{
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  "name": "THE NORTH CAROLINA FARM BUREAU MUTUAL INSURANCE COMPANY, Plaintiff- Appellant v. CULLY'S MOTORCROSS PARK, INC., and LAURIE VOLPE Defendants-Appellees",
  "name_abbreviation": "North Carolina Farm Bureau Mutual Insurance v. Cully's Motorcross Park, Inc.",
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    "judges": [
      "Judges CALABRIA and STROUD concur."
    ],
    "parties": [
      "THE NORTH CAROLINA FARM BUREAU MUTUAL INSURANCE COMPANY, Plaintiff- Appellant v. CULLY\u2019S MOTORCROSS PARK, INC., and LAURIE VOLPE Defendants-Appellees"
    ],
    "opinions": [
      {
        "text": "McGEE, Judge.\nThe North Carolina Farm Bureau Mutual Insurance Company (Plaintiff) filed a complaint on 24 February 2009 against Cully\u2019s Motorcross Park, Inc. (Cully\u2019s); Laurie Volpe (Ms. Volpe) (together, Defendants); and Louis Volpe (Mr. Volpe). Plaintiff sought declaratory judgment regarding Plaintiff\u2019s liability as insurer of real property owned by Defendants and Mr. Volpe. Defendants, along with Mr. Volpe, filed a motion for a change of venue and an answer and counterclaim on 23 March 2009. They asserted claims of breach of contract, unfair claims settlement practices, bad faith, and unfair and deceptive trade practices. Defendants also sought punitive damages. They filed an amended answer and counterclaim on 22 June 2009, adding an additional claim for malicious prosecution.\nMr. Volpe died in the summer of 2010 and, prior to trial, Plaintiff dismissed Mr. Volpe as a party. Following a bench trial, the trial court entered judgment on 7 February 2011. The trial court ordered, inter alia, that Ms. Volpe recover the sum of $26,075.00 from Plaintiff for Ms. Volpe\u2019s malicious prosecution claim, treble damages in the amount of $30,000.00 for her Section 75-1.1 claim, and attorney\u2019s fees. Plaintiff appeals.\nI. Factual Background\nThe following facts in this case are undisputed. Ms. Volpe was the president and sole shareholder of Cully\u2019s, a dirt bike and cart racing track originally based in Florida. Mr. Volpe was the secretary of Cully\u2019s. Cully\u2019s purchased an historic building (the Building) in Wilson from James Skinner (Mr. Skinner) for $31,500.00 on 19 December 2007. Cully\u2019s paid $25,000.00 in cash and executed a purchase money note and deed of trust in the amount of $6,500.00. Plaintiff issued an insurance policy to Cully\u2019s, insuring the Building with a policy limit of $60,000.00.\nDuring the late evening of 5 September and early morning hours of 6 September 2008, the Building burned in a fire. A red gas can labeled \u201cRace Fuel\u201d was found, tilted on its side, in a room at the end of a \u201cburn trail\u201d that led from the fire. Cully\u2019s owned similar red gas cans. Randall Loftin (Mr. Loftin), an investigator for Plaintiff\u2019s Special Investigations Unit, was in charge of investigating Cully\u2019s insurance claim related to the Building.\nBoth Mr. Volpe and Ms. Volpe provided a recorded statement to Plaintiff on 3 October 2008. In their statements, they each denied knowledge of the fire. Mr. Volpe told Plaintiffs agents that Cully\u2019s intended to sell the remnants of the Building to \u201ca Hispanic male for salvage value.\u201d Ms. Volpe, on behalf of Cully\u2019s, executed a \u201cSworn Proof of Loss\u201d statement for the damage to the Building. In her proof of loss statement, Ms. Volpe did not indicate that the Building was subject to a mortgage, but she did disclose that Cully\u2019s owed $6,500.00 on the Building. At trial, Ms. Volpe testified that \u201cshe did not consider a purchase money deed of trust due in one year that did not require monthly paymentsQ to be a mortgage.\u201d\nPlaintiff requested that Mr. Volpe and Ms. Volpe submit to examinations under oath. Ms. Volpe complied on 5 January 2009, but Mr. Volpe refused to submit to an examination. Mr. Loftin became convinced that Mr. Volpe and Ms. Volpe were experiencing financial difficulties and had attempted to hide the deed of trust on the Building from Plaintiff. Plaintiff denied Cully\u2019s claim on 23 February 2009.\nAfter Plaintiff filed its complaint, and Defendants and Mr. Volpe filed their answer, Mr. Loftin met with Sergeant J.C. Lucas (Sgt. Lucas) of the Wilson Police Department on 16 April 2009. Mr. Loftin provided Sgt. Lucas with documentation of the sale of the Building for salvage, as well as documentation of the deed of trust in the amount of $6,500.00. Mr. Loftin also informed Sgt. Lucas that Ms. Volpe had sold the Building to Jose Giron (Mr. Giron) without paying off the deed of trust. Sgt. Lucas thereafter met with Mr. Giron, who confirmed that he had purchased the Building.\nSgt. Lucas executed a warrant for the arrest of Ms. Volpe for obtaining property by false pretenses, on the ground that Ms. Volpe had allegedly sold the Building to Mr. Giron without paying the $6,500.00 secured by the deed of trust. Ms. Volpe retained an attorney and the charges against her were dismissed on 18 May 2009. Defendants and Mr. Volpe amended their answer and counterclaim on 22 June 2009, adding a claim for malicious prosecution.\nThe trial court conducted a bench trial during the week of 6 December 2010. Prior to entry of judgment, Plaintiff filed a motion to amend the pleadings and to make additional findings, or in the alternative, for a new trial. The trial court granted Plaintiff\u2019s motion to amend the pleadings in order to consider the issue of the NoerrPennington doctrine. In an order entered 7 February 2011, the trial court concluded that the Noerr-Pennington doctrine was inapplicable as a defense. In its judgment, also entered 7 February 2011, the trial court ordered: (1) that Defendants recover nothing from Plaintiff as to Defendants\u2019 breach of contract claim; (2) that Defendants recover nothing from Plaintiff as to Defendants\u2019 Section 75-1.1 claim based on Plaintiff\u2019s refusal to pay the insurance claim; (3) that Ms. Volpe recover from Plaintiff $26,075.00 for malicious prosecution; and (4) that Ms. Volpe recover from Plaintiff treble damages of $30,000.00 for her Section 75-1.1 claim arising from the malicious prosecution claim. The trial court also awarded Ms. Volpe attorney\u2019s fees in the amount of $29,752.50 and costs in the amount of $2,400.28.