In Re Pressman-Gutman Co., Inc. Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1012 Pressman-Gutman Co., Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1026 v. First Union National Bank Forefront Capital Advisors, LLC Alvin P. Gutman James C. Gutman Alvin P. Gutman James C. Gutman, Third-Party

459 F.3d 383, 39 Employee Benefits Cas. (BNA) 2598, 2006 U.S. App. LEXIS 21219
CourtCourt of Appeals for the First Circuit
DecidedAugust 18, 2006
Docket05-1012
StatusPublished
Cited by25 cases

This text of 459 F.3d 383 (In Re Pressman-Gutman Co., Inc. Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1012 Pressman-Gutman Co., Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1026 v. First Union National Bank Forefront Capital Advisors, LLC Alvin P. Gutman James C. Gutman Alvin P. Gutman James C. Gutman, Third-Party) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Pressman-Gutman Co., Inc. Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1012 Pressman-Gutman Co., Employer/sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, in 05-1026 v. First Union National Bank Forefront Capital Advisors, LLC Alvin P. Gutman James C. Gutman Alvin P. Gutman James C. Gutman, Third-Party, 459 F.3d 383, 39 Employee Benefits Cas. (BNA) 2598, 2006 U.S. App. LEXIS 21219 (1st Cir. 2006).

Opinion

459 F.3d 383

In re PRESSMAN-GUTMAN CO., INC. Employer/Sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, Petitioner in 05-1012
Pressman-Gutman Co., Employer/Sponsor of the Pressman-Gutman Co., Inc. Profit Sharing Plan, Appellant in 05-1026
v.
First Union National Bank; Forefront Capital Advisors, LLC. Alvin P. Gutman; James C. Gutman
Alvin P. Gutman; James C. Gutman, Third-Party Defendants.

No. 05-1012.

No. 05-1026.

United States Court of Appeals, Third Circuit.

Argued March 7, 2006.

Filed August 18, 2006.

COPYRIGHT MATERIAL OMITTED COPYRIGHT MATERIAL OMITTED A. Richard Feldman (argued), E. McCord Clayton, Bazelon Less & Feldman, P.C., Philadelphia, PA, for Appellant/Petitioner Pressman-Gutman Co., Inc.

Zachary L. Grayson (argued), The Lexington Law Group, Philadelphia, PA, for Appellee/Respondent Forefront Capital Management, LLP.

Joseph G. DeRespino (argued), Derespino & Dougher, P.C., Philadelphia, PA, for Appellee/Respondent First Union National Bank.

Before RENDELL and GREENBERG, Circuit Judges, and IRENAS, District Judge*.

OPINION OF THE COURT

GREENBERG, Circuit Judge.

I. INTRODUCTION

This matter comes on before the court on an appeal by plaintiff Pressman-Gutman Co., Inc. ("PGI") from certain orders of the district court disqualifying counsel for PGI and appointing a guardian ad litem to replace the administrators of the employee profit-sharing plan on whose behalf PGI initiated this action under the Employee Retirement Income Security Act of 1974 ("ERISA"), 29 U.S.C. § 1001 et. seq. Inasmuch as PGI recognizes that we may lack appellate jurisdiction, it has filed a petition for a writ of mandamus or prohibition ("Pl.'s pet.") invoking our original jurisdiction and seeking to prevent enforcement of the orders from which it appeals. For the reasons explained below, we will dismiss the appeal for lack of jurisdiction and deny the petition for a writ of mandamus.1

II. FACTUAL AND PROCEDURAL HISTORY

PGI is the employer sponsor and named fiduciary of the Pressman-Gutman Co., Inc. Profit Sharing Plan (the "Plan"), on whose behalf PGI in such capacities brought this action on November 13, 2002, against First Union National Bank ("First Union") and ForeFront Capital Advisors, LLC ("ForeFront") (collectively "defendants"). In the action PGI sought to recover damages on behalf of the Plan and its participants and beneficiaries that PGI claimed the Plan sustained as a result of defendants' mismanagement of the Plan's assets.2 In sum, PGI alleged that First Union, as trustee of the Plan, and Fore-Front, as First Union's sub-advisor, breached fiduciary duties they owed to the Plan by pursuing an imprudent investment course contrary to various representations made to PGI on which it justifiably relied. In initiating this litigation, PGI acted by and through its secretary, Alvin Gutman, and its president, James Gutman, Alvin's son, then the sole members of the Plan's Administrative Committee. At the time that PGI filed this action, the law firm of Hamburg & Golden, P.C. ("H & G") represented it.

