Metropolitan Christian Methodist Episcopal Church v. Frank Vann, Barnabas Investors,Inc., John Ottinger, Jr., Senior Housing Services, Inc., Cornerstone Capital Advisors, Inc. and George Dixon, as the Personal Representative of the Estate of Cecil Brooks

CourtCourt of Appeals of Texas
DecidedMay 9, 2013
Docket01-12-00332-CV
StatusPublished

This text of Metropolitan Christian Methodist Episcopal Church v. Frank Vann, Barnabas Investors,Inc., John Ottinger, Jr., Senior Housing Services, Inc., Cornerstone Capital Advisors, Inc. and George Dixon, as the Personal Representative of the Estate of Cecil Brooks (Metropolitan Christian Methodist Episcopal Church v. Frank Vann, Barnabas Investors,Inc., John Ottinger, Jr., Senior Housing Services, Inc., Cornerstone Capital Advisors, Inc. and George Dixon, as the Personal Representative of the Estate of Cecil Brooks) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Metropolitan Christian Methodist Episcopal Church v. Frank Vann, Barnabas Investors,Inc., John Ottinger, Jr., Senior Housing Services, Inc., Cornerstone Capital Advisors, Inc. and George Dixon, as the Personal Representative of the Estate of Cecil Brooks, (Tex. Ct. App. 2013).

Opinion

Opinion issued May 9, 2013.

In The

Court of Appeals For The

First District of Texas ———————————— NO. 01-12-00332-CV ——————————— METROPOLITAN CHRISTIAN METHODIST EPISCOPAL CHURCH, Appellant V. FRANK VANN, BARNABAS INVESTORS, INC., JOHN OTTINGER, JR., SENIOR HOUSING SERVICES, INC., CORNERSTONE CAPITAL ADVISORS, INC. AND GEORGE DIXON, AS THE PERSONAL REPRESENTATIVE OF THE ESTATE OF CECIL BROOKS, Appellees

On Appeal from the 157th District Court Harris County, Texas Trial Court Case No. 2008-41574

MEMORANDUM OPINION

Metropolitan Christian Methodist Episcopal Church appeals from the trial

court’s rendition of summary judgment in favor of appellees Frank Vann, Barnabas Investors, Inc., John Ottinger, Jr., Senior Housing Services, Inc., and Cornerstone

Capital Advisors, Inc., and from the dismissal for want of personal jurisdiction of

George Dixon, the personal representative of the Estate of Cecil Brooks. The

Church sued the appellees for fraud, breach of contract, and several other theories

related to a plan to form an HMO for the Church to provide healthcare for its

members. The Church secured funding for the plan by mortgaging its real property

to Cornerstone Ministries, Inc., an entity related to the corporate appellees, which

is not a party to this proceeding. The trial court dismissed Dixon for want of

personal jurisdiction and rendered summary judgment in favor of the other

appellees. We affirm.

Background

A. Factual Background

Cecil Brooks and John T. Ottinger Jr. founded Cornerstone Ministries

Investment, Inc. (CMI), a for-profit company that loaned money to faith-based

businesses and institutions. Brooks and Ottinger served as employees, officers,

and directors of CMI from its founding, and—Brooks in particular—controlled

CMI and several affiliated businesses.

In 2003, Dr. Benjamin Woods of Universal Healthcare Integrated, Inc.

(UHI) approached Cecil Brooks. Woods proposed that he and UHI start an HMO

for low-income families through churches and other community organizations.

2 Brooks contacted Nick Howard, the president of Senior Housing Services (SHS),

to bring SHS on as an investor. SHS provided “seed money” to UHI to explore the

HMO business. Barnabas Investors, Inc. was formed—with Howard as its

president—to be the investment company that would found and manage the HMOs

under UHI and Woods’s direction.

Later that year, CMI held a meeting in Houston to attract investors. As an

incentive for churches to invest, it represented that, in addition to church members

being able to utilize the HMO, a portion of the profits would be returned to

participating churches for enhancing various church ministries and programs.

Wallace Lockett, the Church’s pastor, orally committed the Church to participate.

The following summer, Brooks contacted Lockett to obtain the Church’s

investment. Brooks arranged for CMI to loan money for the investment to the

Church. The loan was secured by a deed of trust on real property owned by the

Church. The proceeds of the loan were invested with Barnabas. Lockett averred

that Brooks assured him that the Church would not have to make any payments on

the loan and that, after a year, i.e., in 2005, the deed of trust on the property would

be released.

Brooks utilized another of his and Ottinger’s companies, Cornerstone

Capital Advisors, Inc., to provide office and payroll functions for CMI and

Barnabas. After receiving the Church’s funds, Barnabas—acting through CCA—

3 repaid SHS and UHI for their investments in Barnabas. The Church alleges that

Frank Vann, an employee of CCA and of CMI, is the person who made or

authorized the transfers to SHS and UHI.

CMI did not release the lien on the Church’s property in 2005. Instead,

CMI filed for bankruptcy. When it did, Lockett hired an attorney to protect the

Church’s interest in the real property that secured the note. Later, in an adversarial

proceeding in CMI’s bankruptcy, the Church was sued over the unpaid balance on

the note.

B. Procedural Background

The Church sued Brooks, CCA, SHS, Barnabas, Ottinger, Howard, Vann,

UHI, and Dr. Woods (and two other individuals affiliated with UHI). Brooks

passed away, and the Church substituted George B. Dixon Jr. as the personal

representative of Brooks’s estate. The only parties to this appeal are: (1) Dixon;

(2) Barnabas, CCA, SHS, and Ottinger (hereafter, collectively “Barnabas”); and

(3) Vann.

