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            DISTRICT OF COLUMBIA COURT OF APPEALS

                       Nos. 14-CV-1427 & 15-CV-1203                    02/1/2018


                    YEHUDA STEINER, ET AL., APPELLANTS,

                                      V.


        AMERICAN FRIENDS OF LUBAVITCH (CHABAD), ET AL., APPELLEES.

                        Appeal from the Superior Court
                         of the District of Columbia
                               (CAB-6353-14)

                     (Hon. John M. Campbell, Trial Judge)

(Argued October 27, 2016                             Decided February 1, 2018)

      Nicolle Kownacki, with whom Kathryn J. Mims and Chauncey A. Bratt were
on the brief, for appellants.

      Andrew M. Grossman, with whom Paul M. Levine was on the brief, for
appellees.

      Before BECKWITH and EASTERLY, Associate Judges, and FARRELL, Senior
Judge.

      BECKWITH, Associate Judge:     This case raises the question whether a

noncompete and noninterference clause in a religious minister‘s employment

contract may be enforced by a preliminary injunction after the employment is
                                         2

terminated. Appellant Rabbi Yehuda Steiner was hired by American Friends of

Lubavitch (AFL), a nonprofit affiliated with ―the Chabad-Lubavitch movement,‖

to run AFL‘s campus outreach at George Washington University (GW). The

noncompete and noninterference clauses at issue in this case appear in an

employment contract Rabbi Steiner signed—on behalf of himself and his wife,

Rivky Steiner—with one of the organization‘s representatives, appellee Rabbi Levi

Shemtov. When the Steiners‘ employment ended under contested circumstances,

Rabbi Shemtov and appellee AFL filed a complaint alleging a breach of contract

and successfully sought a preliminary injunction that required the Steiners to

refrain from competing or interfering with AFL‘s involvement at GW.               A

subsequently amended version of that injunction is now the subject of this appeal.


      The Steiners challenge the injunction on five separate grounds, arguing that

the trial court lacked subject-matter jurisdiction, that it abused its discretion by

issuing the injunction, that it erred in applying the doctrine of equitable

reformation to the noncompete clause, that the injunction violated the Free

Exercise Clause of the First Amendment and the Religious Freedom Restoration

Act, and that Rabbi Steiner‘s wife, Rivky Steiner, was not a party to the contract

and was therefore improperly enjoined.


      We conclude that the trial court had subject matter jurisdiction to issue the
                                        3

injunction. We also formally adopt the doctrine of equitable reformation to modify

contract provisions, but hold that the trial court‘s equitable revision of the

noncompete clause in this case exceeded the bounds of that doctrine by describing

the activities the Steiners were precluded from engaging in using broader language

than the terms of the employment contract itself and thus effectively expanding the

scope of the restrictions contained in the noncompete clause. We therefore vacate

the injunction and remand for a determination of what, if any, provisions of the

modified preliminary injunction remain enforceable, consistent with this opinion.

We also remand for a determination as to whether Rivky Steiner could be properly

enjoined, should any provisions remain enforceable.


                               I.     Background


      The appellants, Rabbi Yehuda Steiner and his wife Rivky Steiner, belong to

Chabad-Lubavitch, an Orthodox Jewish movement centered in Brooklyn, New

York. They moved to the District of Columbia in 2008 when Rabbi Steiner was

hired by American Friends of Lubavitch—a nonprofit that describes itself as ―the

Chabad-Lubavitch movement‘s mandated representative entity in Washington‖—

to be a campus rabbi at George Washington University. Within a year, Rabbi

Steiner‘s relationship with Rabbi Levi Shemtov, the head of AFL‘s Washington

office, deteriorated, and in November 2011, Rabbi Shemtov purported to fire
                                          4

Rabbi Steiner. Rabbi Steiner challenged the termination before a rabbinical court

and won, after which he and Rabbi Shemtov entered into a new employment

contract.


      The new contract stated that Rabbi Shemtov had ―ultimate rabbinic and

executive authority over Chabad-Lubavitch activities in Washington, DC—

governmental, communal and local, including the universities‖ and indicated that

he was employing Rabbi and Rivky Steiner in that capacity. Rabbi Steiner‘s

responsibilities under the contract included organizing Friday night Shabbos

dinners, classes, social events, and annual trips to Israel ―to enable Jewish students

to interact with each other as much as possible[.]‖


      The contract included a noncompete clause stating that if the Steiners were

terminated, they would not ―enter into employment or arrangement—of whatever

scope or duration—with any Chabad-Lubavitch entity or any other institution,

performing similar work, anywhere in DC, or suburban MD or VA.‖                  This

noncompete clause was followed by a noninterference clause stating that, after the

end of the employment, the Steiners agreed ―to conclude their operations at GWU

peacefully within 30 days of notification‖ and to do so ―without causing any

damage or discomfort‖ to Rabbi Shemtov or AFL and without ―interfering with

any arrangement or subsequent decision made by [Rabbi Shemtov] in connection
                                         5

with GW or any other activities over which [Rabbi Shemtov] has authority.‖ The

contract concluded with a statement that the parties agreed to the specified terms

and conditions ―in conformance with the laws of, under the jurisdiction of, and

enforceable in the District of Columbia.‖ Rabbi Steiner signed the contract on

behalf of himself and his wife, and Rabbi Shemtov signed it on behalf of himself,

his wife, and AFL.


