In Re Chabot

411 B.R. 685, 2009 Bankr. LEXIS 2078, 2009 WL 981046
CourtUnited States Bankruptcy Court, D. Montana
DecidedApril 13, 2009
Docket19-60294
StatusPublished
Cited by16 cases

This text of 411 B.R. 685 (In Re Chabot) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, D. Montana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Chabot, 411 B.R. 685, 2009 Bankr. LEXIS 2078, 2009 WL 981046 (Mont. 2009).

Opinion

MEMORANDUM OF DECISION

RALPH B. KIRSCHER, Bankruptcy Judge.

In this Chapter 13 ease, after the Chapter 13 Trustee, Robert G. Drummond, of Great Falls, Montana, filed a motion to convert the case to Chapter 7 (Docket No. 20), Debtor Theresa Chabot (“Theresa” or “Debtor”), of Whitefish, Montana, filed a motion to dismiss under 11 U.S.C. § 1307(b) (Docket No. 21). The Chapter *688 13 Trustee and Office of U.S. Trustee through the Assistant United States Trustee, Neal G. Jensen, of Great Falls, Montana, both objected and the U.S. Trustee filed a motion to convert the case to Chapter 7 (Docket No. 47) on the grounds the Debtor filed the case in bad faith. Hearings were held on the motions 1 at Missou-la on January 15, 2009, and on March 12, 2009. At the conclusion of the parties’ cases-in-chief the Court took the motions to dismiss and convert under advisement. After review of the record and applicable law, for the reasons set forth below the Chapter 13 Trustee’s and U.S. Trustee’s motions to convert will be granted, Debt- or’s motion to dismiss will be denied, and this case will be converted to a case under Chapter 7 based upon bad faith by the Debtor.

This Court has jurisdiction in this bankruptcy case under 28 U.S.C. § 1334(a). The pending motions are core proceedings under 28 U.S.C. § 157(b)(2). This memorandum includes the Court’s findings of fact and conclusions of law.

Debtor appeared pro se at both hearings and testified. The Chapter 13 Trustee Robert G. Drummond was represented at the hearing by attorney John P. Paul. The Office of U.S. Trustee was represented by Assistant U.S. Trustee Neal G. Jensen (“Jensen”). The Montana Department of Revenue (“DOR”) was represented at the January 15, 2009, hearing by attorney Teresa Whitney, and DOR’s bankruptcy specialist Kim Davis testified at the hearing on January 15, 2009 2 Bozeman securities dealer Eric Schultz (“Schultz”) testified on January 15, 2009. Debtor’s spouse Brad Chabot (“Brad”) testified at the hearing on March 12, 2009, as did special assistant attorney general Roberta Cross Guns (“Cross Guns”) of the Montana State Auditor. Exhibits (“Ex.”) 1, 2, 3, 4, 5, 6, 7, 8, 9, 10, 11, 12, 13, 14, 15, 16, 17, 18, 19, 20, 21, 22, 23, 24, 25, 26, 27, 28, 29, 30, 34, 35, 36, 49, 51, 52, 55, 56, 57, 58, 59, 60, 61, and 63 were admitted into evidence in the course of both hearings. This Court took judicial notice of Theresa’s four prior bankruptcy cases designated by Case Nos. 00-50655, 03-61787, 04-60156 and 05-62798, by Order entered on January 13, 2009 (Docket No. 88).

FINDINGS OF FACT

Theresa Chabot is married to Brad Cha-bot and lives in Whitefish. Brad testified that they met in Seattle, and have been together since 1990. They have two minor children.

Theresa’s Work History.

Theresa has been employed in many different occupations in the last 15 years, including as a bounty hunter 13 years ago. She has been involved in oil deals and gold mining deals, but testified that those have not developed.

She stated that she has worked for four securities firms, including in Tempe, Arizona, and for Paine Webber in Portland. But Theresa denied at the hearing on January 15, 2009, that she has been employed as a stockbroker. Under questioning by the Court, when asked if she is a stockbroker now Theresa answered: “No, and I never claimed to be 3 .” At the March 12, *689 2009, hearing Brad testified that Theresa told him when they met that she was a stockbroker, but that it took her three tries to pass the Series 7 exam. He testified that Theresa was a stockbroker with Western Capital in Seattle, which traded stocks, that Theresa had an office and that he helped her with cold calls and letters. He testified that Theresa was a stockbroker until they moved to San Diego, but not after that.

Cross Guns testified that Theresa has never been licensed as a stockbroker or investment broker or advisor. Cross Guns explained that the securities industry is highly regulated, and that every broker, investment advisor and firm in the industry has to be registered on the national Central Registration Directory (“CRD”) 4 . The state auditor has access to the CRD. Cross Guns testified that its standard practice when receiving a complaint is to search the CRD, and to rely on the CRD to verify if someone is licensed. If a person is not registered on the CRD then the state auditor considers them not licensed. Gross Guns testified that they have access to the entire CRD data base back to the 1970’s. In checking the CRD Cross Guns testified that they found Theresa’s name listed under her previous name “Erickson”, but that Theresa has never been licensed or registered to sell securities or to advise people about securities in any capacity.

Cross Guns was asked about Theresa’s Rule 2004 examination testimony, from page 6, where Theresa stated that she took a test and got a license as a stockbroker twenty years ago, and Cross Guns testified that those answers were not true because a person is required to be registered on the CRD or they are not licensed to sell or advise about securities. Cross Guns testified that in her experience it has never happened that a 20-year old license failed to appear on the CRD.

Theresa testified that she let her stockbroker’s license lapse. Cross Guns testified that even if a license lapses it will still show up on the CRD, even if the licensee is banned for life. If a license lapses for two years, Cross Guns testified, then the licensee must find another firm to sponsor him or her before retaking the Series 7 license exam.

Theresa showed the Court and Cross Guns a document showing a business card with Theresa Erickson’s name issued by L.F. Thompson of Tempe, Arizona, which shows Theresa named as an investment executive. Theresa stated that she received that card when she started working there on a salary. Cross Guns responded that the letter head is not persuasive, that in the security industry it is common that employees are given business cards which identify them with titles such as “vice president”, and that the salary Theresa was paid was not enough 5 for a stockbroker. Cross Guns acknowledged that Theresa may have been a sales assistant or a secretary for the brokerage firm.

Under questioning by the Court about the Series 7 license, Cross Guns testified that the testing authority will send the CRD an applicant’s test results stating whether the applicant passed or failed, his or her grade and the name of the sponsoring firm. Cross Guns testified that no indication exists on the CRD showing that Theresa ever took or passed the Series 7 *690 examination, or that Theresa was sponsored by a firm as required.

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Cite This Page — Counsel Stack

Bluebook (online)
411 B.R. 685, 2009 Bankr. LEXIS 2078, 2009 WL 981046, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-chabot-mtb-2009.