In Re Bower

2010 MT 19, 225 P.3d 784, 355 Mont. 108, 2010 Mont. LEXIS 16
CourtMontana Supreme Court
DecidedFebruary 2, 2010
DocketDA 09-0387
StatusPublished
Cited by7 cases

This text of 2010 MT 19 (In Re Bower) is published on Counsel Stack Legal Research, covering Montana Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Bower, 2010 MT 19, 225 P.3d 784, 355 Mont. 108, 2010 Mont. LEXIS 16 (Mo. 2010).

Opinion

JUSTICE MORRIS

delivered the Opinion of the Court.

¶ 1 The State Auditor’s Securities and Insurance Departments issued a Notice of Proposed Agency Disciplinary Action and Opportunity for Hearing, in which they alleged that Martin Bower had violated securities and insurance laws. The Hearing Examiner issued a proposed decision adverse to Bower. Bower failed to file exceptions to the proposed order. The Commissioner of Securities and Insurance (Commissioner) issued a final agency decision that adopted the Hearing Examiner’s findings, conclusions, and order. Bower filed a petition for judicial review in the Eleventh Judicial District Court, Flathead County. The District Court dismissed Bower’s petition for lack of subject matter jurisdiction and alternatively concluded that substantial evidence supported the finding that Bower had violated securities and insurance laws. Bower appeals. We affirm.

ISSUES

¶2 Bower raises two issues on appeal. He maintains that the District Court erred in concluding that it did not have subject matter jurisdiction to review the decision issued by the Commissioner. We need not reach this issue, however, in light of our resolution of the question of whether the Commissioner based his decision on admissible evidence. We restate the dispositive issue as follows:

¶3 Did the District Court correctly conclude that substantial evidence supports the finding that Bower had violated securities and insurance laws?

FACTUAL AND PROCEDURAL BACKGROUND

¶4 The Securities Act of Montana, set forth in Title 30, chapter 10, parts 1 through 3 of the Montana Code Annotated (2003), requires persons who offer or sell securities to be licensed through a registration process. Section 30-10-201, MCA (2003). Bower was a licensed insurance producer, but he never registered as an investment advisor in Montana. The Department of Securities became concerned in 2004 that Bower was acting as an investment advisor and recommending security liquidations without the proper licensure.

¶5 The Department of Securities received numerous phone calls in 2004 from elderly people and their family members who had met with Bower. Bower had recommended that one elderly woman sell all of her *110 stock to purchase an annuity through Bower. Bower also had convinced an elderly woman with Alzheimer’s disease to liquidate her portfolios and purchase an annuity through Bower. The Department of Securities believed that Bower’s recommendations were unsuitable under the circumstances and that the recommendations would have had significant negative tax consequences.

¶6 Bower also met with a family that was seeking to purchase health insurance. Bower was unable to offer the type of insurance that the family needed. Bower attempted to persuade the family to purchase annuities instead. The family purchased an annuity, but stipulated that Bower would hold the check until the family had further investigated the annuity’s interest rates. Bower later refused to return the check when the family asked him to give it back. He eventually admitted that he had cashed the check despite his agreement to hold it.

¶7 The State Auditor’s Securities and Insurance Departments issued a Notice of Proposed Agency Disciplinary Action and Opportunity for Hearing and alleged that Bower had violated numerous securities and insurance laws. The Department of Securities issued a Temporary Cease and Desist Order on November 15, 2004. The Department of Insurance subsequently issued its own Temporary Cease and Desist Order, along with an order that revoked Bower’s insurance producer’s license.

¶8 The Hearing Examiner conducted a contested case hearing in January 2005, held the hearing in abeyance, and continued it in March 2007. Bower represented himself during the January 2005 portion of the hearing. The Securities and Insurance Departments presented their cases, including extensive testimony from the elderly people and their families. Bower objected on several occasions to certain testimony, but he later withdrew his objections.

¶9 Bower filed a motion for judgment as a matter of law on February 22, 2007. Bower claimed that the Departments of Securities and Insurance had not met their burdens of proof because “inadmissible hearsay is not permitted to determine whether substantial evidence exists.” Bower claimed that the January 2005 hearing transcript was “riddled” with hearsay testimony. Bower discussed the testimony of a variety of witnesses and explained why he believed that the testimony was inadmissible hearsay. Bower did not point to any instances, however, where he had objected to the testimony during the hearing. The Hearing Examiner denied the motion.

¶10 Bower appeared with counsel during the March 2007 portion of *111 the hearing. Bower’s counsel presented his case-in-chief. Neither Bower, nor his counsel, objected to any alleged hearsay testimony either during the January 2005 or the March 2007 portions of the hearing.

¶ 11 The Hearing Examiner issued his proposed decision on September 28, 2007, and filed corrections shortly thereafter. The Hearing Examiner concluded that Bower had “used fraudulent and coercive tactics, was untrustworthy, financially irresponsible, and a source of injury,” and that Bower had committed numerous acts of fraud. The Hearing Examiner also observed that “[b]y rendering advice regarding the value and sale of a certificate of deposit ... that would result in compensation to Bower, Bower acted as an unregistered investment advisor in violation of § 30-10-201(3), MCA.” The Hearing Examiner subsequently revoked Bower’s insurance producer license for five years and fined Bower for his violations of securities and insurance laws.

¶12 The State Auditor, in his capacity as Commissioner of Securities and Insurance, issued a scheduling order and informed Bower that he was entitled to file written exceptions, support his exceptions with briefs, and present oral argument. The order stated that “[t]he parties are not required to file exceptions.” Bower failed to file any exceptions or objections to the Hearing Examiner’s proposed decision. The Commissioner issued the final agency decision on December 5, 2007, and adopted the Hearing Examiner’s Proposed Findings of Fact, Conclusions of Law, and Order.

¶13 Bower filed a petition for judicial review on February 6, 2008. Bower’s petition alleged that the Commissioner’s final agency decision had been “improperly based upon unreliable hearsay and therefore not supported by substantial evidence.” Bower discussed testimony from various witnesses at trial and argued that the testimony constituted inadmissible hearsay. Bower did not identify any specific instances where he had objected to the testimony at the hearing.

¶14 The District Court denied Bower’s petition. The court denied the petition for “lack of subject matter jurisdiction, as [Bower] failed to exhaust his administrative remedies.” The court noted that Bower had failed to file exceptions to the Hearing Examiner’s proposed decision, and that the Commissioner subsequently had adopted the Hearing Examiner’s decision.

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Cite This Page — Counsel Stack

Bluebook (online)
2010 MT 19, 225 P.3d 784, 355 Mont. 108, 2010 Mont. LEXIS 16, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-bower-mont-2010.