaging words must be factually false. If they are true, or essentially true, they
are not actionable, even though the published statement contains other inaccuracies
which are not damaging. Thus, the defense of truth applies so long as the “sting” (or
injurious part) of the statement is true. “. . . it is not necessary to prove the literal
truth of the accusation in every detail, and that it is sufficient to show that the
imputation is substantially true, or, as it is often put, to justify the 'gist,' the 'sting,' or
the 'substantial truth' of the defamation.”
Stones River Motors, Inc. v. Mid-South Publ’g Co., 651 S.W.2d 713, 719-20 (Tenn. Ct. App. 1983).
6
To be actionable, the statement at issue must “constitute a serious threat to the plaintiff’s reputation.”
Id. at 719.
Mr. Isbell’s first argument in defense of his defamation claim is that the trial court misapplied
the substantial truth doctrine because the “gist” of Mr. Travis’s statements, as well as some of the
exact words, were false. He maintains that the gist of Mr. Travis’s comments was that he had a
continuing drug problem when, in truth, he failed one drug test but passed a second.
The record, viewed in the light most favorable to Mr. Isbell, shows that Mr. Travis
erroneously told Johnny Dudley that “Tim had failed to take a drug test.” The remainder of Mr.
Travis’s statements to Mr. Dudley, that Mr. Isbell had failed a drug test and that “there was some
suspicion that there might have been some further use and [TEC] took him off the truck and he quit,”
were true. Mr. Travis told Mr. Carothers that Mr. Isbell had failed a drug test and that employees
traveling with him on out-of-town jobs had complained of his drug use. These statements were true.
Thus, the only untrue statement Mr. Travis made was that Mr. Isbell had refused to take a drug test.
The truth was that he had taken a drug test and failed. Taking his testimony in the best light, he also
offered to take another test when he was reassigned. The question presented, then, is whether the
statement that Mr. Isbell failed to take a drug test, while not the literal truth, is sufficiently close
to the truth “to show that the imputation is substantially true, or, as it is often put, to justify the ‘gist,’
the ‘sting,’ or the ‘substantial truth’ of the defamation. . . .” Ali v. Moore, 984 S.W.2d 224, 229
(Tenn. Ct. App. 1998).
Mr. Isbell’s second argument addresses a separate but related principle, defamation by
implication. Tennessee law recognized the doctrine of defamation by innuendo or implication in
Memphis Publ’g Co. v. Nichols, 569 S.W.2d at 412. In Nichols, a newspaper was held liable for
defamation for printing a story which truthfully stated that upon finding her husband at the plaintiff’s
home, the wife shot the plaintiff. The article failed to mention that other individuals, in addition to
plaintiff’s husband, were present when the shooting occurred and that the shooting occurred in the
afternoon. These omissions, which were said to give rise to the implication that the plaintiff and the
shooter’s husband were having an affair when caught by the shooter, were the basis for reversing the
trial court’s decision to grant the newspaper’s motion for summary judgment.
The Nichols court observed:
The proper question is whether the meaning reasonably conveyed by the published
words is defamatory, “whether the libel as published would have a different effect on
the mind of the reader from that which the pleaded truth would have produced.”
(citations omitted.) The publication of the complete facts could not conceivably have
led the reader to conclude that [plaintiff] and [shooter’s husband] had an adulterous
relationship. The published statement, therefore, so distorted the truth as to make the
entire article false and defamatory. It is no defense whatever that individual
statements within the article were literally true. Truth is available as an absolute
defense only when the defamatory meaning conveyed by the words is true.
7
Id., 569 S.W.2d at 420. In essence, Nichols stands for the proposition that “statements literally true
may be actionable if they imply facts that are not true.” Robert D. Sack & Sandra S. Baron, LIBEL,
SLANDER & RELATED PROBLEMS § 3.6 (2d ed. 1994). “The rationale behind this rule is that, when
truthful statements carry a defamatory innuendo, the factual implication should also be true to justify
the implication.” Fitzgerald v. Tucker, 737 So.2d 706, 717 (La. 1999). “The proper question is
whether the meaning reasonably conveyed by the published words is reasonably understood in a
defamatory sense by the reader or listener.” Pate v. Service Merchandise Co., 959 S.W.2d 569, 574
(Tenn. Ct. App. 1996).
Mr. Isbell argues that Mr. Travis’s statements, even if literally true, constituted defamation
by implication because they left out the key fact that he had passed his second drug test, which, he
argues, gave rise to the false implication that he had a continuing drug problem. To apply the
principles of defamation by implication to the facts in this case, we must look to whether Mr. Travis
implied false, defamatory innuendo about Mr. Isbell by truthfully stating that Mr. Isbell failed a drug
test. See Fitzgerald, 737 So.2d at 717. The question before us, then, is whether the inclusion of the
fact that Mr. Isbell passed a second drug test, after thirty days notice of the test, would “have a
different effect on the mind” of the hearer, in terms of creating a defamatory implication, than the
effect created by the true statements actually made.
The gist of Mr. Travis’s statements were that Mr. Isbell used marijuana. Mr. Isbell’s
admissions at trial regarding his use of marijuana, his use while on TEC trips, and his likely failure
to pass the drug test given by his subsequent employer establish his regular use of marijuana.
Further, it appears that Mr. Isbell’s drug use was widely known in light of his testimony about his
coworkers’ response to his first drug test and his admission that he assisted a coworker and an
acquaintance at First American Bank in purchases of marijuana. Under these circumstances, we
decline to find that Mr. Travis’s false statement that Mr. Isbell refused to take a drug test constituted
“a serious threat” to Mr. Isbell’s reputation. Stones River Motors, Inc., 651 S.W.2d at 719.