\nII.Issues on Appeal\nPlaintiff raises the following issues on appeal: (1) whether the trial court erred by determining that Plaintiff initiated criminal proceedings against Ms. Volpe; (2) whether the trial court erred by finding probable cause lacking to charge Ms. Volpe with obtaining property by false pretenses; (3) whether Plaintiff was entitled to immunity under N.C. Gen. Stat. \u00a7 58-79-40; (4) whether the trial court erred by entering judgment in favor of Ms. Volpe as to her Section 75-1.1 claim; (5) whether the Noerr-Pennington doctrine immunized Plaintiff from a Section 75-1.1 claim; (6) whether the trial court erred in awarding Ms. Volpe damages for both her Section 75-1.1 claim and her malicious prosecution claim; and (7) whether the trial court erred in granting Ms. Volpe attorney\u2019s fees under N.C. Gen. Stat. \u00a7 75-16.1.\nIII. Standards of Review\nWhen reviewing a bench trial, the standard of review is \u201c \u2018whether there was competent evidence to support [the trial court\u2019s] findings of fact and whether its conclusions of law were proper in light of the facts.\u2019 \u201d City of Wilmington v. Hill, 189 N.C. App. 173, 175, 657 S.E.2d 670, 671-72 (2008) (citation and alteration omitted). \u201cThe trial court\u2019s conclusions of law are reviewed de novo.\u201d Id. at 176, 657 S.E.2d at 672. \u201cWhether probable cause exists is a mixed question of law and fact, but where the facts are admitted or established, the existence of probable cause is a question of law for the court.\u201d Best v. Duke University, 337 N.C. 742, 750, 448 S.E.2d 506, 510 (1994).\nIV. Malicious Prosecution\n\u201cTo prove a claim for malicious prosecution, a plaintiff must establish four elements: (1) the defendant initiated the earlier proceeding; (2) malice on the part of the defendant in doing so; (3) lack of probable cause for the initiation of the earlier proceeding; and (4) termination of the earlier proceeding in favor of the plaintiff.\u201d\nKirschbaum v. McLaurin Parking Co., 188 N.C. App. 782, 789, 656 S.E.2d 683, 687-88 (2008) (citation omitted).\na. Initiation\nPlaintiff first argues that it did not initiate the criminal proceedings against Ms. Volpe. Plaintiff argues that \u201c[b]y merely giving honest assistance and information to law-enforcement, [Plaintiff] did not initiate the criminal proceeding against [Ms.] Volpe.\u201d Plaintiff contends that the trial court\u2019s findings of fact did not support its conclusions of law. Plaintiff challenges the following findings of fact by the trial court:\n44. That Plaintiff instituted or caused to be instituted a criminal proceeding]] without probable cause, said criminal proceeding being Wilson County criminal case number 09 CR 52084, charging [Ms.] Volpe with Obtaining Property with False Pretenses.\n45. That Plaintiff instituted or caused to be instituted said criminal proceedings against [Ms.] Volpe with malice.\n61. That Plaintiff did cause to be instituted a criminal proceeding against [Ms.] Volpe, when it had full knowledge of the debt owed [Mr.] Skinner upon the [Building], by being told of the same by [Ms.] Volpe in her recorded statement on October 3, 2008, and further with full knowledge that [Mr.] Loftin, the investigator for the Plaintiff, had been told that the property had been sold to someone else, as early as October 3rd, 2008,and further was present at the October 3, 2008 statements given to the Plaintiff concerning the debt and the fact that the structure had been sold to a Hispanic male for salvage value, but did not release or pursue this information to Detective Lucas or any other officer of the Wilson Police Department until April 2009, after a counter claim had been filed by [Ms.] Volpe and Cully\u2019s Motorcross Park Inc against Plaintiff.\n62. That the acts of the Plaintiff in providing all such information, which does not amount to a crime, to Detective J.C. Lucas, an experienced officer but unfamiliar with fire investigations, were designed to achieve leverage in this action, and the [c]ourt specifically finds that it was highly unlikely that Detective Lucas would have ever known about all the circumstances concerning the debt to [Mr.] Skinner and the sale to [Mr.] Giron, and further never have pursued criminal charges based upon that evidence, without the instigation of Plaintiff through [Mr.] Loftin.\nPlaintiff also cites the following findings of fact:\n34. That on or about April 16, 2009, [Mr.] Loftin met with Detective J.C. Lucas of the Wilson Police Department, at the Wilson Farm Bureau office, at Loftin\u2019s request. Detective Lucas had been out on sick leave for a number of months and was just returning to the case. Detective Lucas was mainly a sex offense investigator and this was his second fire case. Loftin provided Lucas with the real estate documents showing the $6,500 debt and the deed to Giron.\n35. That Loftin informed Lucas of the conveyance of the property to Mr. Giron and the failure of [Ms.] Volpe to pay off the $6500 owed Mr. James Skinner pursuant to the terms of the deed of trust.\nPlaintiff argues that findings of fact 34 and 35 \u201camount to nothing more than merely providing honest assistance and information, which is insufficient to establish initiation.\u201d\nPlaintiffs argument that it did not initiate the criminal proceedings against Ms. Volpe relies on Harris v. Barham, 35 N.C. App. 13, 239 S.E.2d 717 (1978) and Shillington v. K-Mart Corp., 102 N.C. App. 187, 402 S.E.2d 155 (1991). In Harris, this Court held that the trial court had properly granted summary judgment in favor of the defendant on the following facts. A person using the plaintiffs name had opened a bank account and had written several checks which had been returned for insufficient funds. Harris, 35 N.C. App. at 14, 239 S.E.2d at 718. Raleigh police officers contacted the bank where the account had been opened, inquired about the account, and asked an officer of the bank, Mr. Mangum, to notify police officers if a person with the plaintiffs name came to the bank. Id. The plaintiff entered the bank to obtain traveler\u2019s checks, for which he paid cash. Id. at 15, 239 S.E.2d at 718. Mr. Mangum approached the plaintiff, asked his name, and requested that the plaintiff accompany him to a side room where he had the plaintiff write out his signature several times. Id. at 15, 239 S.E.2d at 718-19. Mr. Mangum informed the plaintiff of the account and the checks written thereon, and the plaintiff denied opening the account. Id. at 15, 239 S.E.2d at 718.\nThe plaintiff was detained by police officers after the bank notified them of the plaintiffs presence. Id. at 15, 239 S.E.2d at 719. This Court held there was insufficient evidence that the bank, or its agents, had initiated the proceedings against the plaintiff, citing the following facts:\nIt is undisputed that neither [Mr.] Mangum nor any other employee of the Bank ever signed any warrant or otherwise directly instituted any criminal proceeding against the plaintiff, nor did they procure anyone else to do so. Neither [Mr.] Mangum nor any other employee appeared at the preliminary hearing or before the grand jury. Indeed, the entire extent of [Mr.] Mangum\u2019s or the Bank\u2019s participation in this matter was to notify the police, as [Mr.] Mangum had been requested by them to do, when a person named George Harris came into the Bank. This he did only after information given him by the police and his own investigation indicated that someone using that name had perpetrated a fraud. This falls short of being the participation in a criminal prosecution required to establish the first element of a valid claim for malicious prosecution.