      The parties performed pursuant to the terms of the contract for two years,

until the relationship between Rabbi Steiner and Rabbi Shemtov broke down again,

and Rabbi Shemtov for the second time fired Rabbi Steiner. While contesting the

termination before religious and civil courts, Rabbi Steiner continued his religious

outreach activities at GW, including his use of the ―Chabad @ GW‖ name and of

property belonging to AFL.       He later switched to using the name ―Jewish

Colonials‖ or ―Jewish GW.‖


      AFL and Rabbi Shemtov brought this breach of contract action and

simultaneously moved for a preliminary injunction ordering the Steiners to ―cease

their operations at GWU immediately,‖ not perform similar work ―at, around, or

related to GWU,‖ and cease using the Chabad name and Chabad property. In

response, the Steiners asserted several affirmative defenses and counterclaims and

sought a declaratory judgment that the noncompete clause was unenforceable.
                                          6

        The trial court granted a preliminary injunction, but applied the doctrine of

equitable reformation to narrow the scope of the restrictions, noting that AFL and

Rabbi Shemtov ―d[id] not seriously dispute‖ that the noncompete clause was ―an

overbroad and thus unenforceable restraint on trade.‖


        The resulting order required the Steiners to cease their operations at GW and

stop using ―ChabadGW‖ branding, return property and a leased ―Chabad Lounge‖

to the plaintiffs, and refrain for two years from conducting any of the activities the

Steiners were hired to do, as directly specified in their employment contract, within

one mile of the GW campus.          The trial court found that two years was ―a

reasonable period of time necessary to enable the plaintiffs to regain control of the

Chabad program at GW without unreasonable interference and competition from

defendants,‖ and that the activities that the Steiners were to organize with GW

students as laid out in the contract were the ―core of what the plaintiffs bargained

for.‖


        The trial court found that AFL and Rabbi Shemtov had clearly demonstrated

all four prerequisites of a preliminary injunction. AFL and Rabbi Shemtov were

likely to succeed on the merits, the court found, because the Steiners were ―clearly

not in compliance with the noncompete clause of the contract . . . whether as

written or as equitably revised.‖ AFL and Rabbi Shemtov had likewise
                                          7

demonstrated that they would suffer irreparable harm without the injunction, that

they would suffer greater harm from the denial of the injunction than the Steiners

would, and that the injunction would be consistent with the public interest because

the ―short-term . . . disruption for a handful of students‖1 was less of a concern than

the ―strong public interest in the enforcement of contracts.‖


      The Steiners appealed and asked this court to stay the preliminary

injunction. This court held oral argument on the stay request and then issued an

order—instructing the trial court to clarify the scope of the injunction and to

explain how the injunction was ―compatible with the requirements of the First

Amendment.‖ After further briefing from both parties, the trial court ruled that the

preliminary injunction had no constitutional or statutory infirmities. The court

nonetheless modified the injunction to reflect the parties‘ understanding that the

prohibition on organizing the types of programs normally associated with Rabbi

Steiner‘s religious duties under his contract with AFL—such as Shabbos dinners,

classes, and social events for Jewish students—only applied to activities with GW

students near the GW campus.           The court also adjusted and widened the

geographic area around the GW campus to which the injunction applied and


      1
         The Steiners proffered a petition signed by 118 GW students attesting to
the special personal relationship they shared with their religious mentor, Rabbi
Steiner.
                                           8

attached a corresponding new map.


      The Steiners filed an appeal from this modified injunction order, which was

consolidated with the earlier appeal. Before this court the Steiners now challenge

the injunction on various grounds, ranging from this court‘s jurisdiction over the

matter to the overall validity and constitutionality of the injunction.


                         II.   Subject Matter Jurisdiction


      The Steiners contend on appeal that this case falls outside the secular

jurisdiction of the District of Columbia courts because ―resolution of this religious

dispute‖ and enforcement of the modified injunction ―would require the Superior

Court to decide matters of ecclesiastical cognizance and impermissibly entangle

itself with religious concerns.‖ We apply a de novo standard of review to the trial

court‘s contrary conclusion, ―as the issue of subject matter jurisdiction is a

question of law.‖ Meshel v. Ohev Sholom Talmud Torah, 869 A.2d 343, 353 (D.C.

2005) (citations omitted).


      The two ―religion clauses‖ of the First Amendment, the Free Exercise

Clause and the Establishment Clause, together ―severely circumscribe the role that

civil courts may play in the resolution of disputes involving religious

organizations.‖ Meshel, 869 A.2d at 353. This principle, as a rule of constitutional
                                         9

law, dates back to a pair of Supreme Court cases that held that ―matter[s] of

ecclesiastical government,‖ such as the selection of clergy or the decision of which

sect speaks for a church, could not be determined by the government, whether

through legislative action, Kedroff v. St. Nicholas Cathedral of Russian Orthodox

Church in North America, 344 U.S. 94, 115 (1952), or judicial order, Kreshik v. St.

Nicholas Cathedral, 363 U.S. 190, 191 (1960). See generally Presbyterian Church

in U.S. v. Mary Elizabeth Blue Hull Mem’l Presbyterian Church, 393 U.S. 440,

445–49 (1969).


      The rule that emerged from this line of cases, sometimes referred to as

constitutional immunity, see United Methodist Church, Baltimore Annual

Conference v. White, 571 A.2d 790, 793 (D.C. 1990), or religious abstention, see

Family Fed’n for World Peace v. Hyun Jin Moon, 129 A.3d 234, 248 (D.C. 2015),

states that the First Amendment prevents civil courts ―from adjudicating church

fights that require extensive inquiry into matters of ‗ecclesiastical cognizance.‘‖

Bible Way Church of Our Lord Jesus Christ of Apostolic Faith of Washington,

D.C. v. Beards, 680 A.2d 419, 427 (D.C. 1996) (quoting Burgess v. Rock Creek

Baptist Church, 734 F. Supp. 30, 31 (D.D.C. 1990)). As we have recognized,

however, ―[n]ot every civil court decision . . . jeopardizes values protected by the

First Amendment.‖ Heard v. Johnson, 810 A.2d 871, 879 (D.C. 2002) (quoting

Presbyterian Church in U.S., 393 U.S. at 449). ―Religious organizations come
                                          10

before [the courts] in the same attitude as other voluntary associations for

benevolent or charitable purposes, and their rights of property, or of contract, are

equally under the protection of the law . . . .‖ Family Fed’n for World Peace, 129

A.3d at 248 (quoting Watson v. Jones, 80 U.S. (13 Wall.) 679, 714, 20 L.Ed. 666

(1871)).


      ―The touchstone for determining whether civil courts have jurisdiction is

whether the courts may employ ‗neutral principles of law‘ and ensure that their

decisions are not premised on the ‗consideration of doctrinal matters, whether the

ritual and liturgy of worship or the tenets of faith.‘‖ Family Fed’n for World

Peace, 129 A.3d at 249 (quoting Second Episcopal Dist. African Methodist

Episcopal Church v. Prioleau, 49 A.3d 812, 816 (D.C. 2012)). ―[T]he ‗neutral

principles‘ approach avoids prohibited entanglement in questions of religious

doctrine, polity, and practice by relying ‗exclusively upon objective, well-

established concepts‘ of law that are familiar to lawyers and judges.‖ Meshel, 869

A.2d at 354 (quoting Jones v. Wolf, 443 U.S. 595, 603 (1979)). ―[I]n determining

whether the adjudication of an action would require a civil court to stray

impermissibly into ecclesiastical matters, we look not at the label placed on the

action but at the actual issues the court has been asked to decide.‖ Id. at 356.


