Andrew v. CUNA Brokerage Services, Inc.

976 A.2d 496, 2009 Pa. Super. 98, 2009 Pa. Super. LEXIS 995, 2009 WL 1464964
CourtSuperior Court of Pennsylvania
DecidedMay 27, 2009
Docket1623 MDA 2008
StatusPublished
Cited by22 cases

This text of 976 A.2d 496 (Andrew v. CUNA Brokerage Services, Inc.) is published on Counsel Stack Legal Research, covering Superior Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Andrew v. CUNA Brokerage Services, Inc., 976 A.2d 496, 2009 Pa. Super. 98, 2009 Pa. Super. LEXIS 995, 2009 WL 1464964 (Pa. Ct. App. 2009).

Opinion

OPINION BY ALLEN, J.:

¶ 1 This case arises out of a statement of claim filed by Fred G. Andrew (“Appellant”) against CUNA Brokerage Services *498 and Emmor E. Boslet (“Appellees”). The pertinent facts may be summarized as follows:

¶ 2 On September 22, 1998, Appellant opened an IRA Brokerage Account with CUNA Brokerage Services (“CUNA”) and transferred stocks and retirement funds into the account for investment purposes. The account application signed by Appellant contained a provision by which the parties agreed to submit disputes to arbitration. On July 19, 2006, Appellant filed a Statement of Claim with the National Association of Securities Dealers (“NASD”). Appellant alleged that Emmor E. Boslet (“Boslet”), a financial professional representing CUNA, promised Appellant that his investments would generate a minimum of $3,200 per month. However, Appellant alleged that his accounts sustained a loss of approximately $20,000 in value. The Statement of Claim asserted the following causes of action:

unjust enrichment, unsuitability, misrepresentations and omissions, negligence, breach of fiduciary duty, breach of contract, violation of Federal Securities Law, violation of Pennsylvania Unfair Trade Practices and Consumer Protection Law [UTP-CPL], failure to supervise, secondary and vicarious liability, respondeat superior, and common law fraud.

Trial Court Opinion, 08/20/2007, at 2.

¶ 3 On February 6, 2007, Appellees filed a motion to dismiss Appellant’s claims contending that the claims were not eligible for arbitration and that all of Appellant’s claims were barred by the applicable statutes of limitation. R. 169-253. Specifically, Appellees argued that Rule 12206 of the NASD Code of Arbitration Procedure provided that claims were not eligible for arbitration where six years had elapsed from the occurrence or event giving rise to the claim. Appellees asserted that the events giving rise to Appellant’s claims arose out of meetings with Ms. Boslet that occurred in 1996 and 1998, outside of the six-year period prior to the filing of the July 19, 2006 statement of claim. Accordingly, Appellees contended that Appellant’s claims should be dismissed.

¶ 4 Appellees further argued that Appellant’s causes of actions asserting violations of federal securities law were time-barred pursuant to the two and five year limitation periods set forth in the Sarbanes-Oxley Act, 28 U.S.C. § 1658(b)(1). With respect to Appellant’s claims under the Pennsylvania Securities Act of ' 1972, 70 P.S. § 1-101 et. seq., Appellees contended that the one, two and five year limitation periods set forth therein rendered Appellant’s claims under that Act untimely. Ap-pellees further argued that Appellant’s claims for negligence, breach of fiduciary duty and fraud, were subject to the two-year limitation period set forth in 42 Pa. C.S. § 5524, while his claims for breach of contract and unjust enrichment were barred by the four-year limitation period set forth in 42 Pa.C.S. 5525. Finally, Ap-pellees maintained that Appellant’s claims under the Pennsylvania UTPCPL, 73 P.S. § 201-1 et seq., were barred by the applicable six-year limitation period set forth therein. R. 169-253.

¶ 5 Appellant submitted a response to the motion to dismiss in which he asserted, inter alia, that Ms. Boslet made material misrepresentations and omissions to him about the status of his investments upon which he reasonably relied, such that he did not become aware of his losses until 2006. He further asserted that an eviden-tiary hearing was necessary in order to determine when he knew or reasonably should have known that losses had occurred. R. 235-253.

¶ 6 The arbitration panel conducted a telephone conference and heard arguments *499 on the motion to dismiss. Trial Court Opinion, 08/20/2007, at 9, 10. On March 15, 2007, the arbitration panel entered the following award:

After considering the pleadings, the testimony and evidence presented at the pre-hearing conference, the Panel has decided in full and final resolution of the issues submitted for determination as follows:
1. The Panel finds that the claims asserted by [Appellant] are eligible for arbitration. [Appellees’] Motion to Dismiss is therefore denied to the extent that it seeks dismissal of the claims pursuant to Rule 10304(a) of the Code of Arbitration.
2. The Panel finds that the claims asserted by Claimant are each time-barred by an applicable statute of limitations. The Panel finds no genuine issue of material fact to be presented for trial, and the Panel finds that each claim asserted by [Appellant] is time-barred by an applicable statute of limitations as a matter of law. [Appellees’] Motion to Dismiss is therefore granted in part to the extent that it seeks dismissal of the claims asserted based upon the applicable statutes of limitation.
3. [Appellant’s] claims are dismissed in their entirety, with prejudice.
4. Any and all relief not specifically addressed herein, including punitive and treble damages, is denied.

Arbitrator’s Award, 03/15/2007.

¶ 7 On April 18, 2007, before the Court of Common Pleas, Appellant filed a Petition to Vacate Arbitration Award and Appoint New Arbitrators or, Alternatively, Enter Declaratory Judgment Permitting Petitioner to File Action in State Court. On August 20, 2007, the trial court entered an order and opinion denying Appellant’s petition. Appellant filed a motion for reconsideration, which the trial court denied on September 21, 2007. On September 18, 2007, Appellant filed a notice of appeal. On October 1, 2007, the trial court entered an order directing Appellant to file a concise statement of matters complained of on appeal pursuant to Pa.R.A.P. 1925(b). On October 18, 2007, Appellant filed a Pa. R.A.P. 1925(b) statement.

¶ 8 By order dated August 27, 2008, this Court remanded the appeal to the trial court for entry of an order confirming the arbitration award, and for the entry of judgment thereon. On August 29, 2008, the trial court promptly entered an order confirming the award of the arbitration panel, and on September 3, 2008, the trial court’s order was reduced to final judgment. On April 6, 2009, this Court again remanded the appeal to the trial court for an opinion pursuant to Pa.R.A.P. 1925(a). On April 8, 2009, the trial court filed a memorandum opinion pursuant to Pa. R.A.P. 1925(a).

¶ 9 Appellant raises the following issues on appeal:

1. Whether the court erred or abused its discretion when it concluded that it did not matter whether Appellant had a hearing or was denied a hearing, because a hearing was not necessary.
2. Whether the erroneous conclusion of the lower court that Appellant was invited to attend the telephone conference call where the attorneys argued the motion to dismiss filed by Respondents/Appellees was an error of law or an abuse of discretion.
3. Whether the court erred or abused its discretion when it concluded that Appellant did not make a claim under 42 Pa.C.S.A.

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Bluebook (online)
976 A.2d 496, 2009 Pa. Super. 98, 2009 Pa. Super. LEXIS 995, 2009 WL 1464964, Counsel Stack Legal Research, https://law.counselstack.com/opinion/andrew-v-cuna-brokerage-services-inc-pasuperct-2009.