\nId. at 16, 239 S.E.2d at 719. This Court concluded that the bank had merely given honest assistance to the police officers and reiterated that \u201c \u2018[m]erely giving honest assistance and information to prosecuting authorities ... does not render one liable as a co-prosecutor.\u2019 \u201d Id. (citation omitted).\nIn Shillington, this Court held that there was insufficient evidence of initiation, when the arresting \u201c[o]fficer . . . testified that he and his supervisor decided to arrest plaintiff based on the information they received from defendant, but defendant\u2019s agents neither directed that they do so nor did defendant\u2019s agents press charges themselves, nor did they appear at the magistrate\u2019s office at any time.\u201d Shillington, 102 N.C. App. at 196, 402 S.E.2d at 160. The Court noted that the \u201c[o]fficer . . . testified that he also considered the fact that plaintiff had entered an area he had been warned to stay out of.\u201d Id. The plaintiff in Shillington had been wandering around near a K-Mart store that had recently suffered tornado damage. Id. at 191, 402 S.E.2d at 157. The plaintiff worked near the K-Mart store and there was uncertainty as to whether the plaintiff had actually crossed onto K-Mart property when he was arrested. Id.\nIn the present case, Plaintiff contends that Sgt. Lucas initiated the criminal proceedings on his own accord. In support of this argument, Plaintiff cites the Restatement Second of Torts:\nWhen a private person gives to a prosecuting officer information that he believes to be true, and the officer in the exercise of his uncontrolled discretion initiates criminal proceedings based upon that information, the informer is not liable [for malicious prosecution] even though the information proves to be false and his belief was one that a reasonable man would not entertain. The exercise of the officer\u2019s discretion makes the initiation of the prosecution his own and protects from liability the person whose information or accusation has led the officer to initiate the proceedings.\nRestatement (Second) of Torts \u00a7 653 cmt. g (1977). Plaintiff also argues that, when asked at trial whether Mr. Loftin or Plaintiff had initiated the criminal proceeding against Ms. Volpe, Sgt. Lucas gave the following answer: \u201cNo, no.... I have probable cause. I felt like I could win this case in court, and I wanted to go forward with it. That was my decision, my decision only.\u201d Plaintiff argues that \u201cSgt. Lucas\u2019s uncontroverted testimony establishes that the trial court erred in finding that [Mr.] Loftin\u2019s \u2018investigation\u2019 brought about the criminal charge.\u201d\nIn support of their counter-argument, Defendants cite Williams v. Kuppenheimer Manufacturing Co., 105 N.C. App. 198, 412 S.E.2d 897 (1992). Citing Williams, Defendants argue that \u201cwhere \u2018it is unlikely there would have been a criminal prosecution of [a] plaintiff\u2019 except for the efforts of a defendant, this Court has held a genuine issue of fact existed and the jury should consider the facts comprising the first element of malicious prosecution.\u201d In Williams, the plaintiff was a retail employee of the defendant company and had resigned after being confronted with a number of suspicious sales receipts. Id,, at 198-99, 412 S.E.2d at 898-99. The plaintiff denied any wrongdoing, but an agent of the defendant company contacted the Charlotte Police Department and \u201cturned over the evidence which [the agent] had compiled against plaintiff.\u201d Id. at 199, 412 S.E.2d at 899. This Court also noted the following facts:\nAccording to testimony of law enforcement officials, they relied on the evidence compiled by [the plaintiff\u2019s supervisor]. In the course of their investigation, law enforcement officials reviewed the materials provided by [the plaintiff\u2019s supervisor] and the only witnesses that Detective Job, the investigator for the Police Department, contacted were the three people she talked to by telephone whose names had been furnished by [the plaintiffs supervisor] as being persons who had alterations performed on garments purchased that had been voided.\nId. This Court held that there was sufficient evidence of initiation to submit the question to the jury, conducting the following analysis:\nDefendant brought all the documents used in the prosecution to the police. As discussed earlier, these documents included the eleven suspicious void sales, the three suspicious alteration tickets, and the names and addresses of witnesses to be contacted. From the record it appears the only additional investigation undertaken by the authorities was to contact the three individuals who had suspicious alterations performed. Law enforcement officials never interviewed other customers, store employees or plaintiff prior to the time of his arrest. Except for the efforts of defendant, it is unlikely there would have been a criminal prosecution of plaintiff. Under these circumstances, the trial court was correct in determining this was a factual matter for the jury.\nId. at 201, 412 S.E.2d at 900.\nWe find Williams more analogous to the facts before us. Mr. Loftin had all of the information he provided to Sgt. Lucas as early as 3 October 2008. On 16 April 2009, after Defendants\u2019 counterclaim was filed, Mr. Loftin called Sgt. Lucas and set up a meeting at which Mr. Loftin informed Sgt. Lucas of Ms. Volpe\u2019s actions. Sgt. Lucas thereafter interviewed Mr. Giron, and Ms. Volpe was then arrested. We find competent evidence in the record to support the trial court\u2019s determination that Plaintiff initiated the proceedings against Ms. Volpe on the grounds that: \u201cExcept for the efforts of [Plaintiff], it is unlikely there would have been a criminal prosecution of [Ms. Volpe]. Under these circumstances, the trial court was correct in determining this was a factual matter[.]\u201d Id. at 201, 412 S.E.2d at 900. Thus, on the facts before us, we are not persuaded that the trial court erred in determining that Plaintiff initiated the proceedings against Ms. Volpe.\nb. Probable Cause\nPlaintiff also argues that \u201cthe trial court erred by finding probable cause lacking to criminally charge [Ms.] Volpe with obtaining property by false pretenses.