Accordingly, the trial court’s finding that the statement was not defamatory is not reversible error.
Similarly, in light of the facts, we cannot say that the implication arising from Mr. Travis’s
statements was false. Unlike the plaintiff in Nichols who was clearly innocent of an extramarital
affair, Mr. Isbell acknowledged his known use of illegal drugs. The truth is that Mr. Isbell failed a
drug test, passed a second test a month later after notice, and subsequently consumed additional
illegal drugs. In light of this, the omission of the fact that Mr. Isbell passed the second drug test does
not create a sufficiently false impression to be actionable. Because the allegedly defamatory
meaning behind Mr. Travis’s words was true, the defamation by implication argument must fail.
Nichols, 569 S.W.2d at 420.
Both of Mr. Isbell’s arguments fail on their basic premise that the true facts which were
published damaged his reputation in a way that would not have occurred if Mr. Travis (1) had not
stated that Mr. Isbell failed to take a drug test or (2) had stated that Mr. Isbell passed a second drug
test. Based upon his own testimony, Mr. Isbell established that he had often used marijuana and that
a number of people knew about it. Mr. Isbell clearly expressed his opinion that there was nothing
8
wrong with using marijuana, an illegal drug, or in helping others buy it. He thus indicated his belief
that statements that he used the drug, or statements that he failed a drug test, did not damage his
reputation. To the extent that others did not share that opinion and the information that he used
drugs created an impression damaging to his reputation, we see no basis for his argument that the
fact that he could pass a drug test given sufficient notice would have prevented that damage. We
affirm the trial court’s dismissal of the slander claim.
III. Interference With Contract
Mr. Isbell argues that the trial court erred in directing a verdict on his tortious interference
with contract claim. He maintains that he had an implied-in-fact contract with First American to
perform electrical work and Mr. Travis’s conduct caused that contract to be breached in violation
of Tenn. Code Ann. § 47-50-109.2
A contract may be expressed or implied, written or oral, but to be enforceable it must result
from a meeting of the minds in mutual assent to terms, be based on sufficient consideration, and be
sufficiently definite to be enforced. See Johnson v. Central Nat’l Ins. Co., 210 Tenn. 24, 34-35, 356
S.W.2d 277, 281 (1962); Jamestowne on Signal, Inc. v. First Federal Sav. & Loan Ass'n., 807
S.W.2d 559, 564 (Tenn. Ct. App. 1990). The contemplated mutual assent and meeting of the minds
cannot be accomplished by the unilateral action of one party, nor by an ambiguous course of dealing
between the two parties from which differing inferences regarding continuation or modification of
the original contract might reasonably be drawn. See Batson v. Pleasant View Util. Dist., 592
S.W.2d 578, 582 (Tenn. Ct. App. 1979); Balderacchi v. Ruth, 36 Tenn. App. 421, 424-25, 256
S.W.2d 390, 391 (Tenn. Ct. App. 1953). “[A] mere expression of intent or a general willingness to
do something . . . in return for something to be received does not amount to an ‘offer.’" Talley v.
Curtis, 23 Tenn. App. 181, 186, 129 S.W.2d 1099, 1102 (1939).
Generally, an implied contract is one which is inferred from the conduct of the
parties; it is not necessarily expressed in words. Judd v. Heitman, 402 F.Supp. 929
(M.D. Tenn.1975). A promise will not arise by implication, however, when the
circumstances and facts from which the promise would be drawn are contrary or
completely inconsistent with the contract to be implied. 17 AM .JUR.2D Contracts §
3 (1964). Nor may a contract be implied in fact in the face of a declaration to the
contrary by the party to be charged. Travelers Ins. Co. v. Williams, 541 S.W.2d 587
(Tenn.1976).
2
Tenn Cod e Ann. § 47-50 -109, which provide s damages for proc urement of a breach o f contract, states:
It is unlawful for any person, by inducement, persuasion, misrepresentation, or other means, to induce
or procure the breach or violation, refusal or failure to perform any lawful contract by any party
thereto; and, in every case where a bre ach or violation of such contrac t is so procured, the person so
procuring or inducing the same shall be liable in treble the amount of damages resulting from or
incident to the breach of the contract. The party injured by such breach may bring suit for the breach
and for such dama ges.
9
V.L. Nicholson Co. v. Transcon Inv. & Fin. Ltd., Inc., 595 S.W.2d 474, 482 (Tenn. 1980).
It is undisputed that no written contract existed between Mr. Isbell and First American Bank.
However, Mr. Isbell argues that a contract for future work arose because First American Bank
established a course of dealing by faxing him work orders and he was told he could do some work
for Ameristar in Memphis at some unspecified time in the future.
In contrast, Mr. Dozier, Mr. Isbell’s primary, if not sole, contact with Ameristar testified that
he had not contracted with Mr. Isbell for any future work but had allowed him to finish the jobs in
process before cutting ties with him. Mr. Dozier denied breaching any contracts with Mr. Isbell.
In addition, Mr. Carothers testified that he had no on-going relationship with Mr. Isbell and had
promised him the possibility of future work “only to the extent of one job at a time.” The e-mails
set out above also establish that there was no contract with Mr. Isbell to do any work in the future,
much less any specific amount of work. Each of the work orders sent to Mr. Isbell constituted
separate contracts for specific jobs, each of which was completed.