      The Steiners first argue that enforcement of an injunction that precludes
                                         11

them from engaging in certain ministerial and religious outreach activities with

students who had previously been their congregants would require the court to

make difficult and constitutionally questionable findings while policing the border

between prohibited and allowed conduct.


      In this case, the injunction sought by the appellees and issued by the trial

court bars the Steiners as parties to an agreement from engaging in certain outreach

activities with a population—GW students—who had previously been their

congregants. The relevant provision of the injunction in this case is one that the

trial court imposed by equitably reforming the language of the noncompete clause

to prohibit the Steiners from doing those activities set out in the employment

contract that they were hired to perform. To enforce this injunction, the court does

not need to determine what religious activities are required of the Steiners by

Chabad religious doctrine. The court need only determine what religious activities

the Steiners contracted to perform for appellees, which are set forth in a contract

―agreed to in conformance with the laws of‖ the District of Columbia.2



      2
        The Steiners were free to enter into a contract obligating them to curtail
the scope of their religious expression in exchange for the opportunity to lead the
community at GW under the employ of AFL. See Minker v. Balt. Annual
Conference of United Methodist Church, 894 F.2d 1354, 1359 (D.C. Cir. 1990)
(―A church is always free to burden its activities voluntarily through contracts, and
such contracts are fully enforceable in civil court.‖). Whether the terms of the
                                                                       (continued…)
                                         12

      The Steiners attempt to frame this case as one requiring the court to hold that

the First Amendment bars civil courts from interfering with internal church matters

by, for example, determining who rightfully controls a religious institution or its

property, see, e.g., Samuel v. Lakew, 116 A.3d 1252 (D.C. 2015), or settling

disputes over ministerial employment and termination, see, e.g., Natal v. Christian

& Missionary All., 878 F.2d 1575, 1576 (1st Cir. 1989); Minker, 894 F.2d at 1356–

57. In such cases, judicial interference may threaten ―the autonomy of religious

entities ‗to decide for themselves, free from state interference, matters of church

government as well as those of faith and doctrine.‘‖ Family Fed’n for World

Peace, 129 A.3d at 248 (quoting Hosanna–Tabor Evangelical Lutheran Church &

Sch. v. EEOC, 565 U.S. 171, 186 (2012)).

(…continued)
injunction impose an unconstitutional or impermissible burden on their religious
exercise, however, is a question about the validity of the burden imposed, rather
than an inquiry bearing on subject matter jurisdiction. See, e.g., Avitzur v. Avitzur,
446 N.E.2d 136, 138 (N.Y. 1983) (enforcing specific performance of an agreement
to appear before a religious tribunal because the dispute over the agreement
required only ―the application of objective well-established principles of secular
law‖ rather than a departure into the religious substance of the rest of the
agreement). Even taking the Steiners‘ religious beliefs at face value, the task
before the court at the outset remains interpreting which activities the injunction
bars. Although we ultimately hold infra in Part III.B.1. that the court erred by
impermissibly expanding the noncompete clause in equitably reforming it, it bears
repeating that the error is one of contract interpretation, not jurisdictional
overreach. The trial court, in equitably reforming the noncompete clause, issued
an injunction that in the court‘s determination represented the agreement arrived at
between the parties to the employment contract. The court did so through the
application of neutral principles of contract law.
                                          13

        In Bible Way, for example, we held that the civil courts lacked subject matter

jurisdiction where the former church employee brought a negligent accounting

claim against the religious organization. 680 A.2d at 424, 428–31. The complaint

did not allege ―indisputable, universally applicable rules of accounting and

financial reporting,‖ and because accounting ―is an area riddled with major

subjective decisions,‖ the complaint accordingly required the court to ―select and

impose [accounting standards] on a church board of trustees[.]‖ Id. at 428–29. We

could not do so without delving into ―ecclesiastical judgment.‖ Id. at 429. But we

clarified that, where a religious organization adopted a set of accounting principles

that would have permitted the court to apply clear, objective criteria ―without

implicating church doctrine,‖ civil courts would have jurisdiction over the dispute.

Id. at 428.


        In other words, where a case does not involve any inquiry into the internal

affairs, hierarchy, or autonomy of a religious organization, but rather involves a

dispute that may be resolved on ―neutral principles of law,‖ the court may exercise

jurisdiction. Jones v. Wolf, 443 U.S. at 603. Our decision in Meshel was one such

case.    There, a provision in the corporate bylaws of an Orthodox Jewish

congregation known as Ohev Sholom, which was organized under District of

Columbia law, ―provide[d] that any claim of a member against the congregation

that [could not] be amicably resolved shall be referred to a ‗Beth Din‘ of Orthodox
                                         14

Jewish rabbis for a binding decision according to Jewish law.‖ 869 A.2d at 346.

Congregation members, upset that the board of directors for Ohev Sholom had, in

their eyes, ―perpetrated a succession of improper acts [under the bylaws] that had

damaged the congregation and fundamentally altered its governing structure,‖

brought suit, seeking to compel the Ohev Sholom to submit to binding arbitration

before a Beth Din, as prescribed by the bylaws. Id. at 352–53.


      We held that the civil courts had subject matter jurisdiction to resolve the

dispute. Id. at 346.    Because the congregation and its members had already

decided on a dispute resolution mechanism through the congregation‘s bylaws—a

corporate document adopted pursuant to District of Columbia law—the court had

only to ―apply, without ecclesiastical judgment or intrusion, a previously

prescribed, authoritative, non-discretionary‖ policy. Id. at 356 (quoting Bible Way,

680 A.2d at 428). The action to compel turned not on ecclesiastical interpretation,

but on contract interpretation. Id. at 357. Thus, we held that, just as with the rules

of statutory construction, the ―formation, interpretation, and enforcement of

contracts‖ are ―objective, well-established, ‗neutral principles of law‘ that civil

courts may apply, consistently with the First Amendment, in resolving disputes

involving religious organizations.‖ Id. at 355 (citing Williams v. Bd. of Trs. of Mt.
                                        15

Jezreel Baptist Church, 589 A.2d 901, 908 (D.C. 1991)).3


      In the case before us, the Steiners entered into a contractual agreement with

appellees, and performed on that contract for years before the agreement dissolved.

