In Re Keyworth

47 B.R. 966, 1985 Bankr. LEXIS 6538, 12 Bankr. Ct. Dec. (CRR) 1137
CourtDistrict Court, D. Colorado
DecidedMarch 12, 1985
DocketBankruptcy 84 B 02654 J
StatusPublished
Cited by41 cases

This text of 47 B.R. 966 (In Re Keyworth) is published on Counsel Stack Legal Research, covering District Court, D. Colorado primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Keyworth, 47 B.R. 966, 1985 Bankr. LEXIS 6538, 12 Bankr. Ct. Dec. (CRR) 1137 (D. Colo. 1985).

Opinion

MEMORANDUM OPINION AND ORDER

ROLAND J. BRUMBAUGH, Bankruptcy Judge.

On or about February 24, 1982, the Debtors filed an Amended Complaint in the District Court in and for the City and County of Denver, Colorado, Civil Action No. 82-CV-1490, against approximately twenty-five (25) firms who allegedly formulated, manufactured and sold synthetic estrogen compounds of stilbene derivatives under various brand names. In that suit, the Debtors set forth seven (7) claims:

1. Negligence resulting in personal injuries to Kerry Keyworth ($1.5 million).
2. Strict products liability for which Defendants should be liable for personal injuries to Kerry Keyworth ($1.5 million).
3. Misrepresentation by Defendants resulting in personal injuries to Kerry Key-worth ($1.5 million).
4. Breach of warranties by Defendants resulting in personal injuries to Kerry Keyworth ($1.5 million).
5. Loss of consortium by Jon Keyworth ($500,000.00).
6. Wrongful death of Scott Keyworth, the son of Jon and Kerry Keyworth, for which the Debtors, as survivors, seek actual medical damages and the statutory sum of $45,000.00 under the Colorado wrongful death statute (Medical expenses plus $45,000.00).
*969 7. Punitive damages for the willful, wanton and reckless disregard exhibited by Defendants ($5 million).

In April, 1984, Jon Keyworth met with Steven L. Zimmerman, a Denver attorney, to seek counsel regarding a potential bankruptcy by the Keyworths. For this consultation, Mr. Zimmerman billed Mr. Key-worth $75.00.

Subsequently, the Keyworths retained different counsel and on June 1, 1984, they filed their Chapter 7 Petition herein. On their Schedule B-2, Personal Property, the Debtors, under paragraph (g) stated “Personal Injury Suit: Denver Dist. Ct. 82-CV-1490, $7,145,000.00.” On their Schedule B-4, Property Claimed as Exempt, the Debtors stated “Proceeds of Claims for Personal Injury—Denver Dist. Ct. 13-54-102(n)—100% Except Obligations Incurred for Treatment or Collection.” In their Statement of Financial Affairs for Debtor Not Engaged in Business, under paragraph 10.a.(l), the Debtors stated “Denver District Court, State of Colorado, Civil Action 82-CV-1490, Courtroom 14; Kerry Key-worth & Jon Keyworth vs. Eli Lilly & Co., et al.; Personal Injury Suit.”

On August 21, 1984, a meeting of creditors was held pursuant to 11 U.S.C. § 341. The Trustee, Karen Radakovich, presided over that meeting. After questioning the Debtors about litigation captioned United Bank of Littleton v. Jon Keyworth Beverages, Inc., the Trustee requested the Key-worths to furnish copies of the pleadings in that case. The Trustee then inquired into the suit against the drug manufacturers, 82-CV-1490. She inquired as to the name of the attorney prosecuting the suit, when trial was scheduled, and how much the medical damages were. She did not inquire as to the substantive nature of the suit, or the legal grounds upon which the Debtors were relying. Nor did she request to see copies of the pleadings.

On September 7, 1984, Merck & Company, obtained for $50.00 an Assignment of Unsecured Claim from attorney Zimmerman and on September 12, 1984, Merck & Company filed its Proof of Claim, its Objection to Debtors’ Claim of Exempt Property and a statement Pursuant to Rule 3001(e), and the Assignment of Unsecured Claim. The Court set October 29, 1984, for hearing of this objection.

On October 24, 1984, the Debtors and Merck & Company filed a Stipulation attached hereto and incorporated herein as Appendix I. Three days prior to the scheduled hearing, Merck & Company filed notice that the objection it filed drew into question the constitutionality of 11 U.S.C. § 522(b)(1). The hearing on October 29, 1984, was short. The Trustee orally moved to intervene for the purpose of joining in the objection filed by Merck & Company. The Court granted that motion but only allowed the Trustee to join with Merck & Company on the same issues because the last day to file objections to claimed exemptions had expired September 20, 1984, in accordance with Bankruptcy Rule 4003(b).

On October 30, 1984, the Court under 28 U.S.C. § 2403, notified the Attorney General for the United States, the U.S. Attorney for the District of Colorado, and the Attorney General of the State of Colorado that the constitutionality of 11 U.S.C. § 522(b)(1) and of §§ 13-54-102(n) and 13-54-107, C.R.S. 1973, had been drawn into question, and gave those persons until November 30, 1984, to intervene. The Court also set forth a briefing schedule and set January 11, 1985, for an evidentiary hearing and oral argument on Merck & Company’s Objection.

STANDING OF TRUSTEE

On January 10, 1985, the Trustee filed Trustee’s Objection to Debtors’ Claim of Exempt Property and for Clarification of the Court’s Order wherein she asserts she objected “timely” to the claim of exemption and has separate grounds to object independent of Merck & Company. The Trustee’s theory is that because of the manner in which the Debtors completed their schedules and the way in which they responded at the § 341 hearing, she could not have reasonably known that portions of the state court lawsuit were not within the *970 allowable exemptions, and she timely filed her objection within thirty (30) days of obtaining such information. The Court disagrees with this theory. Rule 4003(b) provides that any objection may be filed within thirty (30) days after the conclusion of the § 341 meeting, not within thirty (30) days of discovering facts forming a basis for the objection. Even if the Court were to grant an exception to Rule 4003(b) to provide that objections could be filed within thirty (30) days of such discovery if the facts were intentionally concealed by the Debtors (which the Court is not willing to do at this time), the Trustee’s theory is of no aid here. There was no evidence, or even an assertion, that the Debtors either deliberately or negligently concealed the facts from the Trustee or any creditors. The Debtors answered each question at the § 341 meeting and disclosed the state court suit in their schedules. If the Trustee desired more information all she had to do was ask, or indeed, require the Debtors to furnish a copy of the pleadings in that suit. She did neither.

Therefore, the Court finds that the Trustee has no independent standing to object to the claimed exemptions, but rather that she was allowed only to join in the objection of Merck & Company. To hold otherwise would be to impermissably amend Rule 4003(b) which is clear and unequivocal.

STANDING OF MERCK & COMPANY

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Cite This Page — Counsel Stack

Bluebook (online)
47 B.R. 966, 1985 Bankr. LEXIS 6538, 12 Bankr. Ct. Dec. (CRR) 1137, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-keyworth-cod-1985.