Sherrill v. FEDERAL-MOGUL CORP. RETIREMENT PROGRAMS

413 F. Supp. 2d 842
CourtDistrict Court, E.D. Michigan
DecidedFebruary 9, 2006
Docket04-72949
StatusPublished

This text of 413 F. Supp. 2d 842 (Sherrill v. FEDERAL-MOGUL CORP. RETIREMENT PROGRAMS) is published on Counsel Stack Legal Research, covering District Court, E.D. Michigan primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sherrill v. FEDERAL-MOGUL CORP. RETIREMENT PROGRAMS, 413 F. Supp. 2d 842 (E.D. Mich. 2006).

Opinion

413 F.Supp.2d 842 (2006)

Joseph Scott SHERRILL and Keith A. Siverly, individually and on behalf of all others similarly situated, Plaintiffs,
v.
FEDERAL-MOGUL CORPORATION RETIREMENT PROGRAMS COMMITTEE; James Zamoyski; Richard P. Randazzo; Richard B. Stewart; Joseph Breitenbeck; David A. Bozinsky; Richard A. Snell; Thomas W. Ryan; Thomas P. Martin; G. Michael Lynch; Charles G. McClure; Frank E. Macher; John J. Fannon; Robert S. Miller, *843 Jr.; Roderick M. Hills; Geoffrey H. Whalen; John Does 1 To 25; Federal-Mogul Corporation Salaried Employees' Investment Program; Comerica Bank; and State Street Bank and Trust Company, Defendants.

No. 04-72949.

United States District Court, E.D. Michigan, Southern Division.

February 9, 2006.

*844 Cornish F. Hitchcock, J. Brian McTigue, Gregory Y. Porter, Bruce F. Rinaldi, Cornish F. Hitchcock, McTigue Law Firm, Washington, DC, Michael L. McGlynn (Not Admitted), Stephen P. McGlynn (Not *845 Admitted), McGlynn & McGlynn, Belleville, IL, Daniel A. Bushell, Ellen M. Doyle, Richard A. Finberg, Daniel A. Bushell, Malakoff, Doyle, Pittsburgh, PA, Barry D. Adler, Barry D. Adler Assoc., Farmington Hills, MI, for Plaintiffs.

Charles C. Jackson, Christopher A. Weals, Morgan, Lewis, Chicago, IL, Theodore R. Opperwall, Kienbaum, Opperwall, Birmingham, MI, Jonathan S. Polish, Steven A. Miller, Sachnoff & Weaver, Chicago, IL, Clifford R. Perry, III, Joseph M. Gagliardo, Laner, Muchin, Chicago, IL, Michael A. Alaimo, Richard W. Warren, Miller, Canfield, Detroit, MI, James J. Walsh, Bodman, Ann Arbor, MI, Steven W. Kasten, McDermott, Will, Boston, MA, Wilber H. Boies, McDermott, Will, Chicago, IL, James D. Vandewyngearde, Richard A. Rossman, Pepper Hamilton, Detroit, MI, for Defendants.

MEMORANDUM AND ORDER DENYING DEFENDANTS' MOTIONS TO DISMISS

COHN, District Judge.

                                    TABLE OF CONTENTS
  I. Introduction ..........................................................846
 II. Background ............................................................847
     A. The Parties ........................................................847
        1. Plaintiffs ......................................................847
        2. Defendants ......................................................847
     B. The Plan ...........................................................848
        1. Overview ........................................................848
        2. Administration ..................................................848
        3. Contributions and Funding .......................................849
     C. Timeline of Events as Alleged in the First Amended Complaint .......849
     D. The Lawsuit ........................................................852
        1. Count One .......................................................853
        2. Count Two .......................................................855
        3. Count Three .....................................................856
III. Legal Standard ........................................................856
 IV. Analysis ..............................................................856
     A. The Retirement Committee's Motion to Dismiss .......................856
        1. Statute of Limitations ..........................................856
        2. Individual Versus Plan Recovery .................................857
        3. Counts One and Two ..............................................858
           a. Parties' Arguments ...........................................858
                i. Matching Contributions ..................................858
               ii. Diversification of Matching Contributions ...............858
              iii. Failure to Disclose Information .........................858
           b. Analysis .....................................................859
        4. Count Three .....................................................860
     B. Ryan and Martin's Motion to Dismiss ................................861
     C. Comerica's Motion to Dismiss .......................................862
        1. Standing ........................................................862
        2. Comerica as Fiduciary ...........................................862
        3. Conversion of Preferred Stock ...................................864
        4. Co-Fiduciary Liability ..........................................864
     D. State Street's Motion to Dismiss ...................................864
        1. Count One: State Street as a Fiduciary ..........................864
        2. Count Three: Co-Fiduciary Liability .............................866
*846
  V. Conclusion ............................................................867

I. Introduction

This is a case under the Employment Retirement Income Security Act (ERISA), 29 U.S.C. § 1001 et seq., claiming breach of fiduciary duty. Plaintiffs Joseph Scott Sherrill (Sherrill) and Keith A. Siverly (Siverly), former employees of Federal-Mogul Corporation, seek recovery on behalf of themselves and others similarly situated who participated in the Federal-Mogul Corporation Salaried Employees Investment Program (the Plan) between July 1, 1999 and October 30, 2002.[1] Sherrill and Siverly name the following as defendants:

• The Federal-Mogul Corporation Retirement Programs Committee (Retirement Committee);
• Individual members of the Retirement Committee;
• John Does 1 through 25, who Sherrill and Siverly say served on the Retirement Committee or otherwise performed discretionary administrative functions with respect to the Plan;[2]
• The Federal-Mogul Corporation Salaried Employees' Investment Program;
• Comerica Bank; and
• State Street Bank and Trust Company.

Sherrill and Siverly summarize their claims against defendants as follows:

Defendants caused ongoing investments to be made in the [Federal-Mogul Common Stock Fund and Preferred Stock Fund] after such investments became imprudent due to the setbacks to Federal-Mogul Corporation in asbestos litigation and when the Plan's purposes of saving for retirement and accumulating capital could no longer be achieved.

First Amend. Compl. at ¶ 1. In essence, plaintiffs say that defendants, as fiduciaries of the Plan, breached their duties under ERISA by continuing to hold and invest in Federal-Mogul Corporation Common and Preferred Stock while Federal-Mogul Corporation's financial condition worsened and ultimately resulted in its filing for Chapter 11 bankruptcy protection on October 1, 2001.

Before the Court are four motions to dismiss the complaint under Fed.R.Civ.P. 12(b)(6):

• Defendant Federal-Mogul Corporation Retirement Programs Committee's Motion to Dismiss (including individual members of the Retirement Committee) (The Retirement Committee's Motion to Dismiss);
• Defendants Thomas W. Ryan and Thomas P. Martin's Motion to Dismiss (Ryan and Martin's Motion to Dismiss);
• Defendant Comerica Bank's Motion to Dismiss (Comerica's Motion to Dismiss); and

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Bluebook (online)
413 F. Supp. 2d 842, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sherrill-v-federal-mogul-corp-retirement-programs-mied-2006.