The parties do not ask the court to determine the boundaries of Chabad, or to look

to internal policies or principles of religious law to resolve this dispute. The

parties ask this court to review the language of a noncompete clause in a contract,

entered into in conformance with the laws of the District of Columbia, and to

enforce a preliminary injunction drafted from the language in their agreement.

Contract interpretation and the enforcement of preliminary injunctions are two

tasks that civil courts are equipped to handle by relying ―‗exclusively upon

objective, well-established concepts‘ of law that are familiar to lawyers and

judges.‖ Meshel, 869 A.2d at 354 (quoting Jones v. Wolf, 443 U.S at 603).


      ―Under the objective law of contracts,‖ courts look first to the plain meaning

of the document, and where the proper interpretation of the agreement ―cannot be


      3
        Moreover, we were not persuaded by the argument that the dispute would
impermissibly entangle the court in ecclesiastical matters because the court might
have to interpret religious terms such as ―Beth Din,‖ ―Din Torah,‖ or ―Orthodox
rabbis.‖ Id. at 354. Rather, there was ―no material dispute between parties over
the meaning of any of these terms,‖ and it was ―apparent from the record‖ that the
parties understood what those terms meant. Id. at 354–55. The court‘s
adjudication did not require interpreting religious terms so much as looking to the
conduct and understanding of the parties. Id.
                                          16

derived from the contractual language exclusively,‖ courts look also to the course

of performance under the contract. Sahrapour v. LesRon, LLC, 119 A.3d 704, 716

(D.C. 2015) (citing Restatement (Second) of Contracts § 203 (1981)); cf. Family

Fed’n for World Peace, 129 A.3d at 252 (―Neutral principles of law can govern the

establishment of an agency relationship, and it may be that an examination of the

structure and long-standing practices of the Church will provide an answer to the

actual existence of such a relationship.‖).


      Here, neither the noncompete as originally drafted nor the clause as

reformed in the trial court‘s modified preliminary injunction contains terms that

would require religious interpretation and therefore preclude a civil court‘s review

of this dispute. Years of performance on the contract demonstrate that the parties

well understood the meaning of organizing ―Shabbos‖ dinners and ―shiurim‖ for

students. And to the extent that the description of any other campus activity for

which the Steiners were responsible is ambiguous, the court could look to that

performance for guidance to appropriately enforce the injunction.         In short,

because the parties set forth their agreement in a contract at the outset of

performance, the court need not delve into matters of ecclesiastical import to
                                          17

resolve this dispute, and is therefore not divested of subject matter jurisdiction. 4


      The Steiners further argue, however, that the court lacks subject matter

jurisdiction because adjudicating the case would require the court to determine

whether Rabbi Shemtov has ―ultimate rabbinic authority‖ in Washington, D.C.

More specifically, the Steiners argue that two of Rabbi Steiner‘s affirmative

defenses turn on whether he possessed the religious authority that he claimed:

fraud in the inducement and the doctrine of mutual mistake.5 Appellees in turn

argue that the Steiners have waived this issue, that they should be estopped from

raising the issue because they elsewhere seek relief under the contract, and that this


      4
          We note, however, as we have in the past, ―that going forward, if it
becomes apparent to the trial court that this dispute does in fact turn on matters of
doctrinal interpretation or church governance, the trial court may‖ grant relief to
the Steiners ―to avoid ‗excessive entanglement with religion.‘‖ Prioleau, 49 A.3d
at 818 (quoting Minker, 894 F.2d at 1360).
      5
          The Steiners also argue that Rabbi Steiner lacked ―capacity‖ to enter into a
contract, because whether he has ―ultimate rabbinic and executive authority over
Chabad-Lubavitch activities‖ in the District is in dispute. Although it is true that
―[a] contract is void or voidable if one of the parties lacked the capacity to enter
into it,‖ District of Columbia v. Brookstowne Cmty. Dev. Co., 987 A.2d 442, 446
(D.C. 2010), legal ―capacity‖ stands for ―whether the person in question possesses
sufficient mind to understand, in a reasonable manner, the nature, extent, character,
and effect of the particular transaction in which [he] is engaged[.]‖ Butler v.
Harrison, 578 A.2d 1098, 1100 (D.C. 1990); see also Hernandez v. Banks, 65 A.3d
59, 74 (D.C. 2013) (en banc) (holding that a contract was voidable where entered
into by a mentally incapacitated party). The law honors valid employment
contracts regardless of whether the contract is made by a person in his capacity as a
leader of a religious denomination or otherwise.
                                           18

issue has already been resolved by a binding arbitration.


         The trial court dismissed this argument on the ground that it was not an issue

for the court to resolve at the preliminary injunction stage—noting that the parties

had at ―many times in the record acknowledged Rabbi Shemtov‘s authority.‖ We

agree.


         Both the doctrine of mutual mistake and fraud in the inducement are grounds

for rescission and may be used as a defense to a breach of contract suit. See In re

Estate of McKenney, 953 A.2d 336, 342 (D.C. 2008).               On mutual mistake,

―[w]here a mistake of both parties at the time a contract was made as to a basic

assumption on which the contract was made has a material effect on the agreed

exchange of performances, the contract is voidable by the adversely affected party

unless he bears the risk of the mistake[.]‖ Restatement (Second) of Contracts

§ 152 (1981); see also Rotunda v. Marriott Int’l, Inc., 123 A.3d 980, 984 n.4 (D.C.

2015) (adopting and applying the Restatement). On fraud in the inducement, ―[i]f

a party‘s manifestation of assent is induced by either a fraudulent or a material

misrepresentation by the other party upon which the recipient is justified in relying,

the contract is voidable by the recipient.‖ Restatement (Second) of Contracts

§ 164 (1981); see also King v. Indus. Bank of Wash., 474 A.2d 151, 155 (D.C.