\u201d Plaintiff contends that \u201c[t]he test for determining probable cause in a claim for malicious prosecution . . . is whether a reasonable man of ordinary prudence and intelligence would have believed there was probable cause, not whether a crime was in fact committed.\u201d\nAt trial, Mr. Loftin was asked during direct examination what crime he suspected Ms. Volpe of committing. Mr. Loftin testified that he thought \u201cshe had committed insurance fraud in an attempt, material misrepresentation with an attempt to hide the fact that there was a $6,500 payment that was due on this house with a deed of trust involved.\u201d However, the trial court found that Plaintiff \u201chad been told as early as [Ms.] Volpe\u2019s statement on September 8, 2008, that [Defendants] owed $6,500 on the property.\u201d We conclude that there was competent evidence in the record for the trial court to conclude that a reasonable person would not have believed Ms. Volpe was hiding information that she had already provided to Plaintiff. In light of the testimony at trial, and the findings of fact made by the trial court, we find no error in the trial court\u2019s finding that probable cause was lacking.\nV. Immunity Pursuant to N.C. Gen. Stat. \u00a7 58-79-40\nPlaintiff argues that the trial court erred in failing to find, pursuant to N.C. Gen. Stat. \u00a7 58-79-40, that Plaintiff was immune from civil liability. N.C. Gen. Stat. \u00a7 58-79-40(c) (2011) provides in pertinent part:\nIn the absence of fraud or malice, no insurance company (or insurance agency), or person who furnishes information on its behalf, shall be liable for damages in a civil action or subject to criminal prosecution for any oral or written statement made or any other action that is necessary to supply information required pursuant to this section.\nPlaintiff contends that, in the absence of malice or fraud, it cannot be held liable for its own, or its agent\u2019s, conduct in providing information that the police requested.\nPlaintiff asserts that: \u201cAll information provided by [Plaintiff] to the Wilson Police Department was supplied in accordance with [Plaintiff\u2019s] obligations under N.C. Gen. Stat. \u00a7 58-79-40.\u201d Plaintiff also argues that the \u201crecord is void of any allegation or evidence of fraud.\u201d Plaintiff next contends that, in order to overcome N.C.G.S. \u00a7 58-79-40 immunity, Defendants were required to show that Plaintiff acted with \u201cactual malice[.]\u201d Specifically, Plaintiff contends that \u201c[a] holding that anything less than actual malice can overcome the immunity provided by \u00a7 58-79-40(c) would not only conflict with the common law privilege, but would improperly frustrate the legislative intent behind enactment of the statute.\u201d\nPlaintiff argues that \u201c[t]he record is void of any evidence that [Plaintiff] acted with actual malice when it provided truthful information relevant to an incendiary fire, information it was statutorily obligated to provide[.]\u201d Citing Dobson v. Harris, 352 N.C. 77, 86, 530 S.E.2d 829, 837 (2000), Plaintiff contends that \u201c[a]ctual malice requires proof of ill-will or personal hostility, or a showing that the declarant published a statement with knowledge that it was false[.]\u201d\nHowever, we can find no cases interpreting N.C.G.S. \u00a7 58-79-40(c) that require \u201cactual malice.\u201d The plain language of the statute is clear that immunity applies \u201cin absence of fraud or malice[.]\u201d N.C.G.S. \u00a7 58-79-40(c). In the present case, the trial court found that Mr. Lofton acted without probable cause. \u201cAlthough a want of probable cause may not be inferred from malice, the rule is well settled that malice may be inferred from want of probable cause, e.g., as where there was a reckless disregard of the rights of others in proceeding without probable cause.\u201d Cook v. Lanier, 267 N.C. 166, 170, 147 S.E.2d 910, 914 (1966); see also Dickerson v. Refining Co., 201 N.C. 90, 96, 159 S.E. 446, 450 (1931) (\u201cMalice, in the sense in which it is used in actions for malicious prosecutions ... is inferable from the absence of probable cause.\u201d). We therefore find Plaintiffs argument to be without merit.\nVI. Ms. Volpe\u2019s Section 75-1.1 Claim\nPlaintiff next argues that the trial court erred by entering judgment for Ms. Volpe as to her counterclaim under Section 75-1.1 because the claim was premised on the malicious prosecution claim. As we have held that the trial court did not err with respect to Ms. Volpe\u2019s malicious prosecution claim, Plaintiff\u2019s argument is without merit. Plaintiff also asserts that the acts which the trial court determined were unfair or deceptive were not \u201cin or affecting commerce.\u201d Plaintiff contends that Mr. Lofton did not engage in commerce by merely reporting Ms. Volpe\u2019s conduct to the police. Defendants contend that Plaintiff stipulated to the actions as being involved in commerce. Plaintiff counters this argument by contending that it stipulated only to the business of insurance affecting commerce, and not to the alleged malicious prosecution affecting commerce.\nThe trial court held a conference with the parties to establish the issues the trial court would resolve. During the conference, the trial court enumerated each element of each claim brought by the parties, and determined whether the elements would be listed among the issues to be determined by the trial court. When the trial court reached the issue of the Section 75-1.1 claim, the following exchange occurred:\n[THE COURT:] 5. Did Farm Bureau participate in unfair and deceptive acts in the malicious prosecution of Laurie Volpe. We talked about that, and I think that that is allowable under the unfair trade practices. Now, what say[] you, Mr. Salsman [(Plaintiff\u2019s Counsel)]?\nMR. SALSMAN: Your Honor, our position would be that that\u2019s a claim that belongs to Laurie Volpe. There\u2019s been no evidence that Cully\u2019s, the corporation, had any involvement in the alleged malicious prosecution, certainly no evidence that Cully\u2019s was ever harmed in any way by any alleged malicious prosecution of Laurie Volpe by Farm Bureau.\nTHE COURT: So in this particular request for special instructions or special issues, can you \u2014 how does the malicious prosecution of Laurie Volpe enter into the benefit of or claim by corporation?\nI can see how we would \u2014 I guess if we couch this in the terms of did Farm Bureau \u2014 as to the claim of Laurie Volpe for unfair trade practice, is the malicious prosecution of Laurie Volpe an unfair trade practice, but not as to the corporation.\nMR. HEMMINGS [(Defendant\u2019s Counsel)]: Well, it happened during the claim process that the corporation was making.'