Rogen v. Memry Corp.

886 F. Supp. 393, 1995 U.S. Dist. LEXIS 7123, 1995 WL 319080
CourtDistrict Court, S.D. New York
DecidedMay 23, 1995
Docket92 Civ. 6926
StatusPublished
Cited by11 cases

This text of 886 F. Supp. 393 (Rogen v. Memry Corp.) 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
Rogen v. Memry Corp., 886 F. Supp. 393, 1995 U.S. Dist. LEXIS 7123, 1995 WL 319080 (S.D.N.Y. 1995).

Opinion

OPINION

BATTS, District Judge:

Plaintiff, Neil E. Rogen, brings this action for breach of employment contract. Defendant, Memry Corporation (“Memry”), has moved for summary judgment pursuant to Fed.R.Civ.P. 56. This motion requires the Court to determine the applicability of a forum selection clause contained in the employment agreement. For the reasons set forth below, summary judgment is granted.

BACKGROUND

Memry, a Delaware corporation with its principal place of business in Brookfield, Connecticut, was founded by Rogen in November 1981. 1

In November 1983, Rogen became the Chief Executive Officer of Memry. He entered into a five-year employment contract (“Agreement”) with Memry at this time. The Agreement included a termination clause providing, in pertinent part:

4.3 Nothing contained herein shall preclude [Memry] from terminating this Agreement for cause, in which case [Memry] shall not have any further obligation to [Rogen] other than for the payment of accrued but unpaid regular compensation due to [Rogen] hereunder. The term “cause” as used herein shall mean actions and inactions by [Rogen] involving material fraud, material intentional dishonesty or material breach, after reasonable notice of opportunity to cure, of the terms of this Agreement.

In addition, the Agreement contained the following forum selection clause:

*394 8.1 This Agreement shall be governed by and construed and enforced in accordance with the local laws of the State of New York applicable to agreements made and to be performed entirely in New York. The legal tribunals of the State of New York shall be the sole forum for resolving any claim, action or demand arising out of or pertaining to this Agreement.

In February 1984, Memry retained A.T. Brod & Co. (“Brod”) to underwrite an initial public offering of its securities. On April 25, 1984, Memry filed a registration statement with the Securities and Exchange Commission (“SEC”) in connection with the planned public offering. For unexplained reasons, near the end of the underwriting process, Brod ceased its involvement with the Memry public offering. Later in 1984, a Brod employee, AMyoshi Yamada (“Yamada”), introduced Rogen to Pericles Constantinou (“Constantinou”) as a person who could locate another underwriter. Constantinou introduced Memry to Securities First, Inc. (“Securities First”). Securities First agreed to underwrite the public offering. Memry, through Rogen, executed a letter of intent with Securities First in September 1984, and in November 1984, Memry and Securities First executed an underwriting agreement.

In addition, Constantinou arranged for Consulcor, Inc. (“Consulcor”) to provide Memry with a $150,000 bridge loan to finance Memry’s operations until the public offering closed. According to the agreement, Consul-cor would loan Memry $50,000 immediately, $50,000 in December 1984 and the final $50,-000 in February 1985. 2

Constantinou did not limit his involvement to merely introducing Memry to Securities First and Consulcor. With the aid of Securities First broker Joseph Tavormina, Constantinou purchased Memry shares in his own name and in that of entities and nominees that he controlled. In addition, Tavormina sold much of the remaining shares to specific investors and stockbrokers, at Constantinou’s direction.

Memry’s registration statement became effective on November 9, 1984. Memry also distributed a prospectus to actual and prospective purchasers of its shares. On November 28, 1984, Rogen delivered stock certificates for 240,000 of his own shares to Constantinou. He transferred a stock power dated May 1, 1985, to Constantinou for those stock certificates. Rogen did not amend the Memry registration statement and prospectus in order to disclose the transfer to Constantinou of the 240,000 shares.

In August 1986, the SEC commenced an investigation into the aftermarket trading of Memry stock and the accuracy of certain Memry press releases issued from November 4, 1985 to August 19, 1986. 3 Thereafter, Memry retained the law firm of Obermaier, Morvillo & Abramowitz (“OM & A”) to conduct an internal investigation regarding matters investigated by the SEC. In September 1986, Rogen informed the Memry board and OM & A about the transfer of the stock certificates for 240,000 shares to Constantinou. On October 2,1986, Memry terminated the Agreement for “cause” and removed Rogen from his positions as Chief Executive Officer and Chairman of the Board. Memry cited Rogen’s role in the allegedly misleading press releases, and his undisclosed transfer of stock certificates to Constantinou as the reasons for termination.

In October of 1986, Rogen demanded that Memry indemnify him for legal expenses arising out of the SEC investigation and various actions commenced against Memry and Rogen by certain shareholders. See, e.g., Garfinkel v. Memory Metals, Inc., 695 F.Supp. 1397 (D.Conn.1988). After completing the internal investigation by OM & A, Memry decided not to indemnify Rogen. It cited, inter alia, Rogen’s failure to cooperate fully with the OM & A investigation as a reason for their refusal to indemnify.

*395 The SEC commenced a civil action against Rogen in March 1991, Securities and Exchange Comm’n v. Rogen, No. 91-Civ-1822 (S.D.N.Y.). The SEC alleged, inter alia, that Rogen had violated § 17(a) of the Securities Act of 1933 and § 10(b) of the Securities and Exchange Act of 1934 by transferring stock to Constantinou and committing insider trading. Rogen entered a consent decree with the SEC in March 1992. Pursuant to the decree, the final judgment enjoined Rogen from serving as an officer or director of any public company.

On September 25,1992, Rogen commenced this present action, filing a Summons and Complaint (“Complaint”) alleging two counts against Memry. Count I of the Complaint alleges that Memry breached the Agreement by terminating Rogen’s employment without cause as that term is defined in the Agreement. Rogen seeks damages of $215,000 for the alleged contractual breach. Count II alleges that Memry failed to indemnify Rogen as required by Memry’s bylaws. Rogen requests that this Court order Memry to indemnify him in the amount of $312,000.

On January 5, 1993, Memry filed an answer asserting various affirmative defenses. Memry’s second affirmative defense states that the Southern District of New York “is not the proper venue for this action.”

DISCUSSION

Summary judgment is appropriate when “the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(e); see also Citizens Bank of Clearwater v. Hunt,

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Bluebook (online)
886 F. Supp. 393, 1995 U.S. Dist. LEXIS 7123, 1995 WL 319080, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rogen-v-memry-corp-nysd-1995.