1984) (―Misrepresentation by one party to a contract will not relieve the other party
                                           19

of his contractual obligation unless he relied on the misrepresentation and was

induced by it to enter into the contract.‖).


      To prevail on either defense, then, the Steiners must establish not only the

falsity of Rabbi Shemtov‘s claim to ―ultimate rabbinic authority,‖ but also

demonstrate that it was a ―basic assumption on which the contract was made‖ and

that it had a ―material effect on the agreed exchange of performances,‖ or that the

Steiners justifiably relied on the statement to the extent that it induced them to

enter into the contract. The trial court was equipped to assess these challenges to

the contract‘s validity. Accordingly, we hold that on the facts of this case, the

religion clauses of the First Amendment do not divest the civil courts of subject

matter jurisdiction to implement and enforce an injunction.


         III.   The Trial Court’s Revision of the Restrictive Covenant


      The Steiners raise a variety of arguments challenging the validity of the

revised injunction, as well as the propriety of its issuance. At the outset, the

Steiners argue that the trial court erred by applying the doctrine of equitable

reformation to the overbroad noncompete clause, rather than revising the clause by

application of the ―blue-pencil rule.‖ Moreover, the Steiners argue that, regardless

of which doctrine should apply to judicial modifications of contracts in the District

of Columbia, the court erred by impermissibly broadening the scope of the
                                        20

restrictive covenant and by engaging in equitable reformation at all where the

original terms were overbroad.


                 A.    The Doctrine of Equitable Reformation


      The Steiners suggest that this court‘s precedent supports the adoption of the

so-called ―blue-pencil doctrine‖ should a court decide to modify an overbroad

noncompete clause. Appellees counter that the trial court did not err by instead

applying the doctrine of equitable reformation, pointing to the doctrine‘s trending

popularity in other jurisdictions and its flexibility for allowing more reasonable

revisions.


      Most courts take one of three approaches to restrictive covenants containing

unenforceable provisions.    One approach is simply to refuse to enforce an

overbroad covenant. See, e.g., CAE Vanguard, Inc. v. Newman, 518 N.W.2d 652,

655–56 (Neb. 1994); Rollins Protective Serv. Co. v. Palermo, 287 S.E.2d 546, 549

(Ga. 1982) (in the employment context); Rector–Phillips–Morse, Inc. v. Vroman,

489 S.W.2d 1, 5 (Ark. 1973). This court has already ―rejected the view that

covenants not to compete must be enforceable in whole or not at all.‖ Ellis v.

James V. Hurson Assocs., Inc., 565 A.2d 615, 617 (D.C. 1989).


      We have never expressly adopted or rejected either of the remaining two
                                         21

approaches: the ―blue-pencil‖ rule, which allows courts only to sever overbroad

terms ―where the severable character of the restriction is evident from the terms of

the agreement,‖ or the approach that is sometimes called the equitable reformation

doctrine, which allows courts to enforce a covenant ―to the extent that its terms are

reasonable, regardless of grammatical severability.‖ Id. at 617–18 (―[W]e need not

in this preliminary injunction appeal decide whether or not to adopt a ‗blue pencil‘

rule in this jurisdiction‖).


       Under the blue-pencil doctrine, the court has discretion to cross out

overbroad, unreasonable provisions in a noncompete clause while keeping in place

the enforceable language. See Compass Bank v. Hartley, 430 F. Supp. 2d 973, 980

(D. Ariz. 2006). This approach does not allow the court to redraft terms or add

language to the clause, even where the revision would narrow the scope of the

covenant. Instead, the court is limited to deleting unreasonable terms or provisions

to narrow the scope and enforcing the remaining language, so long as the language

remains grammatically coherent. Maryland courts appear to favor this approach.

See Deutsche Post Glob. Mail, Ltd. v. Conrad, 292 F. Supp. 2d 748, 754 (D. Md.

2003) (interpreting Maryland law as permitting courts to ―blue-pencil‖ ―language

from restrictive covenants‖); Fowler v. Printers II, Inc., 598 A.2d 794, 800 (Md.

Ct. Spec. App. 1991); United Rentals, Inc. v. Davison, 2002 WL 31994250, at *3–

5 (Md. Cir. Ct. July 23, 2002).
                                        22

      Other jurisdictions have criticized the blue-pencil doctrine as an overly

formalistic approach to judicial modification of an agreement. See, e.g., Data

Mgmt., Inc. v. Greene, 757 P.2d 62, 64 (Alaska 1988) (referring to the blue-pencil

doctrine as ―too mechanical, in that it values the wording of the contract over its

substance‖);6 Bess v. Bothman, 257 N.W.2d 791, 795 (Minn. 1977). A number of

scholarly writers share the same reservation,7 and the Restatement of Contracts

does not adopt this approach. Restatement (Second) Contracts § 184, Reporter‘s

Note (1981).   Jurisdictions that adopt equitable reformation recognize that in

certain circumstances, there are valid justifications for enforcing part of a

restrictive covenant, but the covenant‘s language ―does not lend itself to the

mechanical blue-pencil modification.‖ Durapin, Inc. v. Am. Prods., 559 A.2d

      6
          The court in Data Mgmt., Inc. provided the following illustration to
highlight the drawback of the blue-pencil doctrine‘s rigidity:

            if a seller promised not to compete ―anywhere in
            England,‖ the whole provision would be void because the
            quoted clause cannot be narrowed by deleting any words.
            On the other hand, if the seller promised not to compete
            ―in London or elsewhere in England,‖ the covenant
            would be enforceable as to London because ―elsewhere
            in England‖ could be ―blue pencilled.‖

Id. at 64. The court found the difference between each promise to be ―merely
semantic‖ and thus rejected the blue-pencil rule. Id.
      7
         See 15 Grace McLane Geisel, Corbin on Contracts § 80.26 (Joseph M.
Perillo ed., rev. ed. 2003); 6 Samuel Williston & Richard Lord, A Treatise on the
Law of Contracts § 13:26 (4th ed. 2009).
                                          23

1051, 1053 (R.I. 1989) (citing E. Distrib. Co. v. Flynn, 567 P.2d 1371, 1379 (Kan.

1977)).


      We join the jurisdictions that have adopted the equitable reformation

doctrine. Although we look to Maryland common law for guidance where ―there

is no District of Columbia precedent on an issue,‖8 we are persuaded, consistent

with the Restatement of Contracts,9 that the doctrine of equitable reformation

affords greater flexibility to make reasonable modifications when necessary and is

thus the better approach.


