Carone v. Retamco Operating, Inc.

138 S.W.3d 1, 2004 WL 572344
CourtCourt of Appeals of Texas
DecidedMay 25, 2004
Docket04-03-00821-CV
StatusPublished
Cited by64 cases

This text of 138 S.W.3d 1 (Carone v. Retamco Operating, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Carone v. Retamco Operating, Inc., 138 S.W.3d 1, 2004 WL 572344 (Tex. Ct. App. 2004).

Opinion

OPINION

Opinion by

ALMA L. LÓPEZ, Chief Justice.

Richard L. Carone (“Carone”) appeals the trial court’s order denying his special appearance. Carone contends that the trial court erred because the pleadings failed to support an assertion of personal jurisdiction, Carone did not have the requisite minimum contacts with Texas, and the exercise of jurisdiction over Carone does not comport with “fair play and substantial justice.” Carone also contends that the trial court erroneously admitted certain evidence. In addition to challenging each of Carone’s issues, Retamco Operating, Inc. (“ROI”) asserts that Carone waived his special appearance. We reverse the trial court’s order denying Carone’s special appearance, and we dismiss all claims against Carone.

Background

Based on the allegations in ROI’s petition, ROI entered into a Purchase Agreement with PNB Securities Corp. (“PNB”) in 1984. Pursuant to the agreement, ROI sold numerous oil and gas properties located in Texas and elsewhere to PNB. At the time, PNB was a subsidiary of Security Pacific National Bank, N.A. (“Security Pacific”), and ROI had a banking relationship with Security Pacific. In exchange for selling PNB the properties, ROI was given various royalties and other rights with regard to operating the properties and drilling new wells. As part of the agreement, PNB was required to prepare and record, in all appropriate counties, a document identifying and describing ROI’s rights in the various properties.

In 1993, PNB sold some of the properties conveyed to it by ROI to Paradigm Oh, Inc. (“Paradigm”). These properties were located in Texas. Under the terms of the 1984 and 1993 agreements, Paradigm was required to perform PNB’s obligations to ROI as set forth in the 1984 agreement. In 1998, PNB sold properties to Finley Oil Well Service, Inc. (“Finley”) and Icenine Investments, LLC (“Icenine”). Pacific Operators, Inc. (“Pacific Operators”) and Pacific Operators of Texas, Inc. (“Pacific Texas”) operated some of the properties at issue.

*6 ROI subsequently filed suit alleging numerous causes of action against various defendants. First, ROI sued PNB, Paradigm, Finley, and Icenine for breach of contract and fraud. In addition, ROI alleged that PNB, Paradigm, Finley, Ice-nine, Pacific Operators and/or Pacific Texas failed to provide appropriate accounting for ROI’s royalties as required by the 1984 agreement. ROI further alleged that Bank of America and its predecessors (including Security Pacific), PNB, Paradigm, Finley, Icenine, Pacific Operators, and Pacific Texas failed to pay or underpaid royalties owed to ROI. Finally, ROI alleged that PNB, Paradigm, Finley, Icenine, Pacific Operators and Pacific Texas failed to furnish notice of termination of leases and failed to provide ROI with the opportunity to receive an assignment of leases as required by the 1984 agreement.

In addition to the breach of contract and fraud claims, ROI also alleged that Car-one, together with numerous other defendants: (1) fraudulently concealed matters pertaining to ROI’s interests and rights; (2) conspired to perform the acts and omissions and to cause the injuries previously alleged; and (3) engaged in a joint enterprise to obtain various pecuniary advantages by depriving ROI of its rights under the 1984 agreement. ROI also claimed that the corporate entities of PNB, Paradigm, Finley, Icenine, Pacific Operators and Pacific Texas should be disregarded under an alter ego theory.

Carone filed a special appearance. Before the hearing on the special appearance, a hearing on a motion for default judgment hearing was held on July 3, 2003. 1 Car-one’s attorney appeared at the hearing, cross-examined witnesses, and urged the trial court not to grant the default judgment. On September 18, 2003, the trial court conducted a hearing on Carone’s special appearance, which it denied.

In Personam Jurisdiction

The Texas long-arm statute enables Texas courts to exercise jurisdiction over a nonresident defendant that “does business” in Texas. BMC Software Belgium, N.V. v. Marchand, 83 S.W.3d 789, 795 (Tex.2002). Personal jurisdiction over nonresident defendants is established when two conditions are met: (1) the defendant has established minimum contacts with the forum state, and (2) the exercise of jurisdiction comports with traditional notions of fair play and substantial justice. Id. “Although not determinative, foreseeability is an important consideration in deciding whether the nonresident defendant has purposefully established ‘minimum contacts’ with the forum state.” Id. “However, a defendant should not be subject to a foreign court’s jurisdiction based upon ‘random,’ ‘fortuitous,’ or ‘attenuated’ contacts.” Id.

“Personal jurisdiction exists if the nonresident defendant’s minimum contacts give rise to either specific jurisdiction or general jurisdiction.” Id. at 795-96. “Specific jurisdiction is established if the defendant’s alleged liability arises from or is related to an activity conducted within the forum.” Id. at 796. For example, specific jurisdiction is established if the defendant committed a tort in whole or in part in Texas. Tex. Crv. PRAC. & Rem.Code Ann. § 17.042(2) (Vernon 1997). “In contrast, general jurisdiction is present when a defendant’s contacts in a forum are continuous and systematic so that the forum may exercise personal jurisdiction over the defendant even if the cause of action did not arise from or relate to activities con *7 ducted within the forum state.” BMC Software Belgium, N.V. v. Marchand, 83 S.W.3d at 796.

Standard of Review

Whether a court has personal jurisdiction over a defendant is a question of law; however, the trial court frequently must resolve questions of fact before deciding the jurisdictional question. BMC Software Belgium, N.V. v. Marchand, 88 S.W.3d at 794. On appeal, we review the findings of fact for legal and factual sufficiency, but we review the conclusions of law drawn from those facts de novo. See id. If we determine that a conclusion of law is eiToneous, but the trial court rendered the proper judgment, the erroneous conclusion of law will not require reversal. Id. “When a trial court does not issue findings of fact and conclusions of law with its special appearance ruling, all facts necessary to support the judgment and supported by the evidence are implied.” Id. at 795. ‘When the appellate record includes the reporter’s and clerk’s records, these implied findings are not conclusive and may be challenged for legal and factual sufficiency in the appropriate appellate court.” Id.

“For legal sufficiency points, if there is more than a scintilla of evidence to support the finding, the no evidence challenge fails.” Id. at 795. For factual sufficiency points, we examine all evidence in the record and reverse only when the finding is so against the great weight and preponderance of the evidence as to be manifestly wrong or unjust. Shapolsky v. Brew/ton,

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Cite This Page — Counsel Stack

Bluebook (online)
138 S.W.3d 1, 2004 WL 572344, Counsel Stack Legal Research, https://law.counselstack.com/opinion/carone-v-retamco-operating-inc-texapp-2004.