Chris-Craft Industries, Inc. v. Independent Stockholders Committee

354 F. Supp. 895, 1973 U.S. Dist. LEXIS 15362
CourtDistrict Court, D. Delaware
DecidedJanuary 16, 1973
DocketCiv. A. No. 4284
StatusPublished
Cited by25 cases

This text of 354 F. Supp. 895 (Chris-Craft Industries, Inc. v. Independent Stockholders Committee) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Chris-Craft Industries, Inc. v. Independent Stockholders Committee, 354 F. Supp. 895, 1973 U.S. Dist. LEXIS 15362 (D. Del. 1973).

Opinion

OPINION

LATCHUM, District Judge.

This action arose out of a battle for corporate control between the management of Chris-Craft Industries, Inc. (“management”) and a dissident group known as the Independent Stockholders Committee 1 (the “Committee”). Both sides allege that the proxy materials sent by their opponents to Chris-Craft shareholders in connection with the solicitation of proxies for the 1972 Annual Shareholders Meeting, held on January 11, 1972 in Cortland, New York, were violative of Section 14 of the Securities Exchange Act of 1934 (“the Act”), 15 U.S.C. § 78n, and the Rules and Regulations promulgated thereunder. Both sides seek damages and costs, including attorneys’ fees, as well as a permanent *903 injunction against further violations of the Act by the other side. Jurisdiction and venue exist by virtue of Section 27 of the Act, 15 U.S.C. § 78aa.

It is well established that a private party may bring suit for a violation of Section 14 of the Act. J. I. Case Co. v. Borak, 377 U.S. 426, 84 S.Ct. 1555, 12 L.Ed.2d 423 (1964); Dillon v. Berg, 326 F.Supp. 1214 (D.Del.1971), aff’d 453 F.2d 876 (C.A. 3, 1971). It is also settled that an award of damages and, in some instances, attorneys’ fees are an appropriate remedy for private litigants who establish violations of the Act. Mills v. Electric Auto-Lite Co., 396 U.S. 375, 90 S.Ct. 616, 24 L.Ed.2d 593 (1970). Likewise injunctive relief may be granted to a private litigant. Studebaker Corp. v. Gittlin, 360 F.2d 692 (C. A. 2, 1966); II Loss, Securities Regulation 956. Thus each side has standing to bring their respective claims and counterclaims.

A fifteen day non-jury trial was held from June 12 to June 23 and from July 31 to August 4, 1972. Numerous documentary exhibits and depositions were put into evidence by both sides during the trial. Post trial briefing was completed on November 13, 1972 so that the case is now ripe for decision. A short history of the facts giving rise to the litigation follows.

The genesis of the present suit was the dissatisfaction of a group of substantial Chris-Craft shareholders in 1970 over the poor performance of the corporation reflected by the earnings report for the fiscal year 1969. Defendants Barry Lichtman (“Lichtman”) and James Hinz (“Hinz”), who were stockbrokers by occupation, arranged a meeting on February 25, 1970 in Chicago attended by a number of dissatisfied shareholders, including some of the present defendants, at which their grievances were discussed. Pursuant to a general agreement arrived at during the meeting, a delegation was sent to meet with Chris-Craft management to demand representation on the Board of Directors. However, optimistic forecasts of profits for fiscal year 1970 were made to the delegation by Chris-Craft management at the latter meeting, so they dropped their demands and returned home. When the 1970 annual report was issued, it showed even greater losses during fiscal year 1970 so another meeting was held in Chicago in August of 1970 in which various methods of takeover, including a proxy fight, were discussed. However, this latter approach was abandoned when the defendant David Cohen (“Cohen”), an attendant at the 1970 meetings, suggested that the group did not have the financial resources to wage a proxy battle. (Tr. 1610-11; 1741). 2 As a consequence, no action was taken by the attendants at the meeting.

No significant action occurred for several months. Then in February or March of 1971, defendant Richard O. Kelly (“Kelly”) was contacted by Gale Cooper (“Cooper”), 3 a franchised Chris-Craft dealer in Texas, who informed him that Chris-Craft could be acquired. (Tr. 853-854). Cooper told Kelly he was working closely with John Gale (“Gale”), 4 a vice-president of the Chris-Craft Boat Division. (Tr. 855). The three then had a meeting a short time later in Los Angeles. (Tr. 856). Cooper and Gale indicated that they wanted to help Kelly gain control of Chris-Craft by acquiring Chris-Craft stock in exchange for assets in other companies that Kelly supposedly controlled. Gale also stated that for the help he would give he wanted to be president of the Boat Division and Cooper wanted to receive Chris-Craft stock as a finder’s fee. (Tr. 856-857; 863). Another meeting was held in April, 1970 *904 which was attended by Kelly, Gale and Martin Tynan (“Tynan”), a financial vice-president of Chris-Craft. Gale and Tynan urged Kelly to take over to save the company. (Tr. 868). A meeting was arranged for Kelly and Charles Reed (“Reed”), his attorney, with Chris-Craft’s management on May 17, 1971 in New York. At this meeting nothing was settled. Management indicated a lack of enthusiasm for Kelly’s general proposals to acquire control of Chris-Craft.

Another meeting was held by the dissidents at Fort Lauderdale, Florida on June 6th. This was attended by Kelly, Reed, Gale, Lichtman and Tracey Van Burén, an employee of Chris-Craft. Kelly was urged to go ahead with the plan to attempt a takeover of Chris-Craft by an exchange of assets. (Tr. 885-886). Lichtman indicated that he had spoken to several shareholders who were unhappy with present management and would likely support him. (Tr. 885-886).

A second meeting was held in Florida on July 6 attended by Kelly, Gale, Lichtman and Reed. It was proposed that Reed prepare a support letter to be sent to Kelly by substantial shareholders indicating their support for his acquisition proposals, with which he would then confront management. (Tr. 164). There were also discussions concerning the possibility of a proxy fight or instituting a derivative suit in the event Kelly’s proposals to management were still rejected. (Tr. 165, 900). Gale volunteered to get a list of shareholders in case a proxy fight became necessary. (Tr. 902).

A cover letter requesting support was sent out on July 9, 1971 to the names suggested at the July 6 meeting. Among those contacted were the defendants Robert Kritzik (“Kritzik”), 5 Andrew Schnell (“Schnell”), Richard Balsbaugh (“Balsbaugh”), Cohen and Hinz, who for the first time became aware of Kelly’s acquisition plans.

Another meeting with management was held in New York on July 23 attended by Kelly and Reed. (Tr. 252). At this meeting Reed displayed a draft complaint of a derivative suit against Chris-Craft ostensibly prepared by discontented shareholders. (Tr. 944). At the meeting Kelly disavowed giving encouragement to the group and assured management he could persuade the group to drop the proposed action if management allowed him to take over by his plan. (Tr. 252-253).

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Bluebook (online)
354 F. Supp. 895, 1973 U.S. Dist. LEXIS 15362, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chris-craft-industries-inc-v-independent-stockholders-committee-ded-1973.