      In adopting equitable reformation, however, we remain ―cognizant of the

judicial reluctance to ‗rewrite‘ contracts between parties . . . and [of] the argument

which suggests that partial enforcement rewards employers who have everything to

gain from writing overbroad covenants.‖ Ellis, 565 A.2d at 617.10 Although there

      8
        E.g. Schoonover v. Chavous, 974 A.2d 876, 882 n.5 (D.C. 2009); George
Wash. Univ. v. Scott, 711 A.2d 1257, 1260 n.5 (D.C. 1998); Napolean v. Heard,
455 A.2d 901, 903 (D.C. 1983).
      9
           Ellis v. James V. Hurson Assoc., Inc., 565 A.2d at 618 & n.12.
      10
          Along with a hesitance to rewrite contracts and the criticism that the
application of equitable reformation encourages employers to draft overbroad
noncompete clauses with confidence that they will be salvaged by the court and
enforced when challenged, courts and commentators note an ―in terrorem effect on
employees who respect their contractual obligations and on competitors who fear
legal complications if they employ a covenantor[.]‖ Kenneth R. Swift, Void
                                                                   (continued…)
                                        24

appears to be a trend toward adopting equitable reformation where courts entertain

judicial modification of unreasonable covenants, there also appears to be a trend

among courts ―indicat[ing] a greater willingness to refuse to reform agreements

that are not reasonable on their face.‖ Golden Rd. Motor Inn v. Islam, 376 P.3d

151, 159 (Nev. 2016) (quoting Griffin Toronjo Pivateau, Putting The Blue Pencil

Down: An Argument for Specificity in Noncompete Agreements, 86 Neb. L. Rev.

672, 674 (2008)). We are persuaded to adopt equitable reformation more by the

argument that the blue-pencil doctrine can be too rigid and technical an approach

than by any suggestion that courts should be at liberty to wholesale rewrite

overbroad clauses.


      The Restatement sets forth relevant principles aimed at these concerns. Ellis


(…continued)
Agreements, Knocked-Out Terms, and Blue Pencils: Judicial and Legislative
Handling of Unreasonable Terms in Noncompete Agreements, 24 Hofstra Lab. &
Emp. L.J. 223, 246–47 (2007) (quoting Blake, Employee Agreements Not To
Compete, 73 Harv. L Rev. 625, 682–83 (1960)); see also Montel Aetnastak, Inc., v.
Miessen, 998 F. Supp. 2d 694, 718 (N.D. Ill. 2014) (noting that modification may
―have a severe chilling effect on employee post-termination activities, since the
average employee cannot be expected to anticipate [the] enforceability of
restrictive covenants‖). Accordingly, some courts have held that where a
significant modification to the noncompete clause would be necessary to make it
comport with the law, or where essential elements of a contract must be supplied,
extensive judicial reformation may run counter to public policy. See Montel
Aetnastak, 998 F. Supp. 2d at 718; Bayly, Martin & Fay, Inc. v. Pickard, 780 P.2d
1168, 1175 (Okla. 1989) (citing Medline Indus., Inc. v. Grubb, 670 F. Supp. 831,
837 (N.D. Ill. 1987)).
                                        25

v. James V. Hurson Assocs., Inc., 565 A.2d at 617. Where less than all of a

covenant is unenforceable on public policy grounds, for example, a court may

exercise discretion to enforce the rest of the covenant where the party seeking

equitable reformation made the agreement ―in good faith and in accordance with

reasonable standards of fair dealing‖ and where, ―in the course of determining

what part of the term to enforce,‖ the court does not ―add to the scope of the term

in any way.‖ Restatement (Second) of Contracts § 184 (1981); id. at § 184 cmt. b.

When determining whether and how to modify a facially overbroad noncompete

clause, a relevant consideration is ―whether modified enforcement is possible

without injury to the public and without injustice to the parties themselves.‖ 15

Grace McLane Geisel, Corbin on Contracts § 89.26 (Joseph M. Perillo ed., rev. ed.

2003).


      Similarly, many courts review with stricter scrutiny a decision to reform an

agreement to make it reasonable where doing so would require a substantial

rewrite of the contract or where the court would be called upon to supply essential

terms. See AMX Int’l, Inc. v. Battelle Energy All., 744 F. Supp. 2d 1087, 1095 (D.

Idaho 2010); Stonhard, Inc. v. Carolina Flooring Specialists, Inc., 621 S.E.2d 352,

354 (S.C. 2005); Bayly, Martin & Fay, Inc. v. Pickard, 780 P.2d at 1175; see also

Eichmann v. Nat’l Hosp. & Health Care Servs., 719 N.E.2d 1141, 1149 (Ill. App.

Ct. 1999) (declining to modify an injunction where ―[d]ue to the significant
                                        26

deficiencies of the restrictive covenants here, drastic modifications, rather than

minor ones, would be necessary and that would be tantamount to fashioning a new

agreement‖); Ehlers v. Iowa Warehouse Co., 188 N.W.2d 368, 373–74 (Iowa

1971) (noting that a covenant may be ―so broad as to constitute bad faith‖). This

heightened level of scrutiny stems from an interest in encouraging specificity of

drafting. See Eichmann, 719 N.E.2d at 1149; Elam v. Monarch Life Ins. Co., 598

A.2d 1167, 1171 n.8 (D.C. 1991) (reiterating the importance of precision in

drafting). The assertion of a legitimate interest does not automatically require the

court to reform a covenant that was not drafted to properly protect that interest in

the first place.


     B.     Application of the Doctrine and Enforceability of the Injunction


       The Steiners argue that even if the trial court did not err by adopting the

equitable reformation doctrine to modify their contract, the trial court ―created an

injunction contrary to D.C. law‖ by imposing ―more expansive restraints‖ than

those contained in the language of the contract. The Steiners similarly challenge

the trial court‘s decision to include in the preliminary injunction select language

from the employment contract‘s noninterference clause. We review a court‘s

decision whether to judicially modify an unenforceable noncompete clause for an

abuse of discretion, and we consider de novo a court‘s interpretation of a contract
                                         27

subjected to equitable reformation. See Ellis, 565 A.2d at 618; Wilson v. Hayes, 77

A.3d 392, 402 (D.C. 2013).