\nMR. SALSMAN: In order to submit \u2014 one of the elements, and I\u2019m jumping a little ahead on this first issue still is that damages were proximate in cause. There was absolutely no evidence put on that Cully\u2019s suffered any damages proximately caused by the alleged malicious prosecution of Laurie Volpe.\nShe talked about how she personally suffered harm, but there\u2019s no evidence to show that Cully\u2019s suffered any harm as a result of the criminal prosecution of Laurie Volpe. So I just \u2014 I don\u2019t think there\u2019s any damages proximately caused to Cully\u2019s as a result of that alleged conduct.\nTHE COURT: Well, obviously we\u2019re just talking about now the special interrogatories as to the actions. The unreasonable refusal \u2014 without conducting a reasonable investigation could have nearly benefit Cully\u2019s thereby making number 3 appropriate. So if perhaps since we have a claim by corporation and a claim by Laurie Volpe for unfair deceptive trade practices, we will have to consider them separately. They\u2019re separately made in separately filed answers. I don\u2019t see why we wouldn\u2019t separate them out then if we have this issue of problems of\u2014\nMR. SALSMAN: Your Honor, we think that\u2019s important when we \u2014 if you were to find some unfair and deceptive trade practices and figure out what damages might be attributed to that. If it was because of the malicious prosecution, I think the damages are perhaps much more limited for that, so I think it\u2019s important to separate out.\nTHE COURT: I\u2019m going to separate out the damages \u2014 I mean separate out the claims, so I\u2019m going to do a claim for unfair deceptive for the corporation. I\u2019m going to use number 1 without conducting a reasonable investigation.\nAnd I don\u2019t have any other grounds \u2014 do you have any additional grounds that you would like for me to submit as a basis for question of fact on for the corporation other than without conducting a reasonable investigation understanding that the other three that you suggested I\u2019ve already indicated I will not give?\nMR. HEMMINGS: No.\nTHE COURT: Then I\u2019m only going to give number 1.\nSticking with the corporation, second issue will be: Was it in commerce or did it affect commerce? Will the Plaintiff[] stipulate that insurance is commerce?\nMR. SALSMAN: Yes, Your Honor, and we in fact admitted that in our answer.\nTHE COURT: I will not consider that.\nNumber 3, I will consider was any conduct the proximate cause of any injuries that may have been given for Cully\u2019s.\nAnd then number 4, what amount, if any, has Cully\u2019s been injured.\nThus, the trial court determined that the element of whether a course of conduct was \u201cin or affecting commerce\u201d was stipulated by Plaintiff as to the Section 75-1.1 claim brought by Cully\u2019s. The trial court then addressed the Section 75-1.1 claim brought by Ms. Volpe:\nAnd then going back to the unfair and deceptive trade practices claim for Laurie Volpe, I\u2019m going to give number 1 without conducting a reasonable investigation, and number 5, did they participate in unfair and deceptive acts.\nSecond issue I\u2019m going to not consider, having been stipulated.\nThe \u201csecond issue\u201d with respect to Cully\u2019s was the determination of whether insurance was commerce. With respect to Ms. Volpe, the determination would have been whether Plaintiff\u2019s malicious prosecution was \u201cin or affected commerce.\u201d However, the trial court clearly stated: \u201cI\u2019m not going to consider [that issue], having been stipulated.\u201d Immediately following the above-quoted material, the trial court moved on to the remaining issues. At no point did Plaintiff object to the trial court\u2019s statement that Plaintiff stipulated to the \u201csecond issue\u201d as to Ms. Volpe; i.e. whether Plaintiff\u2019s actions giving rise to Ms. Volpe\u2019s Section 75-1.1 claim were in or affecting commerce. The trial court also a provided a final summary of the issues as follows:\nTHE COURT: All right. Let me try to restate then the Defendant\u2019s contested issues then. All right.\nNumber 2 \u2014 I mean number 3. Excuse me. Before number 3, label this Unfair and Deceptive Trade Practices.\nNumber 3. Did Farm Bureau refuse to pay the claim submitted by Cully\u2019s Motorcross Park, Inc. without conducting a reasonable investigation based upon all available information?\nNumber 4. Was Farm Bureau\u2019s conduct \u2014 well, strike. Go back and eliminate Laurie Volpe from that question so it just reads \u2014 so it just reads Cully\u2019s Motorcross Park, Inc.\nNumber 4 then would be, was Farm Bureau\u2019s conduct a proximate cause of Cully\u2019s Motorcross Park, Inc.\u2019s injuries?\nNumber 5 will read, what amount of damages, if any, were sustained by Cully\u2019s Motorcross Park, Inc.?\nNext issue. Did Farm Bureau refuse to pay the claim submitted by Laurie Volpe without conducting a reasonable investigation based upon all available information?\nNext issue. Did Farm Bureau participate in an unfair and deceptive act in the malicious prosecution of Laurie Volpe?\nNumber next. Was Farm Bureau\u2019s conduct a proximate cause of Laurie Volpe\u2019s injuries?\nNumber 6. What amount, if any, has Laurie Volpe been injured?\nComments on those, Mr. Salsman?\nMR. SALSMAN: No, sir.\nTHE COURT: Mr. Hemmings. Other than the objections that you made for failure to give punitive damages and failure to give your other contentions of unfair and deceptive trade practices which are preserved for appellate review.\nMR. HEMMINGS: Just wanted to make sure four elements and you asked that we stipulate to the fourth one.\nTHE COURT: Yeah. I did not include the elements that we\u2019ve already stipulated to and the facts that would have been established, four are in commerce. I think everybody stipulates the insurance already had. And the last one on malicious prosecution, the claim was clearly dismissed. That\u2019s not an issue of fact that I would submit to a jury. I would instruct them summarily on that.\nAll right. Anything else from the Plaintiff in regards to the issues or the jury instructions or applicable law that I\u2019m going to consider that we haven\u2019t talked about?\nMR. SALSMAN: No, sir.\nTHE COURT: Thank you very much. Anything else for the Defendant other than to note your objections to the requested instructions or issues that I have indicated I will not give, anything other than those?\nMR. HEMMINGS: No, sir.