Mr. Isbell asserts that he had a contract to do future unspecified work for First American.
Viewed in the light most favorable to Mr. Isbell, this evidence simply is not sufficient to give rise
to a jury question on whether a contract existed. Reasonable minds could not differ on the question
of whether there was evidence of the requisite mutual assent and meeting of the minds. It is not
present. Mr. Isbell’s unilateral expectation that First American Bank would utilize his services in
the future is insufficient to establish this element, which is essential to his claim of tortious
interference with contract. See Campbell v. Matlock, 749 S.W.2d 748, 751 (Tenn. Ct. App. 1987)
(the existence of a contract is an essential element in such claims).
The court held that the tortious interference with contract claim failed due to the lack of
evidence of an express or implied contract between First American and Mr. Isbell. We affirm the
trial court.
IV. New Trial and Amendment of Complaint
Mr. Isbell frames his final issue as follows: “The trial judge erred in refusing to allow
plaintiff a new trial on the grounds that defendants violated Tennessee law in releasing confidential
drug test information.” He argues that he proved that TEC and Mr. Travis violated Tennessee law
by committing the tort of invasion of privacy and that he is entitled to a new trial on this cause of
action, even though he did not allege that cause until well after the directed verdict against him.
Mr. Isbell did, indeed, file a motion for new trial which was denied by the trial court. That
motion, however, was not based on his alleged entitlement to a new trial on a new cause of action,
invasion of privacy. Mr. Isbell’s motion contained essentially the same arguments as are presented
in this appeal, addressing only the slander and inducement to breach causes of action. At the same
time he filed his motion for new trial, Mr. Isbell also filed a motion to amend his complaint seeking
10
to add a cause of action based on invasion of privacy, and that motion was also denied.3
We first review the propriety of the trial court’s denial of Mr. Isbell’s motion for new trial.
Trial courts are given wide latitude in deciding motions for new trial. See Loeffler v. Kjellgren, 884
S.W.2d 463, 468 (Tenn. Ct. App. 1994). Their decisions to grant or deny such motions are
reviewed for an abuse of discretion. See Esstman v. Boyd, 605 S.W.2d 237, 240 (Tenn. Ct. App.
1979). In his motion for new trial, Mr. Isbell made essentially the same arguments he has asserted
on appeal and argued that the trial court erred by granting a directed verdict. Having ourselves
determined the issues adversely to Mr. Isbell, we cannot say that the trial court abused its discretion
in refusing to grant a new trial on the basis of the same arguments, which were the only grounds
asserted in the motion.
In his brief, Mr. Isbell states his request for relief as, “In the event this appellate court
recognizes the trial judge’s error on the defamation claim, the plaintiff should be able to sue under
both the defamation and invasion of privacy claims.” Based on that statement, our affirmance of the
trial court’s decision dismissing the defamation and inducement to breach claims would appear to
dispose of Mr. Isbell’s issues regarding denial of his motion to amend.
However, Mr. Isbell also attempts to combine in this appeal the arguments he made in the
two separate motions to the trial court, taking the position that the trial court should have granted
him a new trial for the purpose of allowing him to amend his complaint to allege a new cause of
action. His argument is that he proved facts to support a finding that TEC and Travis committed the
tort of invasion of privacy and that he should be allowed a new trial on an amended complaint
alleging this cause of action for the first time. Although this ground is not set out in the motion for
new trial, we will consider the simultaneous filing of both motions as raising the issue. See
Quartana v. Utterback, 789 F.2d 1297, 1300 (8th Cir.1986) (a post-judgment Rule 15(a) motion for
leave to amend the complaint should be considered a Rule 59(e) motion to alter or amend judgment
because a "motion that draws into question the correctness of the judgment is functionally a motion
under Civil Rule 59(e), whatever its label.") (quoting 9 MOORE 'S FEDERAL PRACTICE , ¶ 204.12[1]
(2d ed. 1985)); see also 6 Wright, Miller & Kane, FEDERAL PRACTICE AND PROCEDURE : CIVIL 2D
§ 1489, p. 695 (1990) (“As a practical matter, the motions . . . will be made simultaneously and
decided together, since it usually would be a needless formality for the court to grant the motion to
reopen the judgment only to deny the motion for leave to amend.”).
A. Which Rule Governs Consideration of Combined Motions
We have already determined that the trial court properly denied the motion for new trial on
3
This motion was apparently prompted by a statement from the trial court when it dismissed the case. In
reference to Mr. T ravis’s disclosure of the results of confidential drug test results, the court stated, “I don’t feel
comfortab le dismissing this lawsuit. This is still within the statute of limitations. It’s not libel. It’s invasion of privacy
and you m ay take that app roach in ano ther lawsuit. ”
11
the causes of action actually plead and dismissed after trial. The question before us now is whether
the trial court acted within its discretion in denying Mr. Isbell a new trial for the purpose of allowing
him to amend his complaint to add a new cause of action on the basis that justice requires the
amendment.
We are unaware of any ruling by Tennessee courts specifically addressing the issue of the
proper standard to be employed by a trial court in considering a motion to set aside a judgment of
dismissal, after trial on the merits, combined with a post-dismissal motion to amend a complaint.
One federal appellate court defined a similar issue as “whether a Rule 59(e) motion [to alter or
amend the judgment] accompanied by a motion for leave to amend [the complaint] should be treated
differently than any other Rule 59(e) motion,” i.e., whether traditional Rule 59(e) standards should
be applied or whether standards governing a Rule 15(a) motion to amend the complaint should apply.
