Quattrone v. Superior Court

44 Cal. App. 3d 296, 118 Cal. Rptr. 548, 1975 Cal. App. LEXIS 931
CourtCalifornia Court of Appeal
DecidedJanuary 3, 1975
DocketCiv. 44881
StatusPublished
Cited by59 cases

This text of 44 Cal. App. 3d 296 (Quattrone v. Superior Court) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Quattrone v. Superior Court, 44 Cal. App. 3d 296, 118 Cal. Rptr. 548, 1975 Cal. App. LEXIS 931 (Cal. Ct. App. 1975).

Opinion

Opinion

POTTER, J.

This is a petition for writ of mandate pursuant to Code of Civil Procedure section 418.10, subdivision (c), to review respondent court’s denial of a motion to quash service of summons made by mail on a Pennsylvania resident. In its complaint for damages, real party in interest, Whittaker Corporation (hereinafter “Plaintiff”), a California corporation with its principal office in Los Angeles, alleged a conspiracy among petitioner Philip P. Quattrone (hereinafter “Defendant”), three other named conspirators and numerous Does to defraud Plaintiff by submitting to it falsified financial records relating to the operations of Crown Aluminum Industries Corp. (hereinafter “Crown”), a Pennsylvania-based subsidiary of Plaintiff. Crown, acquired by Plaintiff in 1967 under an “Acquisition Agreement and Plan of Reorganization,” had continued to operate under its existing management pursuant to a supplemental agreement covering “Conduct of Business After Closing.”

*299 The acquisition agreement provided for the exchange of Crown shares for shares of Plaintiff issued for such purpose under either of two options at the election of the Crown shareholders. One option under which 12.1 shares of Crown were exchanged for 1 share of Plaintiff included participation in a “Reserve Stock A Performance Program” under which additional shares of Plaintiff’s stock would be issued by Plaintiff, based upon the profit performance of Crown during a two-year period following closing. Fraudulent financial records of Crown’s operations allegedly supplied to Plaintiff by the conspirators caused it to issue 18,607 shares of its common stock in 1969 which were not properly issuable in view of the true profit experienced by Crown.

Other injury allegedly incurred by Plaintiff as a result of the conspiracy and the continued submission of false financial information through 1972 included that resulting from contribution of additional capital based upon assumed earning capacity and loss of a beneficial contract to sell Crown when the true facts were discovered, bringing the total damage alleged to $11,000,000.

The other named defendants answered; Defendant made a timely motion under Code of Civil Procedure section 418.10 to quash service of summons on the ground of lack of jurisdiction of the court over him, and to dismiss the action on the ground of inconvenient forum.

In support of the motions, Defendant filed his affidavit comprising two pages. This affidavit stated that from August 1, 1963 to February 1, 1972, Defendant worked for Crown in Pittsburgh, Pennsylvania, and lived in that area, and that his only activities outside Pennsylvania were occasional visits to the company’s plant in Roxboro, North Carolina. Defendant further averred that after the acquisition agreement went into effect, he was “asked to be acting controllér of Crown” but was never asked to be or elected an officer either of Crown or of Plaintiff. Defendant stated his present employment was in a small accounting business in Pennsylvania, where he remained a registered voter. He denied (1) doing any business in the State of California, (2) receiving any income from California corporations or businesses, and (3) having solicited any clients in California.

In response to Defendant’s motion, Plaintiff submitted two declarations. The declaration of Albert A. Murphy, who made an operational audit of Crown in 1972, detailed an interview with Defendant in which Defendant allegedly said that he had been responsible for the prepara *300 tion of financial reports relating to Crown from 1968 to 1972, and that he had participated in the preparation and submission of deceptive financial reports designed to “cover” inventory shortages apparent from Crown’s primary records in 1969, 1970 and 1971. The other declaration was that of Harry S. Derbyshire, Plaintiff’s senior vice-president and, since 1967, chief financial officer. It explained Defendant’s relationship to the so-called “Reserve Stock A Performance Program” under the acquisition agreement. Derbyshire stated that Defendant was one of the former Crown shareholders who elected to participate in said program and thereby to receive additional reserve shares based upon the profitability of Crown for the two fiscal years ending October 31, 1969. He further stated that “[i]n direct reliance upon the fraudulent financial information prepared by Crown employees, Whittaker issued 27,663 ‘reserve’ shares to participating shareholders,” that “[h]ad the true results of Crown’s operation been reported, only 9,056 ‘reserve’ shares would have been issued,” and that the market value of Plaintiff’s stock in 1969 was $24,875 per share. Derbyshire’s declaration also averred in general terms that Plaintiff infused additional capital into Crown’s operations on the basis of the false financial reporting and that a 1972 proposed sale of Crown’s assets and business to a third party was rescinded by such third party when a Price Waterhouse audit disclosed an inventory shortage of approximately $6,000,000 (excess of book inventory over physical inventory).

