Securities and Exchange Commission, William L. Cary v. R. A. Holman & Company, Inc.

323 F.2d 284, 116 U.S. App. D.C. 279, 1963 U.S. App. LEXIS 4990
CourtCourt of Appeals for the D.C. Circuit
DecidedJune 13, 1963
Docket17202_1
StatusPublished
Cited by51 cases

This text of 323 F.2d 284 (Securities and Exchange Commission, William L. Cary v. R. A. Holman & Company, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals for the D.C. Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Securities and Exchange Commission, William L. Cary v. R. A. Holman & Company, Inc., 323 F.2d 284, 116 U.S. App. D.C. 279, 1963 U.S. App. LEXIS 4990 (D.C. Cir. 1963).

Opinion

BURGER, Circuit Judge.

The Securities and Exchange Commission appeals from an order of the District Court granting a preliminary injunction 1 against the Commission from further conduct of certain proceedings pending before it relating to the issuance and sale of 175,000 shares of stock of Pearson Corporation as issuer of which appellee R. A. Holman & Co., Inc., was underwriter. The District Court granted the injunction on the claim that one of the members of the Commission was disqualified from acting in an adjudicatory capacity in an administrative proceeding involving appellee because the Commissioner had previously been chief of a division with responsibility for the processing of registration statements, including the registration statement filed by Pearson Corporation which is the subject of the pending hearing.

The order appealed from enjoined further administrative proceedings in which appellee is respondent. In the complaint it was claimed by appellee that two Commissioners were disqualified from conducting adjudicatory proceedings because of prior staff service. 2 On the record *286 before us only the alleged disqualification of Commissioner Woodside is in issue, Commissioner Cohen having taken no part. The District Court while observing that an injunction would “put a tremendous hardship on the S.E.C. * * * ” concluded that appellant’s claim of the applicability of Amos Treat & Co. v. Securities and Exchange Commission, 113 U.S.App.D.C. 100, 306 F.2d 260 (1962), 3 was well founded and with obvious reluctance the Court granted an injunction.

In the District Court appellee contended first that Commissioner Wood-side’s position of responsibility while a member of the staff was sufficient to disqualify him even though he did not in fact participate in the investigation or recommendations affecting appellee; second appellee contended that if disqualification did not result automatically from the fact that Woodside had a responsibility as a director of the unit,' then the District Court was bound to conduct an r/identiary hearing in which the Commission would be required to demonstrate exactly the nature and extent of Wood-side’s involvement in the steps which led to the Commission’s proposed hearing. In the Amos Treat case the Commission did not deny plaintiff’s allegations of the claimed disqualifying factors. In the instant case the affidavits filed on behalf of the Commission affirmatively assert there was no participation by Woodside in processing Holman’s application or the recommendations by the Staff to the Commission to conduct a hearing. The Commission argues that this case is therefore factually distinguishable from the Amos Treat case. We agree.

The basis on which this court acted in the Amos Treat case is summarized in that opinion:

“We are unable to accept the view that a member of an investigative or prosecuting staff may initiate an investigation, weigh its results, perhaps then recommend the filing of charges, and thereafter become a member of that commission or agency, participate in adjudicatory proceedings, join in commission or agency rulings and ultimately pass upon the possible' amenability of the respondents to the administrative orders of the commission or agency. So to hold, in our view, would be tantamount to that denial of administrative due process against which both the Congress and the courts have inveighed.” 306 F.2d 266-267.

Accordingly it will be seen that we emphasized that the District Court’s jurisdiction in that case rested solely on due process grounds, so clearly established on the record made there. ' (306 F.2d at 267 and see Wong Yang Sun v. McGrath, 339 U.S. 33, 45, 70 S.Ct. 445, 94 L.Ed. 616 (1950)). We were satisfied that the petitioner had presented “the exceptional case” 4 which entitled it to relief. Despite the broad and sweeping claims which the appellee now makes for the Amos Treat case, we see nothing on this record to require that the proceedings before the Commission be suspended. “For the present purpose it is sufficient to hold, and we do hold, that the petitioner may constitutionally be required to present all the pertinent facts in the prescribed administrative proceedings and may there raise, and ulti *287 mately may present for judicial review, any legal question which may arise as the facts are developed.” 5

We are satisfied that such claims as the appellee has here presented should be adduced in the first instance at the administrative level and any challenge to the resolution of these issues is subject to judicial review when the administrative record reaches us in due course. In Trans World Airlines v. Civil Aeronautics Board, 102 U.S.App.D.C. 391, 254 F.2d 90 (1958), we indicated that at that stage we will scrutinize the issue of disqualification with great care. The administrative proceedings cannot be stopped to allow for excursions in the courts with prolonged evidentiary hearings ; the time for that in a proper case is when an aggrieved litigant seeks judicial review of agency action having preserved the point of claimed disqualification in the administrative hearing. The party asserting disqualification must make his record in the administrative hearing. While the scope and nature of that inquiry has never been fully delineated it must be sufficient to allow the challenging party to introduce whatever relevant evidence he possesses bearing on disqualification since he, of course, has the burden of proof. To stay the administrative processes while a court was engaged in an extended inquiry into the claimed disqualification of members of the administrative body could lead to a breakdown in the administrative process which has long been criticized for its slow pace.

We pointed out recently in The Wolf Corporation case 6 that Congress, in vesting broad powers in regulatory agencies, was not unaware of possible risks but “except in very unusual and limited circumstances Congress did not contemplate a grant of jurisdiction to the courts to prevent abuse or misuse of power by prior restraint * * *.” to stay the administrative process. This case does not present claims warranting judicial intervention before the regulatory agency has completed its processes. See McCulloch v. Sociedad Nacional de Marineros de Honduras, 372 U.S. 10, 83 S.Ct. 671, 9 L.Ed.2d 547 (1963).

Congress has made no specific provision for considering challenges of disqualification addressed to members of regulatory or administrative agencies acting as such, as it has, for example, concerning hearing examiners, Section 7(a) of the Administrative Procedure Act, 7 5 U.S.C.

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323 F.2d 284, 116 U.S. App. D.C. 279, 1963 U.S. App. LEXIS 4990, Counsel Stack Legal Research, https://law.counselstack.com/opinion/securities-and-exchange-commission-william-l-cary-v-r-a-holman-cadc-1963.