See Figgie Int’l, Inc. v. Miller, 966 F.2d 1178, 1179-80 (7th Cir. 1992). The Figgie case involved
a trial court’s grant of summary judgment to defendants in ruling on a motion to dismiss, and there
appears to be some debate regarding the standard to be applied in that situation.4 However, we find
little room to dispute the answer in the situation of a judgment of dismissal after trial.
Once a judgment is entered on the merits dismissing an action, the trial court would have to
set aside or vacate that judgment before taking further action in the case. Without an order vacating
the judgment dismissing the case on its merits, there technically exists no complaint to amend.5
4
The federal cou rts have not un iformly resolve d the issue of what s tandard to apply in considering similar
motions made after th e grant of a m otion to dismiss prior to trial. See Figgie Int’l, Inc., 966 F.2d at 1179-80 (discussing
the various stan dards and finding it unnece ssary to resolve the issue in that case ).
Rule 59( e) states that mo tions to reconside r should on ly be granted if there is a showing of a manifest
error of law or fact o r if new eviden ce not prev iously discoverable is presented in support of the
motion. Russel v. Delco Remy Div. of General Motors Corp., 51 F.3d 746, 74 9 (7th Cir.1 995).
However, some courts have held that, when a motion for le ave to amend a c omplaint is p resented in
conjunction with a Rule 59(e) motion, the more liberal standards of Rule 15(a) should go vern. See
Dussouy v. Gulf Coast Inv.Corp., 660 F.2 d 594 (5 th Cir.198 1); Adam s v. Gould , 739 F.2d 858, 864
(3d Cir.1984 ), cert. denied, 469 U.S. 1122, 105 S.Ct. 806, 83 L.Ed.2d 799 (1 985). T hese courts
interpret the Supreme Court's opinion in Foma n v. Dav is, 371 U.S. 178, 83 S.Ct. 227, 9 L.Ed.2d 222
(1962), to allow amendme nt of a complaint where justice so req uires, even if this amendment is
technically sought po st-judgmen t by way of a Ru le 59(e) motion. Dussouy, 660 F.2 d at 597 ; Adams,
739 F.2d at 864.
Chavez v. Farmington Foods, Inc., No. 97-C-1910, 1997 W L 631173 at *3 (N.D. Ill. Oct. 1, 1997).
Tennessee appears to have adopted the more liberal standard where the complaint is dismissed on a Tenn. R.
Civ. P. 12 motion, at least where no a mendm ent has taken p lace prior to dismissal. See Richland Country Club, Inc. v.
CRC Equities, Inc., 832 S.W.2d 554, 559 (Tenn. Ct. App. 1991) (where co urt grants mo tion to dismiss fo r failure to state
a claim, only extraordinary circumstances would prohibit plaintiff from exercising the right to amend its complaint).
5
Federal courts have generally interp reted the Fe deral Rule s of Civil Pro cedure as requiring that a judgment
of dismissal be set aside before a complaint can be amended:
(continued...)
12
Therefore, logic and good procedural practice would dictate that even a motion to vacate the
judgment on the basis that such setting aside is necessary in order to allow amendment must be
scrutinized under Rule 59 or Rule 60 standards. We find the following reasoning persuasive:
Most courts faced with the problem have held that once a judgment is entered the
filing of an amendment [to a complaint] cannot be allowed until the judgment is set
aside or vacated under Rule 59 or Rule 60. . . . This approach appears sound. To
hold otherwise would enable the liberal amendment policy of Rule 15(a) to be
employed in a way that is contrary to the philosophy favoring finality of judgments
and the expeditious termination of litigation. Furthermore, the draftsmen of the rules
included Rules 59(e) and 60(b) specifically to provide a mechanism for those
situations in which relief must be obtained after judgment and the broad amendment
policy of Rule 15(a) should not be construed in a manner that would render those
provisions meaningless.
The fact that a party desiring to amend after judgment has been entered is obliged
first to obtain relief from the judgment imposes some important restrictions on the
ability to employ Rule 15(a). For example, a judgment generally will be set aside
only to accommodate some new matter that could not have been asserted during the
trial, which means that relief will not be available in many instances in which leave
to amend would be granted in the prejudgment situation.
6 Wright, Miller & Kane, FEDERAL PRACTICE AND PROCEDURE : CIVIL 2D § 1489 at 692-94.
While the quoted treatise section obviously deals with federal procedural rules, we think the
reasoning applies to our equivalent state rules and to Tennessee’s interest in finality. Therefore, we
hold that a post-trial judgment dismissing an action must be set aside on the grounds available under
5
(...continued)
Where . . . a complaint is dismissed without leave to amend, the plaintiff can appeal the judgment, or
alternatively, seek leave to amend under Rule 15(a) after having the judgment reopened under either
Rule 59 or 60. Unless post-judgment relief is granted, the district court lacks power to grant a motion
to amend the complaint under Rule 15(a). See Public Citizen v. Lagged Group, Inc., 858 F.2d 775,
781 (1s t Cir.1988 ), cert. denied, 488 U.S. 1030, 109 S.Ct. 838, 102 L.Ed.2d 970 (1989); see also 3
Moore supra ¶ 15.10 at 15 -107 ("[After a judgm ent of dismissal plaintiff must move under Rules
59(e) or 60(b) to reopen the judgme nt."); 6 Cha rles A. W right & Arthu r R. Miller, F EDER AL P RACTICE
A N D P ROCEDURE § 1489 at 692-93 (1990) ("[O]nce judgment is entered the filing of an amendment
cannot be allowed until the judgment is set aside or vacated under Rule 59 or Rule 60.")”