In its live pleading, the Church asserted claims for breach of contract, fraud,

violations of the Securities Act of 1933, unjust enrichment, negligence, violations

of the Deceptive Trade Practices Act, and violation of the Insurance Code.

Barnabas removed the case to federal court on the basis of diversity jurisdiction,

and Dixon was served in the federal suit. While in federal court, Dixon sought

4 dismissal for want of personal jurisdiction. The federal court granted Dixon’s

motion. Following Dixon’s dismissal, the federal court determined that it lacked

subject matter jurisdiction and remanded the case.

CMI initiated an adversarial claim in the bankruptcy proceeding, seeking the

unpaid balance of the loan to the Church. The state trial court determined that the

outcome of the adversarial proceeding would affect this case and, accordingly,

stayed this case pending the resolution of adversarial proceeding. Later, the

Church moved to lift the stay, asserting that the adversarial proceeding had

concluded with an agreed dismissal with prejudice of all claims and counterclaims

and the Church receiving a release of the lien on its property.

Barnabas moved for summary judgment. It filed a no-evidence motion,

asserting that the Church could provide no evidence of damages, an essential

element of each of it claims, because it had received a release of lien and CMI had

dismissed its claim for the loan balance with prejudice. The Church responded, but

did not provide any evidence with its response. The trial court initially granted

summary judgment for Barnabas and for Vann. Twenty-eight days later, the

Church filed a motion for reconsideration and attached evidence. The trial court

entered a new order, clarifying that the prior summary judgment did not cover

Vann and that, because it did not dispose of the claims against Vann, it was an

interlocutory order.

5 Vann moved for summary judgment on both traditional and no-evidence

grounds. In the no-evidence portion of his motion, Vann identified each element

of every cause of action asserted by the Church—except for the Insurance Code

claim—and asserted the Church had no evidence of any. In his traditional motion

for summary judgment, Vann argued that the alleged Insurance Code violation was

not actionable as a matter of law. Vann also sought sanctions against the Church.

In its final order, the trial court granted Vann’s motion for summary

judgment, but expressly denied Vann’s request for sanctions. The trial court

severed the claims against the UHI defendants, and thus rendered a final judgment.

The Church appealed, challenging each of the summary judgments and the

dismissal of Dixon for lack of personal jurisdiction.

Federal Court’s Dismissal of Dixon for Lack of Personal Jurisdiction

In its first and second issues, the Church contends that the federal district

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

Related

Baldwin v. Iowa State Traveling Men's Assn.
283 U.S. 522 (Supreme Court, 1931)
Ruhrgas Ag v. Marathon Oil Co.
526 U.S. 574 (Supreme Court, 1999)
Brooks v. Northglen Ass'n
141 S.W.3d 158 (Texas Supreme Court, 2004)
MacK Trucks, Inc. v. Tamez
206 S.W.3d 572 (Texas Supreme Court, 2006)
In Re Department of Family & Protective Services
273 S.W.3d 637 (Texas Supreme Court, 2009)
Speck v. FIRST EVANGE. LUTH. CHURCH OF HOUSTON
235 S.W.3d 811 (Court of Appeals of Texas, 2007)
Mensa-Wilmot v. Smith International, Inc.
312 S.W.3d 771 (Court of Appeals of Texas, 2009)
Taylor v. Sunbelt Management, Inc.
905 S.W.2d 743 (Court of Appeals of Texas, 1995)
City of Houston v. Clear Creek Basin Authority
589 S.W.2d 671 (Texas Supreme Court, 1979)
Landers v. State Farm Lloyds
257 S.W.3d 740 (Court of Appeals of Texas, 2008)
Dean v. Lafayette Place (Section One) Council of Co-Owners, Inc.
999 S.W.2d 814 (Court of Appeals of Texas, 1999)
Lubbock County v. Trammel's Bail Bonds
80 S.W.3d 580 (Texas Supreme Court, 2002)
McCoy v. Rogers
240 S.W.3d 267 (Court of Appeals of Texas, 2007)
Imkie v. Methodist Hospital
326 S.W.3d 339 (Court of Appeals of Texas, 2010)
Ellis v. Precision Engine Rebuilders, Inc.
68 S.W.3d 894 (Court of Appeals of Texas, 2002)
INA of Texas v. Bryant
686 S.W.2d 614 (Texas Supreme Court, 1985)
Vawter v. Garvey
786 S.W.2d 263 (Texas Supreme Court, 1990)
Benchmark Bank v. Crowder
919 S.W.2d 657 (Texas Supreme Court, 1996)
Texas National Bank v. Karnes
717 S.W.2d 901 (Texas Supreme Court, 1986)
Star-Telegram, Inc. v. Doe
915 S.W.2d 471 (Texas Supreme Court, 1996)

Cite This Page — Counsel Stack

Bluebook (online)
Metropolitan Christian Methodist Episcopal Church v. Frank Vann, Barnabas Investors,Inc., John Ottinger, Jr., Senior Housing Services, Inc., Cornerstone Capital Advisors, Inc. and George Dixon, as the Personal Representative of the Estate of Cecil Brooks, Counsel Stack Legal Research, https://law.counselstack.com/opinion/metropolitan-christian-methodist-episcopal-church-v-frank-vann-barnabas-texapp-2013.