Baggett v. First National Bank

CourtCourt of Appeals for the Eleventh Circuit
DecidedJuly 28, 1997
Docket96-8019
StatusPublished

This text of Baggett v. First National Bank (Baggett v. First National Bank) is published on Counsel Stack Legal Research, covering Court of Appeals for the Eleventh Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Baggett v. First National Bank, (11th Cir. 1997).

Opinion

United States Court of Appeals,

Eleventh Circuit.

No. 96-8019.

Rebecca Otwell BAGGETT, Teressa Latrelle Otwell, Frances Otwell Bagby, Plaintiffs- Appellants,

v.

FIRST NATIONAL BANK OF GAINESVILLE, Defendant-Appellee.

July 28, 1997.

Appeal from the United States District Court for the Northern District of Georgia. (No. 1:95-CV- 684-FMH), Frank Hull, Judge.

Before HATCHETT, Chief Judge, TJOFLAT, Circuit Judge, and CLARK, Senior Circuit Judge.

CLARK, Senior Circuit Judge:

We have reviewed plaintiffs/appellants' complaint filed in district court, appellants' brief,

the applicable statutes, and the Congressional History of the Bank Holding Company Act and we

agree with the district court's holding that the Act does not grant federal court jurisdiction of a

lawsuit brought by the heirs of a decedent challenging a bank's actions as Trustee and Executor of

the decedent's estate.

Since the opinion of the district court amply describes the issues and controlling law, we

hereby adopt the district court's opinion of November 28, 1995, attached hereto as Exhibit A.

AFFIRMED.

Exhibit A

IN THE UNITED STATES DISTRICT COURT FOR THE NORTHERN DISTRICT OF GEORGIA, ATLANTA DIVISION.

Rebecca Otwell Baggett, Teressa Latrelle Otwell, and Frances Otwell Bagby, Plaintiffs,

First National Bank of Gainesville, Defendant.

CIVIL ACTION NO. 1:95-CV-684-FMH.

ORDER

This case is before the Court on the Defendant First National Bank of Gainesville's Motion to Dismiss for want of subject matter jurisdiction [3-1]. After reviewing the record and hearing oral

argument from counsel for the parties, the Court grants Defendant's Motion to Dismiss.

I. FACTS

Plaintiffs Rebecca Otwell Baggett, Teressa Latrelle Otwell, and Frances Otwell Bagby

("Plaintiffs") are beneficiaries of the Estate of Roy P. Otwell, Sr. and contingent beneficiaries under

certain testamentary trusts created under the Last Will and Testament of Roy P. Otwell, Sr. The

Defendant First National Bank of Gainesville ("Defendant") serves as (a) Executor of the Last Will

and Testament of Roy P. Otwell and Trustee of the testamentary trust under that Will; (b) Trustee

of a trust created by the Will and a consent order entered in a state court action consented to by all

parties herein; and (c) as Trustee of an Inter Vivos Trust created by Roy P. Otwell in 1984 for the

benefit of Roy P. Otwell, Jr., an incompetent son of Roy P. Otwell, Sr. Plaintiffs are contingent

beneficiaries of the 1984 Inter Vivos Trust and beneficiaries of the testamentary trust under the Last

Will and Testament.

Plaintiffs contend, inter alia, that Defendant breached its fiduciary duties as trustee and

committed acts of mismanagement, neglect and self-dealing, by specifically (a) failing to fund

properly a testamentary trust for Roy Otwell, Jr.; (b) by overvaluing the real estate assets in the

estate thereby causing the estate to pay unnecessary taxes and administration fees; (c) engaging in

self-dealing by making a loan to the estate at an excessive rate of interest; (d) spending excessive

amounts of money remodeling a house for Roy Otwell, Jr.; (e) transferring an easement to the City

of Cumming for little or no consideration over Plaintiffs' objections; and (f) charging attorneys' fees

to the estate that should have been paid by Defendant. According to Plaintiffs, this alleged pattern

of misconduct resulted in a pecuniary gain to Defendant.

Plaintiffs assert that their Complaint presents a federal question under the Bank Holding

Company Act ("BHCA" or "Act"), 12 U.S.C. § 1972(2)(F) & 12 U.S.C. § 1975 (1994). Specifically,

Plaintiffs contend that Defendant's alleged misconduct violated the provisions of § 1972(2)(F)(ii),

that Plaintiffs lost money as a result, and that Plaintiffs may thus sue under § 1975 for injury in their

"property by reason of [conduct] forbidden in section 1972." 12 U.S.C. § 1975 (1994). As outlined below, this Court finds that Plaintiffs' Complaint fails to state a cause of action under the BHCA,

and thus Plaintiffs' Complaint is dismissed for lack of subject matter jurisdiction.

II. BANK HOLDING COMPANY ACT CLAIM

The jurisdiction of the federal courts is limited to the jurisdiction which Congress has

prescribed. Local Division 732, Amalgamated Transit Union v. Metropolitan Atlanta Rapid Transit

Authority, 667 F.2d 1327, 1330 (11th Cir.1982); accord Taylor v. Appleton, 30 F.3d 1365 (11th

Cir.1994). In determining whether Congress intended to confer a private right of action,

congressional intent is the dispositive inquiry. Amalgamated Transit Union, 667 F.2d at 1334-35;

see also Touche Ross & Co. v. Redington, 442 U.S. 560, 568, 99 S.Ct. 2479, 2485, 61 L.Ed.2d 82

(1979) ("[O]ur task is limited solely to determining whether Congress intended to create the private

right of action."). Congressional intent to create a private right of action will not be presumed.

There must be clear evidence of Congress's intent to create a cause of action. Touche Ross, 442 U.S.

at 570, 99 S.Ct. at 2486 ("[I]mplying a private right of action on the basis on congressional silence

is a hazardous enterprise, at best."); Amalgamated Transit Union, 667 F.2d at 1335 ("In order for

us to infer a private right of action, or federal jurisdiction, we must have before us clear evidence

that Congress intended to provide such a remedy...."). Thus, the Court first examines the legislative

history of the BHCA.

A. Legislative History Of The Bank Holding Company Act

1. The Anti-Tying Provisions of the BHCA

The BHCA was enacted in 1956. The original focus of the BHCA was the regulation of the

power of bank holding companies to prevent a small number of powerful banks from dominating

commerce and to ensure a separation of economic power between banking and commerce. Parsons

Steel v. First Alabama Bank of Montgomery, 679 F.2d 242, 244 (11th Cir.1982); S.Rep. No. 91-

1084, 91st Cong., 2d Sess., reprinted in 1970 U.S.C.C.A.N. 5519, 5535 (1970); 116 Cong.Rec.

32127 (1970). In 1970, Congress amended the Act to reach the anti-competitive practices of even

smaller banks, which notwithstanding their comparative size, were able to exert economic power

over businesses because of their control over credit. Against this backdrop, Congress drafted a one paragraph, five subpart section prohibiting

certain tying arrangements. The present incarnation of these provisions comprise § 1972(1), which

provides as follows:

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