Acevedo-Villalobos v. Hernand ez, 22 F.3d 384, 389 (1 st Cir. 1994 ); see also Figg ie Int'l, Inc., 966 F.2 d at 117 9 ("It is
well settled that after a fina l judgmen t, a plaintiff may amend a complaint under Rule 15(a) only with leave of court after
a motion under Rule 59(e) or Rule 60(b) has been made and the judgment has been set aside or vacated ."); Amen dola
v. Bayer, 907 F.2d 760, 765 n. 4 (7th Cir.1990) ("In this circuit, after a judgment has been entered, a party must have
the judgment reopened pursuant to Federal Rule of Civil Procedure 59(e) or 60(b) and then request leave to amend
pursuant to R ule 15(a)." ).
13
Tenn. R. Civ. P. 59 or 60, whichever is applicable, before the complaint can be amended. Therefore,
even when the ground asserted for relief from the judgment is that it is necessary in order to allow
amendment, the trial court must apply Rule 59 or Rule 60 standards to that ground.
B. Application of Post-Judgment Motion Standards
Again, we have already decided that the trial court acted within its discretion in denying Mr.
Isbell’s motion for new trial on the grounds asserted in that written motion. We now consider, using
the standard for post-judgment motions, whether the motion was also properly denied on the ground
that Mr. Isbell should be entitled to a new trial on a new cause of action. Whether Mr. Isbell’s post-
trial motion should be considered a Rule 59 motion for new trial or a Rule 59.04 motion to alter or
amend the judgment is not clear.6 We think, in fact, that Mr. Isbell’s motion, to the extent it requests
vacating the judgment so that he can amend his complaint and start over, should more properly be
considered a Tenn. R. Civ. P. 60 motion for relief from judgment. However, any distinction between
these types of motions is not dispositive of the issue before us, because none appears to authorize
the relief requested here.
In addition to the grounds for new trial which apply solely to jury verdicts and, therefore, are
not applicable here, the most common ground is newly discovered evidence. See 4 MacLean,
Bonnyman & Brandt, TENNESSEE PRACTICE § 59:7 and 59:8 (2000). Similarly, a motion to alter or
amend the judgment, often used “to seek reconsideration of a dispositive ruling made on motion or
after a non-jury trial,” may also be based on mistakes of law by the trial court or newly discovered
evidence. See id at § 59:9. To be successful in a motion on the basis of newly discovered evidence,
the movant must prove that the evidence was discovered after the trial, that it could not have been
discovered earlier with due diligence, that it is material and not just cumulative or impeaching, and
that it will probably change the outcome if a new trial is granted. See Spence v. Allstate, 883 S.W.2d
586, 596 (Tenn. 1994). Mr. Isbell attempts to raise a new issue, not to introduce newly discovered
evidence. The cause of action he seeks to add was available to Mr. Isbell throughout his lawsuit.
Rule 59 does not provide the relief sought by Mr. Isbell. “It is fundamental to our law ‘that
a party cannot raise a new issue, or present a new line of proof, on motion for a new trial that was
not within the scope of the pleadings and was not presented to the court at the trial of the case.’”
Lones v. Blount County Beer Bd., 538 S.W.2d 386, 390 (Tenn. 1976) (quoting Serv-U-Mart, Inc. v.
6
At least one judge has distinguished between those two types of motio ns. See Grissim v. Grissim, 637 S.W.2d
873, 875 (Tenn. Ct. App. 1982) (Conner, J., dissenting). Judge Conner has commented that “T.R.C .P. 59 clea rly
differentiates between a ‘Motion for New T rial’ and a ‘Motion to A lter or Amend Jud gment.’ Obviously, the purpo se
of the former is to, in effect, start the trial proceeding anew, while the purpose of the latter is to modify in some respect
actions previously taken by the court without returning to ‘square one.’” Id. It is clear that the only way Mr. Isbell can
get the relief he seek s on a claim o f invasion of pr ivacy is if a new trial is gra nted; howe ver, his request for ne w trial is
based on a ruling by th e judge tak ing the case aw ay from the jur y. Some au thority exists which w ould indica te that a
directed verdict is not the proper su bject for a m otion for new trial. See 66 C.J.S ., New Trial § 5b., p. 66 ; see also 4
MacLean, Bonnym an & Br andt, T ENNESSEE P RACTICE §§ 59:6 - 59:9; but see Moo re v. Standard L ife & Accident Ins.
Co., 504 S.W.2d 373 , 375 (Tenn. Ct. App. 1972).
14
Sullivan County, 527 S.W.2d 121, 124 (Tenn. 1975)). “We do not find any authority which
authorizes a motion to alter or amend in order to allow a party to present her case under a new theory
when the facts and law were available to be argued at trial prior to the court’s original decree.”
Spencer v. Hurd Inv. Properties Inc., Shelby Law No. 67, 1991 WL 60541 (Tenn. Ct. App. April 23,
1991) (perm. app. denied Sept. 9, 1991).