\nReviewing this colloquy, it is clear that, during the discussion establishing the issues to be decided by the trial court, Plaintiff was given the opportunity to address the Section 75-1.1 claim. When setting forth this issue, the trial court was clear that Ms. Volpe\u2019s Section 75-1.1 claim arose from the malicious prosecution. Regarding the second element of the claim, Plaintiff was asked: \u201cWas it in commerce or did it affect commerce? Will the Plaintiff[] stipulate that insurance is commerce?\u201d Plaintiff clearly stipulated to this second element, and the trial court concluded that it would not address the second element with respect to Cully\u2019s.\nWhile we acknowledge that the specific language of the stipulation was \u201cinsurance is commerce [,]\u201d it is clear from the colloquy quoted above that Plaintiff was aware the trial court was discussing the element of \u201caffecting commerce\u201d with respect to Ms. Volpe\u2019s Section 75-1.1 claim. Because Plaintiff failed to object to the trial court\u2019s statement that Plaintiff stipulated to the fact, Plaintiff allowed the trial court to determine all issues as discussed during the colloquy, and did not require the trial court to determine whether Ms. Volpe\u2019s Section 75-1.1 claim involved actions \u201cin or affecting commerce.\u201d\nThis situation is analogous to those circumstances arising when a plaintiff fails to request specific jury instructions or fails to object to instructions provided. We therefore agree with Defendants that, on the facts arising from the transcript, Plaintiff stipulated to this element and is bound by that stipulation. See Crowder v. Jenkins, 11 N.C. App. 57, 62, 180 S.E.2d 482, 485 (1971) (\u201c[A] stipulation admitting a material fact becomes a judicial admission in a case and eliminates the necessity of submitting an issue in regard thereto to the jury.\u201d).\nPlaintiff further argues that, because the trial court found Ms. Volpe\u2019s counterclaims to be frivolous and malicious, she was not entitled to recover under Section 75-1.1. Plaintiff asserts that, because the trial court concluded that Plaintiff was not liable for breach of contract with respect to the fire policy on the Building, Ms. Volpe did not suffer any damage as a result of Plaintiff\u2019s unfair and deceptive act in seeking to gain leverage in the lawsuit. However, we note that the trial court found that Ms. Volpe had \u201csustained damages in the amount of $10,000.00 as a result of such unfair trade practices of Plaintiff.\u201d Plaintiff contends this finding of fact was unsupported by the evidence.\nHowever, there is ample evidence in the transcript and the record concerning the legal fees and other costs that Ms. Volpe incurred from her arrest and malicious prosecution. Plaintiffs argument would require us to hold that, because the unfair and deceptive act was intended to \u201cgain leverage in the civil action,\u201d the only damages the trial court should have considered would have been those that Ms. Volpe suffered as a result of Plaintiffs having gained such leverage. In other words, because Ms. Volpe did not prevail in her breach of contract counterclaim against Plaintiff, she suffered no damages for the purposes of the Section 75-1.1 claim. However, Plaintiff cites no authority in support of this argument. We hold that the trial court was correct in concluding that Plaintiff, by engaging in the unfair and deceptive act of malicious prosecution in order to gain leverage in the civil action, caused Ms. Volpe to suffer damages in the form of legal fees and other costs deriving from her prosecution.\nVII. The Noerr-Penninaton Doctrine\nPlaintiff next argues that the trial court erroneously found the Noerr-Pennington doctrine inapplicable to the present case. The Noerr-Pennington doctrine immunizes conduct undertaken to influence or petition government bodies from antitrust liability:\nIn Noerr and Pennington, the Supreme Court held that attempts to influence the legislative process, even if prompted by an anticompetitive intent, are immune from antitrust liability. This doctrine rests on two grounds: the First Amendment\u2019s protection of the right to petition the government, and the recognition that a representative democracy, such as ours, depends upon the ability of the people to make known their views and wishes to the government.\nPotters Medical Center v. City Hosp. Ass\u2019n, 800 F.2d 568, 578 (6th Cir., 1986). Citing Forro Precision, Inc. v. Intern. Business Machines, 673 F.2d 1045 (9th Cir. 1982), Plaintiff argues that providing information to the police triggers the Noerr-Pennington doctrine.\nIn Forro, the plaintiff company (Forro) had its business searched by police officers who were \u201caccompanied by and aided in the search by employees\u201d of the defendant company (IBM). Forro, 673 F.2d at 1049. \u201cForro brought suit against IBM on the basis of its participation in the search[.]\u201d Id. The claims were eventually limited to whether \u201cIBM had intentionally interfered with prospective business advantage under California law and had monopolized and attempted to monopolize in violation of section 2 of the Sherman Act.\u201d Id. IBM asserted \u201ca counterclaim under California law that Forro had misappropriated its trade secrets.\u201d Id. The jury returned a verdict in favor of Forro as to its \u201cintentional interference claim and awarded actual damages in the amount of $2,739,010.\u201d Id. The jury also \u201cfound in favor of IBM on the misappropriation claim and awarded actual damages in the sum of $260,777, but deadlocked on the antitrust claims and on both parties\u2019 claims for punitive damages.\u201d Id.\nThe police involvement in Forro arose from IBM\u2019s cooperation with police agents in an effort to \u201cdiscourage trade secret thievery.\u201d Id. at 1051. The cooperation resulted in a widely publicized search of Forro\u2019s place of business which caused Forro to \u201cincur[] out-of-pocket expenses imthe amount of $79,000 as a result of the search, and allegedly suffer[] further losses in sales and profits as a result of the adverse publicity.\u201d Id. The police operation resulted in ten indictments, none of which was \u201csought against Forro or any of its employees or principals.\u201d Id.\nOn appeal, the Ninth Circuit Court of Appeals reviewed, inter alia, the Sherman Act antitrust claims. The Ninth Circuit conducted the following discussion of whether IBM\u2019s involvement with the police warranted the application of the Noerr-Pennington doctrine:\nWe do not liken an approach to the police for aid in apprehending wrongdoers to political activity. However, we think that the public policies served by ensuring the free flow of information to the police, although somewhat different from those served by Noerr-Pennington, are equally strong. Encouraging citizen communication with police does not generally promote the free exchange of ideas, nor does it provide citizens with the opportunity to influence policy decisions. Nonetheless, it would be difficult indeed for law enforcement authorities to discharge their duties if citizens were in any way discouraged from providing information. We therefore hold that the Noerr-Pennington doctrine applies to citizen communications with police.