On April 22, 2003, First Union filed a third-party complaint against the Gutmans asserting that they had participated in and consented to defendants' investment decisions and alleging that the Gutmans breached fiduciary duties owed to the Plan under ERISA by failing to take appropriate action with respect to the Plan's investments and assets.3 First Union further alleged that the Gutmans were negligent in the discharge of their fiduciary duties. Therefore, First Union sought judgment in its favor against the Gutmans "for contribution and/or indemnity, in the event that First Union is found liable to Plaintiff for any damages." J.A. at 252.

The Gutmans retained H & G as their attorneys to defend them against the third-party complaint. This retention led First Union to file a motion on August 1, 2003, to disqualify H & G as attorneys in this case alleging that it had an "inherent and unwaivable conflict of interest resulting from [H & G's] joint representation of both Plaintiff and Third-Party Defendants."4 J.A. at 277. The district court denied the motion, finding that there was insufficient evidence to disqualify H & G at that time. ForeFront later filed a renewed motion, in which First Union joined, to disqualify H & G from representing both the plaintiff, PGI, and the third-party defendants, the Gutmans, asserting that new facts had emerged during the course of discovery to bolster the case for disqualification.5

Before the district court ruled on the renewed motion to disqualify H & G, the Gutmans filed a motion for summary judgment on the third-party complaint that the district court denied on May 13, 2004. The district court held that First Union raised triable issues concerning the Gutmans' control over the Plan's assets and management, explaining that "to the extent that the Gutmans may have used their positions to cause First Union and/or ForeFront to relinquish their independent discretion with respect to management of the assets and exercised actual control over the assets, the Gutmans may be liable as fiduciaries for investment decisions." J.A. at 1770-71 n. 1 (internal citations omitted).

After denying the Gutmans' motion for summary judgment, the district court considered ForeFront's renewed motion to disqualify H & G. On August 30, 2004, the district court ordered that H & G be "disqualified from serving as counsel for third-party defendants" and further ordered that all pending motions be stayed for 30 days to allow the Gutmans to obtain new counsel. J.A. at 3. The court, however, did not disqualify H & G from representing PGI. In a memorandum accompanying the order, the court analyzed the conflict issue under Rule 1.7 of the Pennsylvania Rules of Professional Conduct ("Pa. R.P.C."), as the rule then read, which was applicable in the district court and which pertains to simultaneous representation of clients with adverse interests,6 and determined that disqualification was warranted because "plaintiff's potential claims against third-party defendants present directly adverse interests." J.A. at 7. Specifically the court explained:

This court finds it unreasonable for [H & G] to believe it can adequately represent both plaintiff and third-party defendants . . . . The court's review of the record reveals that plaintiff has not consented to [H & G's] joint representation of plaintiff and third-party defendants. Therefore, H & G is disqualified from representing third-party defendants in this action.

J.A. at 7. On September 17, 2004, Attorney Christopher M. Tretta filed a notice of appearance on behalf of the Gutmans, and H & G withdrew as their counsel four days later.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Secretary United States Department of Labor v. Koresko
646 F. App'x 230 (Third Circuit, 2016)
Peter Ingris v.
598 F. App'x 838 (Third Circuit, 2015)
In Re: Peter Ingris v.
601 F. App'x 71 (Third Circuit, 2015)
Jesse Averhart v. CWA Union Local 1033
571 F. App'x 114 (Third Circuit, 2014)
Emmitt Worthy, III v.
481 F. App'x 46 (Third Circuit, 2012)
In Re: Frederick Banks V.
450 F. App'x 155 (Third Circuit, 2011)
United States v. Rodney Murray
437 F. App'x 103 (Third Circuit, 2011)
In Re: Ayodele Oke v.
436 F. App'x 138 (Third Circuit, 2011)
Gregory Jackson v.
426 F. App'x 73 (Third Circuit, 2011)
United States v. Harold Sidney Brunson
416 F. App'x 212 (Third Circuit, 2011)
In Re: Jay Berger v.
403 F. App'x 778 (Third Circuit, 2010)
In Re: Cazzie L. Williams v.
408 F. App'x 561 (Third Circuit, 2010)
In Re Apeldyn Corp.
391 F. App'x 873 (Federal Circuit, 2010)
United States v. Bergman
599 F.3d 1142 (Tenth Circuit, 2010)
In Re Carco Electronics
536 F.3d 211 (Third Circuit, 2008)
In re Le Blanc
49 V.I. 508 (Supreme Court of The Virgin Islands, 2008)
In Re: Knight
278 F. App'x 169 (Third Circuit, 2008)
Gleason v. Norwest Mortgage, Inc.
253 F. App'x 198 (Third Circuit, 2007)

Cite This Page — Counsel Stack

Bluebook (online)
459 F.3d 383, 39 Employee Benefits Cas. (BNA) 2598, 2006 U.S. App. LEXIS 21219, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-pressman-gutman-co-inc-employersponsor-of-the-pressman-gutman-ca1-2006.