Tenn. R. Civ. P. 60 provides a mechanism whereby, on terms that are just, a trial court may
relieve a party from a final judgment for reasons specified in the rule: (1) mistake, inadvertence,
surprise, or excusable neglect; (2) fraud, misconduct, or other misconduct of an adverse party; (3)
the judgment is void; (4) the judgment has been satisfied, released, or discharged, or a prior
judgment upon which it is based has been reversed or otherwise vacated, or it is no longer equitable
that a judgment should have prospective application; or (5) any other reason justifying relief from
the operation of the judgment. Tenn. R. Civ. P. 60.02. Giving Mr. Isbell’s request the most
favorable interpretation, we will consider his combined motions as a motion for relief from the
judgment of dismissal under subsection (5), “for any other reason justifying relief.” The reason he
gives is that justice requires a new trial on the cause of action he did not allege but thinks he proved.
Rule 60.02(5)’s “any other reason,” however, is construed as an exacting standard:
It has been said that despite its broad language, Tennessee Rule of Civil Procedure
60.02(5) is construed narrowly. The standards of Rule 60.02(5) “are more
demanding than those applicable to the other grounds for [Rule] 60.02 relief.”
Tennessee rule of Civil Procedure 60.02(5) is intended to provide relief only in the
most unique, exceptional, or extraordinary circumstances. Rule 60.02(5) is
applicable only to situations that are not covered by the other clauses in Rule 60.02
or in cases of extreme hardship. Tennessee Rule of Civil Procedure 60.02(5) is “not
for the purpose of relieving a party from free, calculated, and deliberate choices he
has made.”
NCNB Nat’l Bank of North Carolina v. Thrailkill, 856 S.W.2d 150, 154 (Tenn. Ct. App. 1993)
(citations omitted).
Mr. Isbell’s desire to have another opportunity for redress under a theory of law which
existed at the time of his original complaint does not rise to the level of “extraordinary
circumstances” justifying relief under Rule 60. See Underwood v. Zurich Ins. Co., 854 S.W.2d 94,
98 (Tenn. 1993); Davidson v. Davidson, 916 S.W.2d 918, 923 (Tenn. Ct. App. 1995).
Federal courts considering similar requests to be allowed to present new issues, arguments,
or causes of action after judgment have found that Fed. R. Civ. P. 59 and 60 do not authorize that
relief. It is well-settled under federal law that Fed. R. Civ. P. 59 may not be used to bring a claim
that should and could have been raised earlier. See Figgie Int’l, Inc., 966 F.2d at 1180. As one court
has observed:
15
Rule 59(e) permits the parties to file, within ten days of the entry of a judgment, a
motion to alter or amend the judgment. It may be invoked to alert the court to
matters such as newly discovered evidence or manifest errors of law or fact.
However, the Rule does not give a party the opportunity to undo its own procedural
failures or present new evidence or arguments “that could and should have been
presented to the district court prior to judgment.”
Chavez v. Farmington Foods, Inc., 1997 WL 631173 at *1 (citations omitted).
Similarly, another court, considering a Fed. R. Civ. P. 60 motion to set aside its earlier grant
of summary judgment dismissing plaintiff’s lawsuit and to allow amendment of the complaint to add
an additional issue, observed that Rule 60 standards required a showing of extraordinary
circumstances and that “the desire to pursue other legal theories that were always available and
squarely implicated in the defendant’s position herein does not present any extraordinary
circumstances, and in fact would turn the presumption of finality of judgments on its head.” Rastelli
Bros., Inc. v. Netherlands Ins. Co. T/A Peerless Ins. Co., 68 F. Supp. 2d 451, 454 (D. N. J. 1999).
The court further explained:
Rather than an unusual circumstance such as a change in controlling law or newly
discovered evidence, plaintiff simply argues that it should be allowed to file an
Amended Complaint because this Court has adjudged that plaintiff may not obtain
the relief sought in the initial Complaint. This argument is unavailing. In the
Complaint, plaintiff chose its issues, the parties litigated them, and the Court decided
them upon the merits in favor of the defendant. This case having been discovered,
briefed, argued, and decided on the merits, plaintiff cannot now bring an entirely new
lawsuit in the disguise of a motion to amend, especially when no circumstance
prevented plaintiff from doing so prior to judgment.
Id.
We find the reasoning of these courts sound and applicable to Mr. Isbell’s request. As stated
in Freeman v. Continental Gin Co., 381 F.2d 459, 469 (5th Cir. 1967), and quoted elsewhere many
times, a busy court “need not allow itself to be imposed upon by the presentation of theories
seriatim.” Neither should the opposing party who has undergone the burdens of discovery,
preparation, and trial of a matter be imposed upon by being forced to undergo a second trial because
the plaintiff wants to add a cause of action he did not assert, but could have asserted, earlier.
“[T]here must be an end finally to a particular litigation.” Rastelli Brothers, Inc., 68 F. Supp. 2d at
453.
Therefore, we hold that the trial court properly denied Mr. Isbell’s motions because neither
Rule 59 nor Rule 60 entitles him to the relief he sought.
16
C. Rule 15 Amendment After Judgment on the Merits
Mr. Isbell asserts that his motion to amend should have been granted, first on the basis of
Tenn. R. Civ. P. 15.01's direction that “leave [to amend] shall be freely given when justice so
requires.” Implicit in this assertion is an argument that the motion to amend can be considered even
if the judgment were not vacated or that Rule 15 standards should be applied to his motion for new
trial. We have already determined those issues. However, even if we applied Rule 15 to his
motions, the outcome would not change.
