Mobil Oil Corporation v. Killian

301 A.2d 562, 30 Conn. Super. Ct. 87, 30 Conn. Supp. 87, 1973 Conn. Super. LEXIS 157
CourtConnecticut Superior Court
DecidedFebruary 8, 1973
DocketFile 179115
StatusPublished
Cited by7 cases

This text of 301 A.2d 562 (Mobil Oil Corporation v. Killian) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mobil Oil Corporation v. Killian, 301 A.2d 562, 30 Conn. Super. Ct. 87, 30 Conn. Supp. 87, 1973 Conn. Super. LEXIS 157 (Colo. Ct. App. 1973).

Opinion

Saden, J.

The plaintiff, Mobil Oil Corporation, has instituted this action to quash a subpoena duces tecum issued by the attorney general to obtain certain documentary information under chapter 624 of the General Statutes, the “Connecticut Anti-Trust Act” (§§35-24 — 35-44), in connection with Mobil’s gasoline business in the state of Connecticut. The subpoena is set forth in footnote 1.

Mobil asserts the following reasons to quash: (1) The subpoena does not sufficiently “state the nature of the alleged violation” as required by *89 § 35-42 but merely uses eonelusory language alleging a conspiracy to control gasoline prices in Connecticut; (2) it fails to llave an “affidavit or recitation” that the attorney general has reason to believe Mobil has violated §§35-24 to 35-43; (3) it is defective in paragraphs 1, 3, 4, 5, 9, 10, 11, and 12 for failure to describe the documentary material sought with definiteness and certainty so as to be accurately identified pursuant to § 35-42; instead, it improperly seeks by interrogatories to have Mobil extract and correlate information from its records and compile *90 and supply lists and schedules which do not exist except as to paragraphs 3 and 4, where there are lists for a portion of Connecticut; (4) it is not limited to Connecticut but makes demands without geographic limitation, except for paragraph 9, without showing any relevancy to any alleged violation of Connecticut law; (5) it is an unreasonable search and seizure in violation of the fourth amendment to the United States constitution and article first, § 7, of the Connecticut constitution; (6) it is intended by the attorney general to gather information to form the basis of a federal antitrust suit to be brought by him and the attorneys general of other *91 states against various oil companies, a use not authorized by § 35-42 and in violation of § 35-42 (c); (7) it is illegal because chapter 624 violates the separation of judicial and executive powers under the Connecticut constitution, because although denominated a “civil” statute it is in fact a criminal statute whose enforcement properly should be in the hands of the judicial branch through the state’s attorney and not the executive branch through the attorney general.

The court will address itself to each of the seven numbered claims set forth above.

(1) A substantial portion of the Connecticut AntiTrust Act is modeled, with some changes, after the federal Antitrust Civil Process Act of 1962, set forth in 15 U.S.C. §§1311-1314 (1970). General Statutes § 35-42 (b) requires the subpoena to “state the nature of the alleged violation.” Here, the nature of the alleged violation is described as an “alleged conspiracy for the purpose of, or having the effect of, fixing, controlling, or maintaining prices and rates in the distribution and sale of gasoline” in Connecticut.

At first blush, Mobil’s claim might seem superficially to have some validity. The short and terse statement describing the alleged violation does not specify the particular offense or offenses under investigation. But reflection convinces that the nature of the conduct must be stated in general terms. The whole purpose of the statute is to enable the attorney general to determine whether there has been a violation and then to frame a civil complaint based upon information obtained through the subpoena. To ask that the attorney general specify in advance the exact nature of Mobil’s conduct which is prohibited by law is to require him to know in advance what he cannot know until the investigation is com *92 pleted. As stated in Petition of Gold Bond Stamp Co., 221 F. Sup. 391, 397, aff’d, 325 F.2d 1018, dealing with the identical attack under the federal act, “ [n] ecessarily, therefore, the nature of the conduct must be stated in general terms. To insist upon too much specificity with regard to the requirement of this section would defeat the purpose of the Act, and an overly strict interpretation of this section would only breed litigation and encourage everyone investigated to challenge the sufficiency of the notice. . . . The test, however, must be whether the statement in the demand as to the nature of the conduct under investigation is sufficient to inform adequately the person investigated and sufficient to determine the relevancy of the documents demanded for inspection.” We need only add that one would have to assume a naivete on the part of Mobil of astounding proportions for the court to believe that the above description of the nature of the alleged violation does not suffice to inform Mobil that an alleged claim of price fixing or control of gasoline prices is the reason for the investigation.

The Connecticut statute must be interpreted liberally in view of all the circumstances, and so interpreted the description of the nature of the alleged offense here is sufficient compliance with the law.

The court therefore must reject Mobil’s claim as to (1) above.

(2) The court must also reject (2) of Mobil’s claims. Nothing in chapter 624 requires “an affidavit or recitation” that the attorney general has reason to believe Mobil has violated the statute. Unless established to the contrary, the very issuance of the subpoena under the statute clearly implies “reason to believe” a violation has occurred. § 35-42. Further recitation would serve no useful purpose.

*93 (3) Here Mobil asserts a lack of certainty in the subpoena’s description of documentary material sought and the impropriety of requiring it to extract and correlate information, and to prepare lists which do not exist except in part under paragraphs 3 and 4 of the subpoena.

The subpoena under “Definitions” sets forth some of its parameters and describes gmong them “list.” The federal act defines “documentary material” as any “record.” 15 U.S.C. §1311 (1970). While our statute does not specifically define the phrase, the court can see no reason why the word “list” or the words “documentary material” should not be read to include records in whatever form they may exist without requiring Mobil to prepare lists which they do not normally keep in the normal course of business. Thus, where in paragraph 5 of the subpoena reference is to a list of dealers who sought or were refused “dealer aid,” if no such lists exist, the information may be supplied in whatever documentary or record form it may appear in Mobil’s files, such as, for example, correspondence. No specially prepared list need be produced at the behest of the subpoena. The same is true of paragraphs 9,10,11, and 12 of the subpoena.

The same attack made here by Mobil was put forth and rejected in Material Handling Institute, Inc. v. McLaren, 426 F.2d 90, 92.

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Bluebook (online)
301 A.2d 562, 30 Conn. Super. Ct. 87, 30 Conn. Supp. 87, 1973 Conn. Super. LEXIS 157, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mobil-oil-corporation-v-killian-connsuperct-1973.