We granted further appellate review (see
United Truck Leasing Corp.
v.
Geltman,
It is common ground that, in an action for intentional interference with a contract, the plaintiff must prove that (1) he had a contract with a third party, (2) the defendant knowingly induced the third party to break that contract, and (3) the plaintiff was harmed by the defendant’s actions. See
id.
at 852, and cases cited. The disputed point is whether the plaintiff must also prove something more, namely, that a defendant’s conduct was wrongful or improper in some way. The trial judge recognized that our cases have sаid that justification for one’s conduct is an affirmative defense to be proved by the defendant (see, e.g.,
Owen
v.
Williams,
The Appeals Court noted that the Restatement (Second) of Torts had moved away from the position taken in the Restatement of Torts § 766 (1939) which, in the Appeals Court’s view, more accuratеly stated the law of the Commonwealth. Id. at 852 & n.2. 2 That court also noted that *813 certain other States had adopted a requirement of proof of wrongful conduct beyond the intentional interference itself. Id. at 852 n.2. The Appeals Court was not considering whether a change or redefinition of the law of thе Commonwealth was called for. It simply applied the Massachusetts law, as it perceived it, and ordered a new trial on the claim of intentional interference with a contract.
Our cases have been imprecise on the elements of the torts involved in this case. There is arguably support for the positions taken by both the trial judge and the Appeals Court. Before we undertake to redefine and, we hope, clarify the torts, we shall briefly outline the circumstances that gave rise to the claims in this case.
Geitman, an officer of the defendant corporation, counsels companies that lease trucks. He educates his customers about the truck leasing business so that they may obtain more favorable leases. He helps in soliciting and critiquing bids from lessors and sometimes negotiates leases. Geitman also attempts to obtain changes in existing leases that will be beneficial to his clients. The plaintiff (United) operates a large truck leasing company in the Commonwealth.
United’s claim for intentional interference with a contract is based on its claim thаt Geitman caused one of his customers (Universal Fixtures) to break its contract with United and to enter into a lease with Flexi-Van, the lessor with whom Universal Fixtures had had a lease prior to its lease with United. It is clear, on the plaintiffs evidence, that Geitman knew of the existing leasе between United and Universal Fixtures and recognized the possibility that, if Universal Fixtures signed on with Flexi-Van, United might sue Universal Fixtures for breach of contract. There was evidence that United lost $60,000 because of Universal Fixtures’s repudiation of the contract.
United’s claim for intentional intеrference with prospective contractual relations concerns United’s inability to obtain a lease with Matthew’s Salad House (Matthew’s). United had been trying to arrange a lease with Matthew’s for about six *814 years. 3 Matthew’s retained Geltman to advise it concerning the lease of refrigerated trucks. Geltman did not invite United to bid on the Matthew’s account, although there were good reasons why United might have been invited to do so. When asked by a United representative why he had not invited United to bid, Geltman replied that other leasing companies gave him leads for new accounts but that United did not. After learning the amount of its competitor’s bid, United did bid on the Matthew’s account but was not awarded the account. 4 The trial judge directed a verdict for the defendants on this claim. The Appeals Court agreed with his ruling. United Truck Leasing Corp. v. Geltman, supra at 855-856. United has sought, and we have granted as to United, limited further appellate review of the order directing a verdict against United on its claim for interference with its prospective contractual relations with Matthew’s.
We start with the observation that malice, in the sense of ill will, has not been a true element of the torts of intentional interference either with a contract or with a prospective contractual relation. See
Pino
v.
Trans-Atl. Marine, Inc.,
More recently, we have expressed the view that a plaintiff must prove, among other things, “the defendant’s intentional and malicious interference with” a business relationship or contemplated contract of economic benefit. See
ELM Medical Laboratory, Inc.
v.
RKO Gen., Inc.,
*816 In this opinion, we adopt the word “improperly” in place of the word “maliciously.” In doing so we agree that more than intentional interferеnce must be established. “Improperly” is the word used in the Restatement (Second) of Torts § 766 (1979) 7 (“intentionally and improperly interferes”). It is the concept the trial judge relied on in directing verdicts in this case. We accept it, as does the Restatement (Second) of Torts, as an element both in the proof of intentional interference with performance of a contract (§ 766) and in the proof of intentional interference with a prospective contractual relationship (§ 766B).