Prior to the adoption of the Tennessee Rules of Civil Procedure, trial courts were vested with
wide discretion in determining whether to allow amendment of pleadings. “The exercise of
discretion by a trial judge in matters of amendment ‘has been seldom adversely reviewed on appeals;
and it will be presumed that allowing or refusing an amendment was done in the exercise of legal
discretion, in the absence of a showing to the contrary.’” Buck v. West, 58 Tenn. App. 539, 542-43,
434 S.W.2d 616, 617 (Tenn. Ct. App. 1968); see Tenn. Code Ann. § 20-1504 [repealed]. That broad
discretion, however, was described in language implying that it did not include the allowance of
post-judgment amendment. “The matter of allowing amendments . . . is within the discretion of the
court and these amendments may be allowed at any stage in the proceedings before a case is finally
submitted to the jury or at any time before judgment.” Buck, 58 Tenn. App. at 542, 434 S.W.2d at
617; see also Daniels v. Talent, 212 Tenn. 447, 462, 370 S.W.2d 515, 522 (1963).
In decisions after the adoption of Rule 15, our courts have interpreted the rule’s “freely
given” language as a limitation on the trial court’s discretion to deny amendment. “This proviso in
the rules substantially lessens the exercise of pre-trial discretion on the part of a trial judge.” Branch
v. Warren, 527 S.W.2d 89, 91-92 (Tenn. 1975); see HMF Trust v. Bankers Trust Co., 827 S.W.2d
296, 301 (Tenn. Ct. App. 1991).7 As the quote from Branch v. Warren demonstrates, however,
language in those cases holding that Rule 15.01 substantially lessens the trial court’s discretion
specifically limits that holding to the exercise of pre-trial discretion. See Huntington Nat’l Bank v.
Hooker, 840 S.W.2d 916, 923 (Tenn. Ct. App.1991)(citing Branch v. Warren, 527 S.W.2d 89 at 91-
92); Gardiner v. Word, 731 S.W.2d 889, 891 (Tenn. 1987) (“Cases since Branch v. Warren have
emphasized the liberality with which trial courts should approach the question of whether a pretrial
motion to amend should be granted.”).
Federal courts have similarly, but more explicitly, interpreted Rule 15(a) of the Federal
Rules of Civil Procedure in the post-judgment situation:
While Fed. R. Civ. P. 15(a) endows a district court with "virtually unlimited
discretion" to allow amendments before entry of judgment, that discretion narrows
considerably after entry of judgment. See 6 Charles Alan Wright, Arthur R. Miller,
Mary Kay Kane, FEDERAL PRACTICE AND PROCEDURE § 1489 (2d ed. 1990 &
7
The federal rules have bee n similarly interpre ted. See Du ssouy v. G ulf Coast In v.Corp., 660 F.2d at 597
("[R]ule 15(a) severely restricts the judge's freedom, directing that leave to amend ‘shall be freely given when justice
so requires .’ It evinces a bias in favor of gran ting leave to am end.”).
17
Supp.1999).
Vielma v. Eureka Co., 218 F.3d 458, 468 (5th Cir. July 20, 2000); accord Dierson v. Chicago Car
Exch., 110 F.3d 481, 489 (7th Cir. 1996); First Nat’l Bank of Louisville v. Continental Ill. Nat’l
Bank & Trust of Chicago, 933 F.2d 466, 468 (7th Cir. 1991) (the presumption in favor of liberality
in granting motions to amend, Fed. R. Civ. P. 15(a), is reversed after judgment has been entered).
While Rule 15(a) establishes that leave to amend should be "freely given,"
post-judgment motions to amend are treated with greater skepticism than pre-
judgment motions. The likelihood that amendment will cause undue delay in the
proceedings is a legitimate rationale for denying a motion to amend. After a
judgment has been issued, the conclusion that amendment will cause undue delay is
particularly justified.
Premo v. Martin, 119 F.3d 764, 772 (9th Cir. 1997), cert. denied, 522 U.S. 1147 (1998) (citations
omitted).
It is well established that the presumption that leave to amend shall be freely given
pursuant to Rule 15(a) disappears after the entry of judgment. Harris v. City of
Auburn, 27 F.3d 1284, 1287 (7th Cir.1994). A party seeking amendment at that stage
of the proceedings must provide the district court with a good reason to grant its
motion. See id., (citing First Nat'l Bank v. Continental Illinois Nat'l Bank, 933 F.2d
466, 468 (7th Cir.1991)).
Illinois Conference of Teamsters and Employers Welfare Fund v. Steve Gilbert Trucking, 71 F.3d
1361, 1368 (7th Cir. 1995).
While federal decisions interpreting federal rules of procedure are not binding on state courts,
we find them helpful in interpreting our own rules which are modeled after the federal. “It is proper
that Tennessee courts look to the interpretation given comparable federal rules by the federal courts.”
Williamson County v. Twin Lawn Dev. Co., 498 S.W.2d 317, 320 (Tenn. 1973); see Huntington Nat’l
Bank, 840 S.W.2d at 921. Regarding the effect of Rule 15's directive that amendment be freely
granted when justice so requires, we find the reasoning of the federal courts quoted above sound and
not inconsistent with interpretations by Tennessee appellate courts. Therefore, we hold that motions
to amend, made after judgment on the merits, pursuant to Tenn. R. Civ. P. 15.01, are not entitled to
any presumption favoring amendment.8
Factors to be considered in deciding whether to allow amendments to pleadings include
undue delay in filing, lack of notice to the opposing party, bad faith by the moving party, repeated
failure to cure deficiencies by previous amendments, undue prejudice to the opposing party, and
futility of amendment. See Harden v. Danek, Med. Inc., 985 S.W.2d 449, 454 (Tenn. Ct. App.