Defendant’s motions to quash and to dismiss were heard on August 21, 1974, and on that date both motions were denied. Notice of entry of said order was waived. Thereafter, on September 4, 1974, Defendant filed with this court his petition for writ of mandate. This was one day beyond the 10-day period within which Defendant was permitted to petition this court for a writ of mandate. (Code Civ. Proc., § 418.10, subd. (b).) The last day for filing was Tuesday, September 3, 1974, inasmuch as the tenth day fell on Saturday, August 31, 1974, and Monday was Labor Day. An examination of the superior court file reveals that no extension was granted by that court. 1 In the absence of knowledge of this fact, the clerk of this court filed the petition and this court granted the alternative writ. When the superior court file revealed the absence of an extension, this court informed Defendant that a showing under Code of Civil Procedure section 473 was required, establishing that the late filing was the result of inadvertence or excusable neglect.

*301 The declaration of counsel for Defendant was thereafter filed and stated that the petition was mailed for filing from San Francisco, California, on Friday, August 30, 1974, and that counsel, on the basis of prior experience in mailing matters between San Francisco and Los Angeles, believed it was reasonable to expect that it would arrive and be filed not later than Tuesday, September 3d. Counsel’s declaration further stated that if this court had declined to file the petition or had summarily denied the application on the ground of late filing, he would have petitioned the superior court for an extension.

Under such circumstances, this court is authorized to grant relief from default under equitable principles or under section 473 of the Code of Civil Procedure. (Cornell University Medical College v. Superior Court, 38 Cal.App.3d 311, 315 [113 Cal.Rptr. 291].)

We are not disposed to affirm the reasonableness of counsel’s assumption that mail posted in San Francisco on Friday will be delivered in Los Angeles the first business day of the following week.

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

Related

David L. v. Superior Court
California Court of Appeal, 2018
David L. v. Superior Court of San Diego Cnty.
240 Cal. Rptr. 3d 462 (California Court of Appeals, 5th District, 2018)
Hogue v. Hogue
California Court of Appeal, 2017
Hogue v. Hogue
224 Cal. Rptr. 3d 651 (California Court of Appeals, 5th District, 2017)
Nash v. Vincent CA1/2
California Court of Appeal, 2014
HealthMarkets, Inc. v. Superior Court of Los Angeles County
171 Cal. App. 4th 1160 (California Court of Appeal, 2009)
Pavlovich v. Superior Court
58 P.3d 2 (California Supreme Court, 2002)
Yu v. Signet Bank/Virginia
82 Cal. Rptr. 2d 304 (California Court of Appeal, 1999)
As You Sow v. Crawford Laboratories, Inc.
50 Cal. App. 4th 1859 (California Court of Appeal, 1996)
Mansour v. Superior Court
38 Cal. App. 4th 1750 (California Court of Appeal, 1995)
Jamshid-Negad v. Kessler
15 Cal. App. 4th 1704 (California Court of Appeal, 1993)
Brannick v. Genova, No. 094398 (Jan. 24, 1991)
1991 Conn. Super. Ct. 112 (Connecticut Superior Court, 1991)
Seagate Technology v. A.J. Kogyo Company
219 Cal. App. 3d 696 (California Court of Appeal, 1990)
Wolfe v. City of Alexandria
217 Cal. App. 3d 541 (California Court of Appeal, 1990)
Magnecomp Corp. v. Athene Co.
209 Cal. App. 3d 526 (California Court of Appeal, 1989)
Silverman v. Superior Court
203 Cal. App. 3d 145 (California Court of Appeal, 1988)
Farris v. Capt. J. B. Fronapfel Co.
182 Cal. App. 3d 982 (California Court of Appeal, 1986)
Rice Growers Assn. v. First National Bank
167 Cal. App. 3d 559 (California Court of Appeal, 1985)
California Overseas Bank v. French American Banking Corp.
154 Cal. App. 3d 179 (California Court of Appeal, 1984)
Heilig v. Superior Court
149 Cal. App. 3d 978 (California Court of Appeal, 1983)

Cite This Page — Counsel Stack

Bluebook (online)
44 Cal. App. 3d 296, 118 Cal. Rptr. 548, 1975 Cal. App. LEXIS 931, Counsel Stack Legal Research, https://law.counselstack.com/opinion/quattrone-v-superior-court-calctapp-1975.