Federal Home Loan Bank Board v. Long Beach Federal Savings & Loan Association

295 F.2d 403
CourtCourt of Appeals for the Ninth Circuit
DecidedNovember 17, 1961
Docket17149_1
StatusPublished
Cited by15 cases

This text of 295 F.2d 403 (Federal Home Loan Bank Board v. Long Beach Federal Savings & Loan Association) is published on Counsel Stack Legal Research, covering Court of Appeals for the Ninth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Federal Home Loan Bank Board v. Long Beach Federal Savings & Loan Association, 295 F.2d 403 (9th Cir. 1961).

Opinion

HAMLEY, Circuit Judge.

Three district court orders entered in proceedings which began with the filing of a “Petition to Enforce Administrative Subpoenas and for Other Relief” are here under review. The second of these orders and an accompanying opinion are reported in Long Beach Federal Savings & Loan Ass’n v. Federal Home Loan Bank Board, D.C.S.D.Cal., 189 F.Supp. 589.

The administrative proceeding began on April 19, 1960, when Federal Home Loan Bank Board adopted Order No. 13,372. 1 In this order various violations of law and regulations and unsafe or unsound operations were stated as grounds for the appointment of a conservator for Long Beach Federal Savings & Loan Association and for the determination that an emergency existed requiring that immediate action be taken. By this order C. E. Ault was appointed supervisory representative in charge to take charge of the Association and its affairs, pending further disposition by the Board. Pursuant to this order Ault took possession and control of the premises, assets and property of the Association on April 22, 1960.

On May 12, 1960, the Board adopted Resolution No. 13,440. In this order the facts concerning the seizure of the Association were recited, and the above-stated grounds for the appointment of a conservator were outlined in greater detail. It was provided in this order than an administrative hearing for the purpose of determining whether those grounds existed would be held in Los Angeles, California, at which hearing the Association might appear and show cause why a conservator should not be appointed. On June 3, 1960, the Board adopted Resolution No. 13,513 designating Robert N. Hislop as hearing examiner.

Later that month the Association applied to the examiner for the issuance of subpoenas addressed to the following persons and corporations: Federal Home Loan Bank Board; J. Robertson, chairman of the Board; Ira A. Dixon and William J. Hallahan, members of the Board; John M. Wyman, director and chief supervisor; A. V. Ammann, assistant director and assistant chief supervisor; Federal Savings & Loan Insurance *405 ■Corporation; and William H. Husband, manager of the insurance corporation. 'This application contained a statement •of the general relevance and reasonable .scope of the evidence sought, as required by section 6(c) of the Administrative Procedure Act, 5 U.S.C.A. § 1005(c).

The evidence, according to this statement, would prove that (1) the three Board members, Robertson, Dixon and Hallahan, were disqualified by reason of bias, prejudice and personal interest from acting as a Board, hearing officers, •or otherwise, in connection with the proceeding, and (2) no grounds existed for the seizure of the Association or for the appointment of a conservator. Attached to the application was an affidavit signed by the president of the Association stating that each member of the Board was interested, prejudiced and consequently •disqualified.

The examiner issued the subpoenas requested by the Association and also a number of subpoenas requested by the Board. The Board filed with the examiner a motion to quash the subpoenas which had been served upon Robertson, Dixon, Wyman and Ammann. The Association filed with the examiner a .document generally and specifically denying each of the charges and accusations contained in Resolution No. 13,440. In this document the Association also denied the factual recitals in Order No. 13,372, and alleged three affirmative defenses. 2

The administrative hearing began on September 1,1960. Early in the proceedings counsel for the Association stated that he would like to ascertain whether the six individuals he had subpoenaed were in the hearing room. The examiner ruled that the request was premature although the subpoenas were returnable that day, as the Board was the moving party and would call its witnesses first. 3

Objecting to this ruling, counsel for the Association then stated his position, which he maintained vehemently throughout the administrative hearing, that in order to avoid waiver of the Association’s contention that the Board and its members were disqualified the Association must be permitted to proceed first with its evidence of bias and prejudice. Counsel stated that the six witnesses subpoenaed by the Association would provide such evidence and their presence was therefore needed at the outset of the hearing. Counsel for the Board contested this position and pressed for a ruling on the motion to quash four of the subpoenas.

The examiner then made the following rulings: (1) In the absence of some special showing not yet made in the ease, the question of the motivation of the Board in instituting the proceedings was immaterial and irrelevant; 4 (2) no evidence would be permitted with respect to whether an emergency existed justifying the seizure of April 22, 1960; (3) the subpoenas issued at the request of the Association would not be quashed, but they could not be utilized for the production of evidence of bias, prejudice or related matters except upon “some proper or appropriate basis in the record,” nor for the presentation of evidence concerning the propriety of the seizure effected on April 22, 1960; 5 and (4) witnesses subpoenaed by the Association were to *406 be called at such time as the Association would present its case in answer to that presented by the Board.

Counsel for the Association then made an offer of proof on the question of the alleged bias, prejudice and interest of Board members. The conclusion to be drawn from such proof, it was asserted, was that the Board’s action in providing for the administrative hearing and appointing an examiner to conduct the hearing was invalid. The offer of proof was rejected and the examiner directed counsel for the Board to proceed with the presentation of the Board’s evidence.

For reasons not here material the Board was unable to produce evidence it had counted upon, and a recess was taken. During the recess the Association filed in the district court its “Petition to Enforce Administrative Subpoenas and for Other Relief.” It was alleged therein that the Association sought by the subpoenas issued at its request to prove bias, prejudice, interest and disqualification of the Board and its members.

It was also alleged that two of the persons subpoenaed, Hallahan and Husband, had “in no way responded” to the subpoenas served upon them, and that the four other personal witnesses had moved to quash the subpoenas served upon them, which subpoenas remained “unquashed but dishonored.” It was averred that the examiner had ruled that bias, prejudice, interest and disqualification were not issues upon which he would compel or receive testimony or evidence.

The petition contained numerous other recitals concerning the alleged bias and prejudice of Board members, misrepresentations purportedly made by Board members to a congressional committee, the Association’s constitutional right to a fair hearing, and its fear that if the Association proceeded before the examiner on any issue other than bias and prejudice it would waive its claim of Board disqualification.

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Bluebook (online)
295 F.2d 403, Counsel Stack Legal Research, https://law.counselstack.com/opinion/federal-home-loan-bank-board-v-long-beach-federal-savings-loan-ca9-1961.