8
We note that Rule 15.02 (motion to amend to conform pleadings to the evidenc e) specifically provides that
the motion to amend m ay be mad e “at any time, eve n after judgm ent,” but Ru le 15.01 has no similar la nguage.
18
1998). A number of federal courts, applying these or similar factors, have determined that post-
judgment motions to amend to add new issues, particularly those made after dismissal on the merits,
were properly denied.
In cases where a party seeks to amend her complaint after entry of judgment, "we
have consistently upheld the denial of leave to amend where the party seeking to
amend has not clearly established that he could not reasonably have raised the new
matter prior to the trial court's merits ruling." Briddle [v. Scott], 63 F.3d [364] at 380
[(5th Cir. 1995)]; see also Wright et al., § 1489 ("A number of courts, exercising
their discretion under Rule 15(a), have refused to allow a post-judgment amendment
when the moving party had an opportunity to assert the amendment during trial but
waited until after judgment before requesting leave; these courts have based their
conclusions on the moving party’s undue delay.").
Vielma, 218 F.3d at 468.
We have consistently recognized undue delay as justifying denial of leave to amend
. . . particularly where leave to amend is sought to raise new matters after the trial
court has ruled on the merits or entered judgment. In such circumstances we have
consistently upheld denial of leave to amend where the party seeking to amend has
not clearly established that he could not reasonably have raised the new matter prior
to the trial court’s merits ruling.
Briddle v. Scott, 63 F.3d 364, 379 (5th Cir. 1995).
We find this reasoning persuasive and, when applied to a judgment of dismissal on a directed
verdict after plaintiff has put on his proof, compelling. In such situations, as here, it is less likely that
justice will require amendment. See Twohy v. First Nat’l Bank of Chicago, 758 F.2d 1185, 1196
(7th Cir. 1985) (justice may require something less in post-judgment than in pre-judgment
situations). We can find no basis upon which the trial court should have or could have granted Mr.
Isbell a new trial so that he could have another “bite at the apple” under a new theory which was
available to him throughout these proceedings. Therefore, we find that the trial court acted within
its discretion to refuse to amend the complaint under Tenn. R. Civ. P. 15.01, so as to allege a new
cause of action after a directed verdict on the causes of action initially alleged and tried.
Mr. Isbell also makes an argument that another section of Rule 15 requires that he be allowed
to amend his complaint. That section, Tenn. R. Civ. P. 15.02, provides:
When issues not raised by the pleadings are tried by express or implied consent of the
parties, they shall be treated in all respects as if they had been raised in the pleadings.
Such amendment of the pleadings as may be necessary to cause them to conform to
the evidence and to raise these issues may be made upon motion of any party at any
time, even after judgment; but failure so to amend does not affect the result of the
trial of these issues. Provided, however, amendment after verdict so as to increase
19
the amount sued for in the action shall not be permitted. If evidence is objected to
at the trial on the ground that it is not within the issues made by the pleadings, the
court may allow the pleadings to be amended and shall do so freely when the
presentation of the merits of the action will be subserved thereby and the objecting
party fails to satisfy the court that the admission of such evidence would prejudice
that party in maintaining the action or defense upon the merits. The court may grant
a continuance to enable the objecting party to meet such evidence.
Under the language of Rule 15.02, the pleadings may be amended when issues not previously
raised are tried by implied consent. The trial judge's determination with respect to the issue of
implied consent must be upheld unless there has been an abuse of discretion. See Zack Cheek
Builders, Inc. v. McLeod, 597 S.W.2d 888, 891 (Tenn. 1980); Lapray v. Smith, 804 S.W.2d 87, 91
(Tenn. Ct. App. 1990).
Rule 15.02 codifies the common sense notion that if the parties actually tried an issue “the
content of the pleadings and a retrial to tread old ground become meaningless. . . Indeed, under a
proper interpretation of Rule 15.02, . . . [amendment is] largely unnecessary, except as a
housekeeping measure designed to insure the integrity and clarity of the record on appeal.” Zack
Cheek Builders, Inc., 597 S.W.2d at 892. Rule 15.02 clearly seeks to place substance over form, and
the real question before us is whether the parties actually tried the issue delineated by the
amendment. In short, the ultimate inquiry is whether there was implied consent from all parties in
this case to try the issue of invasion of privacy. See Wallace v. Hardin, No. 02A01-9702-CH-00048,
1997 WL 775572 at *6 (Tenn. Ct. App. Dec. 17, 1997) (no Tenn. R. App. P. 11 application filed).
Mr. Isbell’s own admission that the issue was not tried appears to answer that question. In reference
to the invasion of privacy claim, his motion to amend specifically stated “such issues were not tried
in the previous trial . . .”
In fact, Mr. Isbell does not seek to amend the judgment simply to conform to the evidence.
Instead, he seeks to alter the judgment by vacating the dismissal. He does not want to amend the
complaint to conform to evidence adduced at trial, but wants a new trial on a new cause of action.
Rule 15.02 is simply not available to him to provide the relief he wants. The trial court acted within
its discretion in refusing to grant the motion to amend pursuant to Rule 15.02.
V.
Accordingly, the judgment of the trial court is affirmed. This case is remanded for any
further proceedings which may be necessary. Costs of this appeal are to be taxed to Mr. Isbell, for
which execution may issue if necessary.
____________________________________
PATRICIA J. COTTRELL, JUDGE
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