\nId. at 1060 (citation omitted). We note, however, that the underlying cause of action to which the Ninth Circuit held Noerr-Pennington applicable was Forro\u2019s claim of an attempted \u201cviolation of the Sherman Act\u2019s proscription of monopolization [which] must establish three things: (1) possession of monopoly power in the relevant market; (2) willful acquisition or maintenance of that power; and (3) causal \u2018antitrust\u2019 injury.\u201d Id. at 1058 (citation omitted).\nIn the present case, the trial court\u2019s order making additional findings and conclusions of law in response to Plaintiff\u2019s NoerrPennington argument contains the following conclusion of law:\nDefendant\u2019s reliance upon Forro Precision, Inc. v. International Business Machines Inc., 673 F. 2d 1045, 1982(9th circuit) and Ottensmeyer vs. Chesapeake and Potomac Telephone Company of Maryland 756 F. 2d 986 (1985) is misplaced and the [c]ourt distinguishes each case from the factual situation present herein. Those cases dealt with claims of intentional interference with prospective business advantage, and antitrust claims in Forro, and Sherman Act issues regarding telephone service in the state of Maryland, both issues of wide spread commercial interest and protection of the public at large from monopolization and unfair business practices to the community as a whole. The Court distinguishes those cases from the facts herein, which deal with a single fire insurance policy claim affecting only the Plaintiff and Defendants.\nThe Noerr-Pennington doctrine has been recognized in North Carolina in Good Hope Hosp., Inc. v. N.C. Dep\u2019t of Health & Human Servs., 174 N.C. App. 266, 275, 620 S.E.2d 873, 881 (2005) (\u201cWe hold that Noerr applies in the state courts of North Carolina.\u201d). This Court has also held it is applicable to cases involving claims under N.C. Gen. Stat. \u00a7 75-1.1. See Reichhold Chems., Inc. v. Goel, 146 N.C. App. 137, 156, 555 S.E.2d 281, 293 (2001) (\u201cWe therefore hold that the reasoning of Noerr and PRE apply to N.C.G.S. \u00a7 75-1.1.\u201d).\n\u201cThis Court has noted that Chapter 75 of the North Carolina General Statutes was modeled after that federal antitrust law, and that federal decisions may \u2018provide guidance in determining the scope and meaning of chapter 75.\u2019 \u201d Reichhold, 146 N.C. App. at 156, 555 S.E.2d at 293 (citation omitted). In Reichhold, this Court discussed whether a plaintiff, bringing an objectively reasonable lawsuit, was protected from liability by the holdings in either Noerr or another Supreme Court case, Professional Real Estate Investors v. Columbia Pictures Indus., 508 U.S. 49, 123 L. Ed. 2d 611 (1993) (PRE). In Reichhold, this Court stated that \u201c[u]nder PRE, a plaintiff may not be held liable under federal antitrust law for bringing an objectively reasonable lawsuit, regardless of the plaintiff\u2019s subjective intent in bringing the suit.\u201d Reichhold, 146 N.C. App. at 157, 555 S.E.2d at 293. After concluding that the lawsuit in question was objectively reasonable, this Court held that the plaintiff\u2019s action in bringing the objectively reasonable lawsuit was not \u201can unfair trade practice under N.C.G.S. \u00a7 75-1.1.\u201d Id.\nWe first note that Forro involved Forro\u2019s lawsuit concerning the \u201cSherman Act\u2019s proscription of monopolization[.]\u201d Forro, 673 F.2d at 1058. Reichhold concerned whether the plaintiff\u2019s objectively reasonable lawsuit was shielded from unfair and deceptive practices liability by Noerr and PRE. Reichhold, 146 N.C. App. at 157, 555 S.E.2d at 293. In the present case the action underlying the Section 75-1.1 claim was Plaintiff\u2019s instigation of a malicious prosecution without probable cause, which the trial court found to be done for the improper purpose of gaining leverage in a lawsuit. We find the present case distinguishable from both Reichhold and Forro and hold that NoerrPennington does not apply on these facts. We therefore find the trial court\u2019s reasoning sound and find Noerr-Pennington inapplicable to the facts of the present case. See, e.g. Reichhold, 146 N.C. App. at 148, 555 S.E.2d at 288 (\u201cBecause we see no relation between the tort of tortious interference and the legislative intent behind federal antitrust law, we decline to attempt to conform the reasoning of Noerr to the present case.\u201d).\nVIII. Damages\nPlaintiff argues that the trial court erred by concluding that Ms. Volpe suffered separate injuries resulting from the malicious prosecution and from the Section 75-1.1 claim because the conduct giving rise to those causes of action was the same. Plaintiff, citing MRD Motorsports, Inc. v. Trail Motorsport, LLC, 204 N.C. App. 572, 576, 694 S.E.2d 517, 520 (2010) (citation omitted), asserts that a claimant is \u201c \u2018entitled to only one redress for a single wrong[.]\u2019 \u201d However, in this case, the trial court found that \u201cPlaintiff\u2019s actions in having [Ms.] Volpe arrested constitute a separate and distinctive injury to [Ms. Volpe]... in that it was done for such improper purpose [of gaining leverage in their civil action], and Plaintiff is liable ... to [Ms.] Volpe for such unfair and deceptive trade practice.\u201d Plaintiff does not address the trial court\u2019s conclusion that there was a separate, additional element involved in the Section 75-1.1 claim. Because the trial court found an additional element, we are not persuaded by Plaintiff\u2019s argument.\nIX. Attorney\u2019s Fees\nPlaintiff\u2019s final argument is that the trial court erred in awarding attorney\u2019s fees in favor of Ms. Volpe because she should not have prevailed in her Section 75-1.1 claim. In light of our holding with respect to Ms. Volpe\u2019s Section 75-1.1 claim, this argument is without merit.\nAffirmed.\nJudges CALABRIA and STROUD concur.\n. We note that the parties in this case, as well as the trial court, refer to \u201cunfair and deceptive trade practices\u201d claims. Because N.C. Gen. Stat. \u00a7 75-1.1 refers to \u201cunfair or deceptive acts or practices in or affecting commerce],]\u201d and no longer contains the word \u201ctrade,\u201d we will refer to Defendants\u2019 claims as \u201cSection 75-1.1 claims.\u201d See N.C. Gen. Stat. \u00a7 75-1.1 (2011); see also Talbert v. Mauney, 80 N.C. App. 477, 343 S.E.2d 5 (1896).",
        "type": "majority",
        "author": "McGEE, Judge."
