McVey v. Johnson (In re SBMC Healthcare, LLC)

519 B.R. 172, 2014 Bankr. LEXIS 4043
CourtUnited States Bankruptcy Court, S.D. Texas
DecidedSeptember 18, 2014
DocketBankruptcy No. 12-33299; Adversary No. 14-03126
StatusPublished
Cited by8 cases

This text of 519 B.R. 172 (McVey v. Johnson (In re SBMC Healthcare, LLC)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, S.D. Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
McVey v. Johnson (In re SBMC Healthcare, LLC), 519 B.R. 172, 2014 Bankr. LEXIS 4043 (Tex. 2014).

Opinion

MEMORANDUM OPINION REGARDING DEFENDANTS’ MOTION TO DISMISS, THE TRUST’S MOTION TO INTERVENE, AND PLAINTIFFS’ MOTION FOR REMAND

[Relates to Adv. Doc. Nos. 8, 10 & 14]

JEFF BOHM, Chief Judge.

I. Introduction

Marty McVey (McVey) and McVey & Co. Investments, LLC (MCI) (collectively, Plaintiffs) sued attorney Millard A. Johnson (Johnson) and Johnson Deluca Kurisky & Gould (JDKG) (collectively, Defendants) for malpractice, breach of fiduciary duty, and violation of the Texas Deceptive Trade Practices Act (DTPA) in Harris County District Court (the State Court Lawsuit). [Adv. Doc. No. 21-6]. The state court [176]*176complaint (the Complaint) alleges that Defendants negligently advised McVey to file a Chapter 11 petition on behalf of SBMC Healthcare, LLC (SBMC or Debtor). [Id.]. Defendants initiated an adversary proceeding (the Adversary Proceeding) to remove the State Court Lawsuit to this bankruptcy court on April 21, 2014. [Adv. Doc. No.. 1]. Pending before the Court are Defendants’ motion to dismiss (Motion to Dismiss), the SBMC Liquidating Trust’s motion to intervene (Motion to Intervene), and Plaintiffs’ motion for remand (Motion for Remand). [Adv. Doc. Nos. 8,10, & 14],

The Motion to Dismiss asserts that the State Court Lawsuit fails to state a claim upon which relief may be granted because the SBMC Liquidating Trust (as the as-signee of the assets of the Debtor’s estate), rather than Plaintiffs, owns the causes of action asserted therein. [Adv. Doc. No. 8]. The Motion to Intervene contends that the SBMC Liquidating Trust, as assignee of all causes of the Debtor, has ownership over the State Court Lawsuit causes of action removed to this Court and that therefore the Trust should be allowed to intervene as a party-plaintiff. [Adv. Doc. No. 10]. The Motion for Remand requests that this Court remand the causes of action to state court because the Adversary Proceeding involves claims that are not “related to” bankruptcy. [Adv. Doc. No. 14].

The Court now makes the following Findings of Fact and Conclusions of Law under Federal Rule of Civil Procedure 52, as incorporated by Federal Rule of Bankruptcy Procedure 7052.1 To the extent that any Finding of Fact is construed to be a Conclusion of Law, it is adopted as such. The Court reserves the right to make any additional Findings and Conclusions as may be necessary or as requested by any party.

II. Findings of Fact

Based upon the testimony adduced at the hearings on June 4, 2014 and June 12, 2014, exhibits introduced at these hearings, the pleadings on file, and the docket sheets in both the Main Case and the Adversary Proceeding, the undersigned judge makes the following Findings of Fact:

1. Harborcove Financial LLC (Harbor-cove) filed a lawsuit (the Harborcove Lawsuit) against SBMC to collect on a loan obligation that SBMC had pledged and that McVey, as president of SBMC, had personally guaranteed. [Adv. Doc. No. 21-6, p. 3]. Defendants agreed to represent Plaintiffs, in addition to SBMC, in the Harbor-cove Lawsuit. [7dL] Defendants had a previous attorney-client relationship with SBMC and Plaintiffs. [Id.]; [Pl.[s’] Ex. for Hearing Q2 & Q9].

