In Re G-I Holdings, Inc.

292 B.R. 804, 50 Collier Bankr. Cas. 2d 372, 2003 Bankr. LEXIS 452, 41 Bankr. Ct. Dec. (CRR) 87, 2003 WL 21145531
CourtUnited States Bankruptcy Court, D. New Jersey
DecidedMay 8, 2003
Docket19-11744
StatusPublished
Cited by5 cases

This text of 292 B.R. 804 (In Re G-I Holdings, Inc.) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, D. New Jersey primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re G-I Holdings, Inc., 292 B.R. 804, 50 Collier Bankr. Cas. 2d 372, 2003 Bankr. LEXIS 452, 41 Bankr. Ct. Dec. (CRR) 87, 2003 WL 21145531 (N.J. 2003).

Opinion

*806 OPINION

ROSEMARY GAMBARDELLA, Chief Judge.

MATTER BEFORE THE COURT

Before the Court is a motion by C. Judson Hamlin, the Legal Representative of Present and Future Holders of Asbestos-Related Demands (“Legal Representative”), supported by the Official Committee of Asbestos Claimants (“Committee”), for authority to seek intervention as co-plaintiff in the Committee’s suit against the debtor’s principal stockholder Samuel Heyman. 1 The suit, captioned Official Committee of Asbestos Claimants of G-I Holdings, Inc., suing on behalf of the Chapter 11 Bankruptcy Estate of G-I Holdings, Inc., f/k/a/ GAF Corporation v. Samuel Heyman, Action No. 01 Civ. 8539(RWS) (“Avoidance Action”), is currently pending before United States District Judge Robert W. Sweet in the United States District Court for the Southern District of New York. 2 A hearing on the motion was conducted on June 12, 2002 at which time the Court reserved decision. The following constitutes this Court’s findings of fact and conclusions of law. For the reasons set forth below, the Legal Representative’s Motion is granted.

Facts AND Procedural History On January 5, 2001, G-I Holdings (“GI” or “Debtor”) filed a voluntary petition for relief under Chapter 11 of the Bankruptcy Code before this Court. On August 3, 2001, ACI, Inc., a subsidiary of G-1, filed a voluntary case under Chapter 11 of the Bankruptcy Code. This Court entered an order directing the joint administration of G-I and ACI’s Chapter 11 cases on October 10, 2001. Presently, G-I operates its businesses as a debtor-in-possession pursuant to 11 U.S.C. § 1107 and § 1108. On January 22, 2001, the Office of the United States Trustee appointed an Official Committee of Asbestos Claimants. On May 14, 2001 this Court, on motion of the Committee authorized it to pursue an avoidance action against the debtor’s principal stockholder, Samuel Heyman. The *807 order granted the Committee authority to prosecute any causes of action the Debtor may have “against Samuel Heyman and his affiliates arising out of the transfer of stock of International Specialty Products (‘ISP’) and/or ISP Holding, Inc., including any claims or causes of action pursuant to Section 544(b) of the Bankruptcy Code.” See Order dated May 14, 2001, p. 2.

On May 29, 2001, the Debtor filed an application for the appointment of a legal representative for the present and future holders of asbestos-related demands. 3 By order dated September 6, 2001, the court granted the Debtor’s application, and the parties conferred regarding appropriate candidates. On September 20, 2001, the Committee commenced the Avoidance Action, which is the subject of the instant motion. By order dated October 10, 2001, this Court appointed C. Judson Hamlin to be the legal representative of present and future holders of asbestos related demands.

The “Legal Representative’s Memorandum in Support of Motion For Authority To Seek Intervention As Co-Plaintiff In The ISP Avoidance Action Against Samuel Heyman” (“Legal Representative’s Motion”) was filed on May 13, 2002. Debtor’s objection, entitled, “Objection of G-l Holdings Inc. to Motion of Legal Representative of Present and Future Persons Holding Asbestos Demands for Authority to Seek Intervention as Co-Plaintiff in the ISP Avoidance Action Against Samuel Heyman” (“Debtor’s Objection”) and the Committee’s “Response of The Official Committee of Asbestos Claimants in Support of Legal Representative’s Motion for Authority to Seek Intervention as Co-Plaintiff in Avoidance Action Against Samuel Heyman” (“Committee’s Response”) were filed on June 5, 2002. The Legal Representative filed a reply on June 10, 2002, entitled, “Legal Representative’s Reply Brief Relating to Motion for Authority to Seek Intervention in ISP Avoidance Action” (“Legal Representative’s Reply”).

The Court conducted a hearing on the motion on June 12, 2002 and reserved decision. The Debtor filed its “Reply in Further Support of Objection of G-l Holdings Inc. to Motion of Legal Representative of Present and Future Persons Holding Asbestos Demands for Authority to Seek Intervention as Co-Plaintiff in the ISP Avoidance Action Against Samuel Hey-man” (“Debtor’s Reply”) on July 3, 2002. On July 5, 2002, the Legal Representative filed a “Supplemental Brief of Legal Representative in Response to Debtor’s ‘Reply’ in Further Support of its Objection to Legal Representative’s Motion for Authority” (“Legal Representative’s Reply II”).

Discussion

Many of the arguments among the Debtor, the Legal Representative and the Committee presented before this Court concern the procedural and substantive issues of intervention which may arise in motion practice in the Avoidance Action before the District Court. This Court will not opine on such issues. This opinion, therefore, is limited in scope to determining whether this Court should grant the Legal Representative authority to move to intervene in the Avoidance Action pending *808 before the United States District Court for the Southern District of New York.

A. Jurisdiction and Venue.

Jurisdiction and venue are not contested in the case at bar. Accordingly, this Court has jurisdiction over the Legal Representative’s Motion under 28 U.S.C. § 1334. See 28 U.S.C. § 1334 (2002). This Motion is a core proceeding pursuant to 28 U.S.C. § 157(b)(2). See 28 U.S.C. § 157. Moreover, venue of this case is proper in the District of New Jersey pursuant to 28 U.S.C. §§ 1408 and 1409. See 28 U.S.C. §§ 1408 and 1409 (2002).

B. The Legal Representative.

Appointment of the legal representative is not at issue in the case at bar. This Court, on application of the Debtor and exercising its powers under sections 105(a) and 524(g) of the Bankruptcy Code (“Code”), issued an Order appointing C. Judson Hamlin the Legal Representative on October 10, 2001, and empowered the Legal Representative with “standing as a party in interest to be heard on every matter relevant to the interests of Demand Holders in G-l’s chapter 11 case, including but not limited to, adversary proceedings, contested matters, and matters involving section 524(g).” See Order, dated October 10, 2001, at 2.

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Related

In re Johns-Manville Corp.
534 B.R. 553 (S.D. New York, 2015)
In re G-I Holdings, Inc.
472 B.R. 263 (D. New Jersey, 2012)

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Bluebook (online)
292 B.R. 804, 50 Collier Bankr. Cas. 2d 372, 2003 Bankr. LEXIS 452, 41 Bankr. Ct. Dec. (CRR) 87, 2003 WL 21145531, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-g-i-holdings-inc-njb-2003.