In deciding what conduct is improper, we accept the standard expressed in the out-of-State cases cited in the Appeals Court opinion. See
The plaintiff has not argued that, if the trial judge’s requirement of proof of improper interferencе is applied, the evidence presents a jury question. The evidence does not warrant a finding that Geltman violated a statute or a rule of common law. There is no evidence that he used threats, misrepresented any facts, defamed anyone, or used any other improper means in relation to either the existing contract or the prospective one. 10 His apparent motives were to benefit his customers and himself financially. There is not enough evidence to warrant a finding that his real motive in these matters was to hurt United.
Thе judge properly allowed the motion for a directed verdict on the claims we have considered in this appeal.
Judgment of the Superior Court affirmed.
Notes
The Appeals Court said: “In Massachusetts, a plaintiff has made out a prima facie case on the tort when he submits evidence that would warrant findings that the defendant intentionally interfered with the plaintiff’s existing contract with a third party to the plaintiff’s damage. Justification and privilege are considered affirmative defenses. The plaintiff does not have to meet these defenses in his affirmative case. Rather, it falls tо the defendant to plead and prove that his conduct was either justified or privileged.” Id. at 852.
At one point in its opinion, the Appeals Court says that United had called on Matthew’s “six times” and concludes that the evidence did “not suffice to establish a prospective business relationship sufficient to support the claimed interference.” Id. at 855. There was evidence that United had been trying to obtain Matthew’s as a customer for six years, but none tending to show that United had called on Matthew’s only six times.
The Appeals Court says that the plaintiffs evidence was that the United bid was higher than the bid of the company that received the Matthew’s account. Id. at 855. There was, however, evidence that the United bid was lower. Contrary testimony, from the same witness, that United’s bid was higher seems to be an error in transcription.
Section 766 of the Restatement of Torts reads as follows: “Except as stated in Section 698 [contract to marry], one who, without a privilege to do so, induces or otherwise purposely causes a third person not to (a) perform a contract with another, or (b) enter into or cоntinue a business relation with another is liable to the other for the harm caused thereby.”
It should be noted that the first Restatement required that the conduct be undertaken “purposely” to cause one not to perform a contract, and does not use the word “intentionally.”
Although the Comey opinion describes the tort in that case as interference with an advantageous relationship, id., the wrong was in fact interference with the plaintiffs existing contract of employment. We have not consistently distinguished between the two torts, and, in view of what we say here, wе need not make any such distinction with respect to what conduct by a defendant is actionable. Of course, whether particular conduct is improper depends on the circumstances. The existence of a contract, and not *816 just the existence of a prospective relationship, might be a factor in determining whether particular intentional conduct was improper.
Section 766 reads as follows; “One who intentionally and improperly interferes with the performance of a contract (except a contract to marry) between another and a third person by inducing or otherwise causing the third person not to perform the contract, is subject to liability to the other for the pecuniary loss resulting to the other from the failure of the third person to perform the contraсt.”
The “plaintiff must not only prove that defendant intentionally interfered with his business relationship but also that defendant had a duty of non-interference;
i.e.,
that he interfered for an improper purpose rather than for a legitimate one, or that defendant used improper mеans which resulted in injury to plaintiff.”
Straube
v.
Larson,
vIn deciding that a plaintiff should prove that the defendant acted improperly, the Utah court noted: “The problem with the prima facie-tort approach is that basing liability on a mere showing that defendant intentionally interfered with plaintiff’s prоspective economic relations makes actionable all sorts of contemporary examples of otherwise legitimate persuasion, such as efforts to persuade others not to eat certain foods, use certain substances, engage in сertain activities, or deal with certain entities. The major issue in the controversy — justification for the defendant’s conduct — is left to be resolved on the affirmative defense of privilege. In short, the prima facie approach to the tort of interference with prospective economic relations requires too little of the plaintiff.” Id. at 303.
Section 767 of the Restatement (Second) of Torts sets out seven general factors to be considered in determining whether interference is improper. These factors may be helpful in determining whether an act of interference was committed with an improper motive or by improper means.
