Official Committee of Asbestos of G-I Holding, Inc. v. Heyman

306 B.R. 746, 51 Collier Bankr. Cas. 2d 1591, 2004 U.S. Dist. LEXIS 4242, 2004 WL 541847
CourtDistrict Court, S.D. New York
DecidedMarch 19, 2004
Docket01 Civ. 8539(RWS)
StatusPublished
Cited by11 cases

This text of 306 B.R. 746 (Official Committee of Asbestos of G-I Holding, Inc. v. Heyman) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Official Committee of Asbestos of G-I Holding, Inc. v. Heyman, 306 B.R. 746, 51 Collier Bankr. Cas. 2d 1591, 2004 U.S. Dist. LEXIS 4242, 2004 WL 541847 (S.D.N.Y. 2004).

Opinion

OPINION

SWEET, District Judge.

Defendant Samuel Heyman (“Heyman”) has moved pursuant to 28 U.S.C. § 1412, or in the alternative, pursuant to 28 U.S.C. § 1404(a), to transfer this action to the District of New Jersey. For the reasons set forth below, the motion is denied.

Parties

Plaintiff, the Official Committee of Asbestos Claimants of G-I Holdings, Inc. (the “Committee”), is a creditors committee appointed by the United States Trustee pursuant to 11 U.S.C. § 1102(a). The Committee is made up of persons who assert claims against G-I, as successor to GAF Corporation (“GAF”), by reason of personal injuries or wrongful death caused by asbestos-containing products.

Heyman is the former chairman and chief executive officer of GAF and is a citizen of the State of New York.

Prior Proceedings and Background

The facts discussed herein are discussed in greater detail in Official Committee of Asbestos Claimants of G-I Holding, Inc. v. Heyman, 01 Civ. 8539, 2003 WL 22790916 (S.D.N.Y. Nov. 25, 2003) (“Heyman II”) and Official Committee of Asbestos Claimants of G-I Holding, Inc. v. Heyman, 277 B.R. 20 (S.D.N.Y.2002) (“Heyman I”), familiarity with which is presumed.

This action, brought pursuant to 11 U.S.C. §§ 544(b) and 550(a) of the Bankruptcy Code, arises out of the Chapter 11 reorganization proceeding of G-I Holdings, Inc. (“G-I”) currently pending in the District of New Jersey, seeks to set aside an allegedly fraudulent transfer and to recover for breaches of fiduciary duty. GI filed for bankruptcy on January 5, 2001, as a result of a flood of personal injury and wrongful death claims.

*748 As of December 31, 1996, GAF was the top-tier holding company in a corporate group that contained two principal operating businesses: (1) ISP, a manufacturer of specialty chemicals and mineral products; and (2) Building Materials Corporation of America (“BMCA”), a manufacturer of roofing and building products. GAF was a privately held company at the time. It later merged with G-I.

The transactions challenged in this action took place in January 1997, when GAF owned 100% of a company named ISP Holding, Inc. (“ISPH”), which in turn owned approximately 83.5% of the ISP stock. The remaining ISP stock was publicly held.

With effect as of January 1, 1997, GAF distributed to GAF’s shareholders, for no consideration, 100% of the capital stock of ISPH (the transaction will be referred to as the “ISP Spinoff’). Heyman received approximately 96% of the shares, and the minority shareholders of GAF received the remaining 4%. At ISP’s closing price on December 31, 1996, the stock that GAF disposed of in the transfer was worth about $1 billion, $988,391,250 of which Heyman received directly or indirectly.

Before G-I filed for bankruptcy, individual creditors filed three different fraudulent transfer suits against Heyman in New York based on the spin-off of ISP. Two of these, Nettles v. Heyman, No. 00 Civ. 0035, filed January 3, 2000 and Stewart v. Heyman, filed on December 26, 2000, were filed by asbestos claimants in the Southern District of New York. 1 The third predecessor action, was filed in the Supreme Court for the County of New York on September 18, 2000 by the Center for Claims Resolution, Inc. (“CCR”), a consortium of asbestos defendants of which GAF was a former member. CCR v. Heyman, Index No. 604002/2000 (Sup.Ct.N.Y.County).

Heyman moved to dismiss the Committee’s complaint on December 13, 2001. This Court denied the motion on April 8, 2002. See Heyman I. The Legal Representative of Present and Future Holders of Asbestos-Related Demands (the “Legal Representative”) was granted leave to intervene pursuant to Fed.R.Civ.P. 24 on November 25, 2003. See Heyman II.

The Committee is simultaneously litigating another proceeding pending before the Honorable William G. Bassler in the District of New Jersey that also grows out of the G-I bankruptcy. In the action, styled G-I Holdings, Inc. v. Bennett, Civ. No. 02-2626(WGB) (D.N.J.) (filed Feb. 7, 2001) (the “BMCA Action”), G-I seeks a declaratory judgment that BMCA, its indirect subsidiary and sole operating company, has no liability for asbestos claims under any theory of successor liability or alter ego. Joined as defendants were seven individuals who had brought suit against BMCA in state court on theories of successor liability and alter ego.

The Committee moved on September 28, 2001 to intervene as a defendant and a counterclaimant. In October 2002, the Bank of New York intervened as a defendant to the Committee’s counterclaims. The Bank of New York is participating in the BMCA Action in a dual capacity, as a member and agent of a bank consortium that made $210 million in revolving credit facilities available to BMCA, and as indenture trustee for holders of approximately $560 million of notes publicly issued by BMCA. Of the several parties to the *749 BMCA Action, only the Committee is presently a party in the instant case.

The Committee’s counterclaims in the BMCA Action arise from a series of restructurings and financial transactions carried out between 1983, when Heyman acquired control of GAF as a conglomerate operating a chemicals business and a roofing business, and 2001, when G-I filed for bankruptcy. The focus of the litigation, according to the Committee, is a 1994 transaction in which GAF’s roofing subsidiary, which had assumed responsibility for 100% of GAF’s asbestos liability, created BMCA as its own subsidiary and transferred to it substantially all of the assets of the roofing business in exchange for BMCA’s promise to pay a percentage of the asbestos liabilities. This transaction purported to structurally subordinate the asbestos claimants in favor of the financial creditors of BMCA. The BMCA Action also concerns a transaction executed in December 2000, two weeks before G-I filed for bankruptcy, in which BMCA was refinanced on a basis that resulted in BMCA’s banks and noteholders receiving first and second liens, respectively, on all of its assets, which until then had been free of encumbrances.

According to the Committee, its goal in the BMCA Action is to establish that BMCA bore liability for the asbestos claims so that the refinancing may be challenged on behalf of the asbestos victims.

On May 13, 2003, Judge Bassler withdrew the reference of the BMCA Action from the bankruptcy court. See G-I Holdings, Inc. v. Bennett, 295 B.R. 211 (D.N.J.2003).

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306 B.R. 746, 51 Collier Bankr. Cas. 2d 1591, 2004 U.S. Dist. LEXIS 4242, 2004 WL 541847, Counsel Stack Legal Research, https://law.counselstack.com/opinion/official-committee-of-asbestos-of-g-i-holding-inc-v-heyman-nysd-2004.