2. On May 30, 2013, SBMC filed a voluntary Chapter 11 petition (the Petition Date). [Main Case Doc. No. 1]. As of the Petition Date, McVey was the president of, and 100% equity owner in, SBMC. [Adv. Doc. No. 21-6, p. 3], Defendants represented SBMC in its Chapter 11 case. [Main Case Doc. No. 1].

3. On April 4, 2013, the Court confirmed the Debtor’s Chapter 11 plan filed jointly by the Debtor and the Creditors’ Committee (the Plan) and docketed an order confirming the plan (the Confirmation Order). [Main Case Doc. No. 1080]. The Plan, as confirmed, created a liquidating trust [177]*177(SBMC Liquidating Trust or the Trust) to liquidate the Debtor’s assets. [Main Case Doc. Nos. 1054-1 & 1080].

4. On March 10, 2014, Plaintiffs filed the State Court Lawsuit against Defendants for malpractice, breach of fiduciary duty, and violation of the DTPA. [Adv. Doc. No. 10, p. 3]. The Complaint alleges that Defendants negligently advised McVey, as president and sole shareholder of SBMC, to file a Chapter 11 petition for SBMC. [Id.].

5. On April 21, 2014, Defendants initiated the Adversary Proceeding by removing the State Court Lawsuit to this bankruptcy court. [Adv. Doc. No. 1], Removal was pursuant to 28 U.S.C. § 1452, Federal Rule of Bankruptcy Procedure 9027, and Bankruptcy Local Rule 9027-1. [Id.].

6. On April 25, 2014, Defendants filed the Motion to Dismiss. [Adv. Doc. No. 8]. Defendants argue that dismissal is appropriate because Plaintiffs lack standing to assert the causes of action in the Complaint as they are derivative of the Debtor’s estate. [Id.].

7. On April 29, 2014, the SBMC Liquidating Trust filed the Motion to Intervene, which contends that the Trust, as owner, successor-in-interest, and holder of all causes of action of the Debtor, former debtor-in-possession, has ownership of the State Court Lawsuit causes of action. [Adv. Doc. No. 10].

8. On May 8, 2014, Plaintiffs filed the Motion for Remand, which asserts that this Court must remand the causes of action to state court for lack of subject matter jurisdiction, or, alternatively, the Court should manda-torily or permissively abstain from hearing the dispute. [Adv. Doc. No. 14].

9. On June 4, 2014 and June 12, 2014, this Court held hearings on the Motion to Dismiss, the Motion to Intervene, and the Motion for Remand. [Adv. Doc. Nos. 28 & 43],

10. On June 12, 2014, this Court took the matters presented in the Motions under advisement. [Adv. Doc. No. 42].

III. Conclusions of Law

A. Jurisdiction, Venue, and Constitutional Authority to Enter a Final Order

1. Jurisdiction

The Plaintiffs contend that this Court does not have jurisdiction to adjudicate the Adversary Proceeding. [Finding of Fact No. 8]. The Defendants and the Trust contend that this Court does have jurisdiction to adjudicate the Adversary Proceeding. [Finding of Fact No. 6]. Whether this Court has jurisdiction over the claims set forth in the Adversary Proceeding is determined by interpreting an exculpatory provision in the Plan, as approved by the Confirmation Order. This Court has jurisdiction to interpret and enforce its own orders. Indeed, a bankruptcy court’s original core jurisdiction continues in order for it to enforce its orders, even after the case has been closed. In re U.S. Brass Corp., 301 F.3d 296, 304 (5th Cir.2002); New Nat. Gypsum Co. v. Nat. Gypsum Co. Settlement Trust (In re Nat’l Gypsum Co.), 219 F.3d 478

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Bluebook (online)
519 B.R. 172, 2014 Bankr. LEXIS 4043, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mcvey-v-johnson-in-re-sbmc-healthcare-llc-txsb-2014.