380544 CANADA, INC. v. Aspen Technology, Inc.

633 F. Supp. 2d 15, 2009 U.S. Dist. LEXIS 38149, 2009 WL 1211266
CourtDistrict Court, S.D. New York
DecidedMay 5, 2009
Docket07 CIV. 1204(JFK)
StatusPublished
Cited by13 cases

This text of 633 F. Supp. 2d 15 (380544 CANADA, INC. v. Aspen Technology, Inc.) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
380544 CANADA, INC. v. Aspen Technology, Inc., 633 F. Supp. 2d 15, 2009 U.S. Dist. LEXIS 38149, 2009 WL 1211266 (S.D.N.Y. 2009).

Opinion

*19 OPINION & ORDER

JOHN F. KEENAN, District Judge.

Defendant Lawrence Evans (“Evans”) moves to dismiss the amended complaint of Plaintiffs 380544 Canada, Inc., Wayne Sim (“Sim”), and Salvador Clavé (“Clavé”). Plaintiffs bring this action against Aspen Technology, Inc. (“Aspen”), and former Aspen officers Evans, David McQuillin (“McQuillin”), and Lisa Zappala (“Zappa-la”), alleging fraud in connection with a securities purchase agreement (the “SPA”) under which Plaintiffs purchased approximately $6.8 million of Aspen’s stock. Evans is the only defendant to move to dismiss the amended complaint. For the reasons discussed below, the motion is denied in part and granted in part.

I. STATEMENT OF FACTS

The Court assumes familiarity with its earlier opinion in this case, which provides detailed background on the parties and their claims. 380544 Canada, Inc. v. As pen Tech., Inc., 544 F.Supp.2d 199 (S.D.N.Y.2008). Below, the Court discusses only those facts relevant to the instant motion.

A. Dismissal of the Initial Complaint

Plaintiffs filed their initial complaint on February 15, 2007, asserting the following claims against Evans: (1) violation of Section 10(b) of the Exchange Act and SEC Rule 10b-5 promulgated thereunder, (2) violation of Section 20(a) of the Exchange Act, (3) common law fraud, (4) common law fraudulent inducement, and (5) conspiracy to commit and/or aiding and abetting common law fraud. Plaintiffs predicated their claims on four categories of allegedly fraudulent statements: (1) statements that Evans made at meetings leading up to the SPA (the “Pre-SPA Statements”), (2) the SPA itself, (3) Aspen’s SEC filings, and (4) various Aspen press releases. The Court refers to these statements collectively as the “Fraudulent Statements.”

In an order dated March 18, 2008, the Court, inter alia, granted Evans’s motion to dismiss the federal securities claims with prejudice and the common law fraud claims with leave to replead. 380544 Canada, Inc., 544 F.Supp.2d 199. The Court’s analysis of Plaintiffs’ common law fraud claim is relevant to the instant motion and thus bears close examination.

The Court framed the dispositive questions on Plaintiffs’ common law fraud claims as follows: “(i) [whether] the Complaint adequately pleads that the false statements are attributable to [Evans] and (ii) [whether] the Complaint alleges facts that give rise to a sufficiently strong inference of scienter for [Evans].” Id. at 217. In answering the first question, the Court considered the four categories of Fraudulent Statements separately and found as follows: First, the initial complaint failed to plead the Pre-SPA Statements with sufficient particularity since it attributéd the statements to Defendants as a group. “Clumping” Defendants together in this way violates the particularity standards of Rule 9(b) of the Federal Rules of Civil Procedure. Id. at 218. Second, the initial complaint sufficiently pled the statements in the SPA itself and Aspen’s SEC filings, and these were attributable to Evans under the group pleading doctrine. Id. at 218-19. Third, the initial complaint sufficiently pled the statements in the press releases, and these were attributable to Evans as either direct quotes or, to the extent the releases summarized Aspen’s finances, under the group pleading doctrine. Id. at 219. Notably, regarding the falsity of the press releases, the Court wrote,

To the extent that the Complaint alleges that the ‘press releases issued during the [thirteen quarters] were false [be *20 cause] they reported, discussed, or analyzed figures that subsequently were restated as well as any financial statistics derived from restated figures,’ such statements are adequately pleaded to be false. Thus, Plaintiffs have adequately pleaded the falsity of statements in the press releases that report, discuss, or analyze Aspen’s false financial results with respect to [Evans]. The Court need not determine, however, whether each of Evans’s quoted remarks are actually false, because, as discussed below, the Complaint fails adequately to plead Evans’s scienter.

Id. at 219 n. 12 (quoting In re BISYS Sec. Litig., 397 F.Supp.2d 430, 437 (S.D.N.Y.2005)).

The Court next turned to the second dispositive question, namely, whether Plaintiffs alleged facts giving rise to a strong inference of scienter for Evans. The initial complaint contained only one allegation that supported an inference that Evans consciously misbehaved or acted recklessly. Specifically, the initial complaint quoted a confidential informant who had worked at Aspen and who had heard “both defendants Evans and McQuillin euphemistically refer[] to [the] practice [of improperly accounting for Aspen’s earnings] as keeping revenues ‘in the freezer.’ ” Id. at 229. This lone allegation was insufficient to support a strong inference of scienter. Id. at 230.

For these reasons, the Court granted Evans’s motion to dismiss the common law fraud claims, but gave Plaintiffs leave to replead.

B. Amended Complaint

On May 2, 2008, Plaintiffs filed an amended complaint reasserting against Evans claims for common law fraud, fraudulent inducement, conspiracy to commit common law fraud, and aiding and abetting common law fraud. The most relevant portions of the amended complaint to this motion are its allegations concerning (1) the Pre-SPA Statements, (2) statements contained in the SPA, (3) statements contained in Aspen’s SEC filings, (4) statements Evans made in various Aspen press releases, and (5) Evans’s scienter.

1. The Pre-SPA Statements

The amended complaint alleges that Evans made three fraudulent Pre-SPA Statements:

(1) “At the July 10, 2001 Boston meeting with Sim and Clavé, Evans misrepresented Aspen’s financials, including its past and projected revenues and long term revenue commitments from customers.” (Am.CompA 26.)
(2) “At the March 21-22, 2002 Boston meeting with Sim and Clavé (Clavé was present for the March 21 meeting and Sim was present for both meetings), McQuillin and Evans confirmed again the misrepresentations that McQuillin made at the March 14 meeting [sic].” (Id. ¶ 29.)
(3) “At the April 8, 2002 Boston meeting with Sim, McQuillin, Evans and Zap-pala misrepresented the combined performance of Aspen and Hypro-tech by relying on Aspen’s recognized revenues for quarters later restated and relying on alleged long-term revenue commitments from customers that were in fact contingent.” (Id. ¶ 30.)
2. The SPA

The amended complaint alleges that the SPA contained three provisions that fraudulently misrepresented Aspen’s compliance with generally accepted accounting principles (“GAAP”):

(1) SPA Article 3.1(n): “Internal Accounting Controls.

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Bluebook (online)
633 F. Supp. 2d 15, 2009 U.S. Dist. LEXIS 38149, 2009 WL 1211266, Counsel Stack Legal Research, https://law.counselstack.com/opinion/380544-canada-inc-v-aspen-technology-inc-nysd-2009.