      }
    ],
    "attorneys": [
      "Harris, Creech, Ward and Blackerby, PA., by Jay C. Salsman, C. David Creech, and Luke A. Dalton, for Plaintiff-Appellant.",
      "Hemmings & Stevens, PLLC, by Aaron C. Hemmings and M. Cory Howes, for Defendants-Appellees.",
      "Young Moore and Henderson, P.A., by Glenn C. Raynor and Andrew P. Flynt, for North Carolina Association of Defense Attorneys, amicus curiae.",
      "Schulz Stephenson Law, by Bradley N. Schulz; and Wait Law, P.L.L.C., by John L. Wait, for North Carolina Advocates for Justice, amicus curiae."
    ],
    "corrections": "",
    "head_matter": "THE NORTH CAROLINA FARM BUREAU MUTUAL INSURANCE COMPANY, Plaintiff- Appellant v. CULLY\u2019S MOTORCROSS PARK, INC., and LAURIE VOLPE Defendants-Appellees\nNo. COA11-651\n(Filed 1 May 2012)\n1. Malicious Prosecution \u2014 initiation of proceedings \u2014 competent evidence to support determination\nThe trial court did not err in a malicious prosecution counterclaim by concluding that plaintiff initiated proceedings against defendant. There was competent evidence in the record to support the trial court\u2019s determination that except for the efforts of plaintiff, it was unlikely that there would have been a criminal prosecution of defendant.\n2. Malicious Prosecution \u2014 probable cause for prosecution\u2014 lacking\nThe trial court did not err in a counterclaim for malicious prosecution by finding probable cause lacking to criminally charge defendant with obtaining property by false pretenses. There was competent evidence in the record for the trial court to conclude that a reasonable person would not have believed defendant was hiding information that she had already provided to plaintiff.\n3. Malicious Prosecution \u2014 immunity\u2014actual malice not required \u2014 malice inferred from lack of probable cause\nThe trial court did not err in a malicious prosecution counterclaim by failing to find that plaintiff was immune from civil liability. N.C.G.S. \u00a7 58-79-40(c) does not require actual malice and malice may be inferred from probable cause.\n4. Unfair Trade Practices \u2014 malicious prosecution claim \u2014 in or affecting commerce \u2014 judgment proper\nThe trial court did not err by entering judgment for defendant on her counterclaim for unfair and deceptive trade practices. Defendant\u2019s claim was premised on her malicious prosecution claim, which was entered without error. Also, plaintiff failed to object to the trial court\u2019s statement that he stipulated to the fact that insurance was in or affecting commerce. Further, the trial court was correct in concluding that plaintiff, by engaging in the unfair and deceptive act of malicious prosecution in order to gain leverage in the civil action, caused defendant to suffer damages.\n5. Immunity \u2014 Noerr-Pennington doctrine \u2014 not applicable to the facts\nThe trial court did not err in a malicious prosecution case by concluding that the Noerr-Pennington doctrine, which immunizes conduct undertaken to influence or petition government bodies from antitrust liability, was inapplicable. The action underlying the N.C.G.S. \u00a7 75-1.1 claim was plaintiffs instigation of a malicious prosecution without probable cause, which was done for the improper purpose of gaining leverage in a lawsuit, and the doctrine did not apply to these facts.\n6. Malicious Prosecution \u2014 unfair and deceptive trade practices \u2014 additional element \u2014 separate injuries\nThe trial court did not err by concluding that defendant suffered separate injuries resulting from a malicious prosecution and an unfair and deceptive trade practices claim. Plaintiff failed to address the trial court\u2019s conclusion that there was a separate, additional element involved in the N.C.G.S. \u00a7 75-1.1 claim.\n7. Attorney Fees \u2014 unfair trade practices - properly awarded\nThe trial court did not err in awarding attorney fees in favor of defendant where she prevailed on her unfair and deceptive trade practices claim.\nAppeal by Plaintiff from orders and judgment entered 7 February 2011 by Judge Wayland J. Sermons, Jr. in Superior Court, Wilson County. Heard in the Court of Appeals 8 November 2011.\nHarris, Creech, Ward and Blackerby, PA., by Jay C. Salsman, C. David Creech, and Luke A. Dalton, for Plaintiff-Appellant.\nHemmings & Stevens, PLLC, by Aaron C. Hemmings and M. Cory Howes, for Defendants-Appellees.\nYoung Moore and Henderson, P.A., by Glenn C. Raynor and Andrew P. Flynt, for North Carolina Association of Defense Attorneys, amicus curiae.\nSchulz Stephenson Law, by Bradley N. Schulz; and Wait Law, P.L.L.C., by John L. Wait, for North Carolina Advocates for Justice, amicus curiae."
  },
  "file_name": "0212-01",
  "first_page_order": 222,
  "last_page_order": 243
}
