Self-Insurance Institute of America, Inc. v. Korioth

CourtCourt of Appeals for the Fifth Circuit
DecidedJune 11, 1993
Docket92-8444
StatusPublished

This text of Self-Insurance Institute of America, Inc. v. Korioth (Self-Insurance Institute of America, Inc. v. Korioth) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fifth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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Self-Insurance Institute of America, Inc. v. Korioth, (5th Cir. 1993).

Opinion

United States Court of Appeals,

Fifth Circuit.

No. 92-8444.

SELF-INSURANCE INSTITUTE OF AMERICA, INC., Plaintiff-Appellant,

v.

Claire KORIOTH, et al., Defendants-Appellees.

June 17, 1993.

Appeal from the United States District Court For the Western District of Texas.

Before, REYNALDO G. GARZA, WILLIAMS and JONES, Circuit Judges.

REYNALDO G. GARZA, Circuit Judge:

Self-Insurance Institute of America, Inc. ("SIIA"), initiated this declaratory judgment action

under 28 U.S.C. §§ 2201-02 requesting the district court to enjoin the enforcement of certain

provisions in the Texas Insurance Code on the ground that they were preempted by ERISA. The case

was dismissed because the district court determined that it lacked subject matter jurisdiction under

29 U.S.C. § 1132, and that SIIA lacked standing.

We find that the district court had general federal question jurisdiction under 28 U.S.C. §

1331, and we conclude that SIIA has associational standing. Consequently, we REVERSE the order

of the district court and REMAND for a determination as to the merits of the plaintiffs' case.

FACTS & PROCEDURE

SIIA is a California not-for-profit trade association organized to promote the general

advancement of the self-insurance industry. Members of SIIA include both employer/plan sponsors

and contract administrators of self-insured ERISA plans.

In July 1991, SIIA filed a declaratory judgment action in the Western District of Texas

requesting that the district court enjoin enforcement of two provisions in the Texas Insurance Code,

which are codified at Tex.Ins.Code arts. 4.11A and 21.07-6. SIIA also sought tax refunds for contract administrators who had paid the taxes required by art. 21.07-6.1

Article 4.11A imposes a tax on contract administrators and a back-up tax on the underlying

plan if the administrator does not pay. Article 21.07-6 requires contract administrators both to pay

a $1,000 application fee for a certificate of authority and to pay a 1% maintenance tax on fees for

services. Article 21.07-6 also imposes on employer/plan sponsors and contract administrators many

obligations. SIIA claims that the statutes conflict with comparable provisions of ERISA and, thus,

are void because of ERISA's broad preemption clause.

In August 1991, t he defendants filed a motion to dismiss for lack of subject matter

jurisdiction, claiming that SIIA lacked standing to bring t he declaratory action. In October 1991,

SIIA responded by filing its motion either for partial summary judgment or for preliminary injunction.

The district court issued a stay in this case and denied all motions without prejudice because the

United States Supreme Court had issued a stay of a similar case pending its appeal from the Fifth

Circuit. See E-Systems, Inc. v. Pogue, 929 F.2d 1100 (5th Cir.), cert. denied, --- U.S. ----, 112 S.Ct.

585, 116 L.Ed.2d 610 (1991).

In December 1991, after the Supreme Court denied certiorari in E-Systems, the district court

lifted the stay. Shortly thereafter, SIIA filed a renewed motion for summary judgment or preliminary

injunction, and the defendants filed their motion to dismiss for lack of subject matter jurisdiction.

In early 1992, SIIA answered the defendants' first set of interrogatories. The district court

subsequently ordered SIIA to submit further facts to prove that it had standing to pursue its action.

On July 21, 1992, the district court denied SIIA's motions and granted the defendants' motion to

dismiss the case for lack of subject matter jurisdiction and standing.2 SIIA then timely appealed.3

1 In response to the United States Supreme Court's denial of certiorari in E-Systems Inc. v. Pogue, 929 F.2d 1100 (5th Cir.), cert. denied, --- U.S. ----, 112 S.Ct. 585, 116 L.Ed.2d 610 (1991), Texas ceased to enforce art. 4.11A and entered into numerous agreed judgments to refund with interest taxes collected under art. 4.11A. Because of the Texas' position regarding art. 4.11A, the challenge to that statute is now moot. 2 The district court found that:

1. SIIA is a trade association of contract administrators and plan sponsors;

2. SIIA is not a participant, beneficiary, or fiduciary of an ERISA plan; and DISCUSSION

On appeal we need only confront two issues: (i) did the district court have jurisdiction to

entertain the case; and (ii) did the plaintiff have the requisite associational standing in order to wage

this action. We conclude that the district court improperly dismissed the case for lack of subject

matter jurisdiction. Further, we conclude that the plaintiff has standing to bring this action.

Consequent ly, we remand the case back to the district court so that the case may proceed to t he

merits.

Subject Matter Jurisdiction

The district court found that it had no jurisdiction under ERISA, 29 U.S.C. § 1132. Section

1132(a) limits the power to bring a civil action under ERISA to participants, beneficiaries, and

fiduciaries of an ERISA plan. The district court requested that SIIA present affidavits proving that

its members were enumerated parties under § 1132. The affidavits that SIIA submitted merely stated

that SIIA members were employer/plan sponsors or contract administrators, who had contacts with

Texas. The district court found that such a cursory description did not prove that the SIIA members

were fiduciaries. Consequently, the district court concluded that it lacked subject matter jurisdiction.

3. SIIA's members are contract administrators, who have no fiduciary relationship to the plans for which they perform services.

From these findings, the district court concluded that:

1. SIIA had no statutory standing under 29 U.S.C. § 1132 to maintain the action because a trade association is not an enumerated party in § 502(a)(3) of ERISA; and

2. Because SIIA-member contract administrators were not fiduciaries, they had no associational standing for SIIA. 3 Interestingly, in October 1992, the same district court judge who issued the order and judgment in this case rendered a contradictory order in another case that was very similar to this one. In NGS American, Inc. v. Philip Barnes, 805 F.Supp. 462 (W.D.Tex.1992), one plaintiff was a third-party administrator of self-funded ERISA plans.

The district court noted that, under Texas law, NGS was considered a fiduciary and, thus, might well be empowered to bring suit under ERISA. Regardless of NGS's status, however, the district court found that there was general federal question jurisdiction, that NGS had standing to bring the action, and that art. 21.07-6 was void because it was preempted by ERISA. SIIA co ntends that although the suit is not expressly authorized under § 1132, the district

court had general federal question jurisdiction pursuant to 28 U.S.C. § 1331. Section 1331 states:

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