      The contract between the Steiners and Rabbi Shemtov included a

noncompete clause stating that, in the event of termination for whatever reason, the

parties agreed that ―they will not enter into employment or arrangement—of

whatever scope or duration—with any Chabad-Lubavitch entity or any other

institution, performing similar work, anywhere in DC, or suburban MD or VA.‖

The contract further included a noninterference clause stating:

             Upon completion of their employment . . . [appellants]
             agree to conclude their operations at GWU peacefully
             within 30 days of notification, and without causing any
             damage or discomfort to [appellees], or interfering with
             any arrangement or subsequent decision made by
             [appellees] in connection with GWU or any other
             activities over which [appellees] had authority.

      At an initial hearing on the appellees‘ request for a preliminary injunction,

the trial court found that the appellees ―essentially concede[d] that the noncompete

clause as written in the contract of August 6, 2012, [was] greater in both scope and

duration than necessary to protect their legitimate interests,‖ and made no findings

on the enforceability of the noninterference clause. The trial court then modified

the noncompete clause twice in attempts to render the clause enforceable through a

preliminary injunction—once following the initial hearing, and a second time on a
                                         28

remand.11


      Ultimately, the court issued a modified preliminary injunction that read into

the noncompete clause a durational limit of two years, a geographical limit of

roughly one mile from GW‘s campus, a restriction that the noncompete only apply

to the Steiners‘ interaction with ―currently enrolled GWU students,‖ and a list of

activities that the Steiners were prohibited from engaging in. In addition, the court

enforced the noninterference provision by ordering that the Steiners ―shall not

interfere with any arrangement or subsequent decisions made by the [appellees] in

connection with GWU or other activities of the [appellees].‖


                1. The Noncompete Clause


      The Steiners challenge the validity of both provisions. They focus their

argument against the noncompete clause on the court‘s interpretation of ―enter[ing]

into employment or arrangement . . . with any Chabad-Lubavitch entity or other

institution, performing similar work‖ as prohibiting any activities the Steiners



      11
          The first preliminary injunction enjoined the Steiners from engaging in
various forms of religious outreach within one mile of GW. Following oral
argument on a motion to stay before this court, we remanded to clarify the scope of
the injunction, as well as the record on a separate issue. On remand the trial court,
among other changes, further modified the injunction to enjoin the Steiners from
engaging with currently enrolled GW students.
                                          29

previously performed,12 whether in a personal capacity or an organizational

capacity. The Steiners contend that by modifying the clause in such a way, the

trial court ignored key limitations in the written language of the covenant, thereby

creating a broader restriction than that envisioned in the contract.


      We agree with the Steiners that the noncompete clause as interpreted in and

enforced by the modified preliminary injunction is broader than the terms of the

original agreement. When signing the employment contract, the Steiners agreed

not to ―enter into employment or arrangement—of whatever scope or duration—

with any Chabad-Lubavitch entity or other institution, performing similar work.‖

The most natural reading of these terms is that the Steiners agreed not to join any

preexisting Chabad-Lubavitch organization that, like AFL, provides religious

guidance. ―Entity‖ and ―institution‖ are both defined as organizational structures,13


      12
          Namely, the trial court pasted in the section of the contract that read, ―[a]s
part of the above mentioned campus activities, [the defendants] will work
diligently to organize as many programs as possible normally associated with this
type of shlichus: Shabbos dinners on Friday night, shiurim [classes] for students
(public and private[)], energetic learning programs, activities in advance of and on
the Yomim Toivim [holidays], annual Israel trips for students . . . social events to
enable Jewish students to interact with each other as much as possible, etc.
Speakers will be brought in periodically . . .‖.
      13
            ―Entity‖ is defined as ―independent, separate, or self-contained
existence,‖ or ―something that has objective or physical reality and distinctness of
being and character.‖ Webster’s Third New International Dictionary 758 (2002).
―Institution‖ is defined as ―an established society or corporation.‖ Id. at 1171.
                                          30

and to ―enter into employment or arrangement‖ suggests joining an organization

already formed, rather than creating one‘s own.14         What the language in the

employment contract does not capture is what the modified preliminary injunction

specifically prohibits: organizing dinners or religious activities on their own time,

not necessarily in any employment capacity, and not necessarily for any

organization—preexisting or otherwise. From the plain language of the contract,

therefore, the trial court impermissibly expanded the scope of the covenant not to

compete.


      The trial court repeatedly raised this same concern. Though it ultimately

modified the parties‘ agreement to read a list of prohibited activities into the

―employment or arrangement‖ language of the noncompete, the court expressed

reservations that the provisions in question seemed to be focused on entities and

organizations and that an alternative reading enjoining personal activities might be

broader than the scope of the clause as written. In the words of the court, ―It‘s not

necessarily what makes sense. It‘s not necessarily what Rabbi Shemtov, or

anybody else in his position would have wanted . . . the result to be . . . . It‘s about

does this document say that.‖


      14
         ―Enter into‖ is defined as ―to make oneself a party to or in,‖ or ―to form a
constituent part or element of.‖ Webster’s Third New International Dictionary 757
(2002).
                                         31

      Appellees argue that any claim that the plain language of the noncompete is

limited to an employment relationship is ―rebutted by the broad language actually

contained in the clause,‖ emphasizing the phrase ―similar work.‖ But in at least

one important respect it was the breadth of this clause that precluded the trial court

from reforming the noncompete as it did. Where covenants not to compete contain

―vague terms or ambiguities,‖ the court must construe the language against the

employer. Pais v. Automation Prods., Inc., 36 Va. Cir. 230, 236 (Va. Cir. Ct.

1995); Dyer v. Bilaal, 983 A.2d 349, 355 (D.C. 2009) (holding that ambiguity in a

contract will be construed against the drafter); see also Gryce v. Lavine, 675 A.2d

67, 70 (D.C. 1996) (―The law in general . . . view[s] covenants not to compete with

some suspicion.‖). Upholding the modification here would discourage the ―precise

draftsmanship which should be reflected in written agreements.‖ Eichmann, 719

N.E.2d at 1149 (quoting Lee/O’Keefe Ins. Agency, Inc. v. Ferega, 516 N.E.2d

1313, 1319 (Ill. App. Ct. 1987)); see also Elam, 598 A.2d at 1171 n.8.


      The interest in precise drafting is of particular importance where, as here, the

restriction has a greater than usual effect on the public interest, as well as on the

rights of employees to engage in activities outside of the employment context.

Appellees urge us to view this as a dispute no different from any other that might

arise out of a profit-focused business conflict. But this case is unlike any cited to

us by either party in that it involves an agreement between an employee and a
                                           32

nonprofit organization,15 serving a ―client base‖ comprised of college students,

operating to fulfill a mission focused on providing religious guidance, rather than,

at least to some degree, generating a profit.


         Here, the public undoubtedly has an interest in the ―restraint of trade‖ at

issue.        More than 100 GW students signed a petition attesting to the special

personal relationship they shared with their religious leader, Rabbi Steiner.16 In

such circumstances, the public interest may bear on the level of scrutiny we will

apply to a decision to judicially modify a restrictive covenant. Other courts have

likewise held that, in certain professions based on personal relationships, the

customers‘ interest weighs more heavily against equitable enforcement of

noncompete agreements. See, e.g., Lowe v. Reynolds, 428 N.Y.S.2d 358, 359

(N.Y. App. Div. 1980) (holding a noncompete agreement unenforceable against a

specialized speech and hearing pathologist due to the importance of the ―personal

relationship‖ involved); Valley Med. Specialists v. Farber, 982 P.2d 1277, 1283
         15
          Cf. Hope Found., Inc. v. Edwards, No. 1:06-cv-0439-DFH-TAB, 2006
WL 3247141, at *10 (S.D. Ind. Apr. 12, 2006) (holding that the court should
consider an organization‘s not-for-profit status as part of relevant circumstances in
analyzing the enforceability of a noncompete clause).
         16
          The petition read, in part: ―A new additional rabbi may prove effective in
cultivating relationships with some of the many members of the Jewish student
body who lack but would appreciate a rabbi figure in their lives. But the special
rapport that we and other students and alumni enjoy with Rabbi Steiner is not
something that can be replaced by a substitute, however competent.‖
                                         33

(Ariz. 1999) (en banc) (holding that ―the doctor-patient relationship is special and

entitled to unique protection‖ because ―[i]t cannot be easily or accurately compared

to relationships in the commercial context‖ and that such agreements should be

―strictly construed for reasonableness‖); Hope Found., 1:06–cv–0439–DFH–TAB,

2006 WL 3247141, at *17 (holding a noncompete clause unenforceable against a

doctor responsible for training educators, where an injunction would deny

education professionals and students ―their choice of service providers‖);

Columbus Med. Servs., LLC v. David Thomas & Liberty Healthcare Corp., 308

S.W.3d 368, 393–94 (Tenn. Ct. App. 2009) (holding a noncompete agreement

unenforceable against therapist defendants even where the relief requested was

monetary).


      In this same vein, the profession of religious minister or rabbi is unique in

that the tasks performed in an employment context overlap to a large extent with

actions such a professional might undertake in his or her free time, without

expectation of payment, as a member of the community engaging in religious

practice or dialogue. It is thus imperative that an employer wishing to prohibit

certain behavior post-termination narrowly tailor with specific language a

restrictive covenant that will protect their stated interests, rather than thrust upon

the court a facially unenforceable covenant that might be broad enough to include a

reasonable restriction once modified.
                                        34

      With respect to the covenant before us, we decline to depart from the plain

language of the noncompete clause to enforce restrictions, pursuant to a breach of

contract claim, that appellees would have liked to, but failed to, put in place. We

therefore hold that the trial court erred by modifying the noncompete clause to

prohibit activities conducted by the appellants in a personal capacity. At the same

time, the Steiners have given us no reason to question the propriety of the

geographical and durational limitations imposed by the injunction.17


                2. The Noninterference Clause


      The Steiners also challenge the noninterference clause included in the

preliminary injunction as an unwarranted, overbroad, and vague restraint. We are

unable to discern from the record what specifically the Steiners are prohibited from

doing when ordered not to ―interfere with any arrangement or subsequent decisions

made by [appellees] in connection with GWU or other activities of the

[appellees].‖ Whatever the clause was intended to mean, noninterference clauses,

like noncompete clauses, are subject to reasonableness requirements. See Loral

Corp. v. Moyes, 174 Cal. App. 3d 268, 279 (Cal. Ct. App. 1985) (treating a


      17
          Appellants ask us to hold that noncompete clauses imposed on religious
ministers are unenforceable as a matter of law. Because we conclude that the trial
court erred by reforming the covenant in this instance, we need not address that
contention.
                                          35

noninterference agreement not to solicit former co-workers to leave the employer

as a nonsolicitation agreement, and holding that ―the potential impact on trade

must be considered before invalidating a noninterference agreement.‖).

Presumably, as it is included as a distinct clause in the order, separate and apart

from the modified noncompete provision, the trial court interpreted the clause to

prohibit a different set of activities. And likewise, as this clause originally appears

in the contract following the Steiners‘ explicit agreement to ―conclude their

operations at GWU peacefully,‖ this clause might naturally suggest an agreement

not to interfere with AFL through continued association.             We remand for

clarification as to what this clause is intended to enforce and for a determination as

to whether the clause is enforceable.


                                 IV.    Conclusion


      For the reasons stated in this opinion, we vacate the modified preliminary

injunction order and remand to allow the trial court to assess whether and how to

enforce the employment contract consistent with this opinion. On remand, the trial

court should also assess whether Rivky Steiner, Rabbi Steiner‘s wife, is properly

enjoined in any preliminary injunction that remains in force. Ms. Steiner asserted

that she was not a party to the contract and reiterated this argument throughout

ensuing hearings, but the trial court never addressed whether the relevant
                                         36

preliminary injunction factors were satisfied as to her. E.g., Wieck v. Sterenbuch,

350 A.2d 384, 387 (D.C. 1976) (outlining the four preliminary injunction factors);

see In re Estate of Reilly, 933 A.2d 830, 834–35 (D.C. 2007) (our role on appeal

includes ―assuring that the trial court‘s analysis reflects a resolution of all the

issues which necessarily underlie the issuance of an injunction‖).




                                                          So ordered.
