Southern Wesleyan University v. Andrews (In Re Celotex Corp.)

427 B.R. 909, 22 Fla. L. Weekly Fed. B 361, 2010 Bankr. LEXIS 983, 2010 WL 1553423
CourtUnited States Bankruptcy Court, M.D. Florida
DecidedApril 6, 2010
DocketBankruptcy No. 8:90-bk-10016-PMG. Adversary No. 8:09-ap-558-PMG
StatusPublished

This text of 427 B.R. 909 (Southern Wesleyan University v. Andrews (In Re Celotex Corp.)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, M.D. Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Southern Wesleyan University v. Andrews (In Re Celotex Corp.), 427 B.R. 909, 22 Fla. L. Weekly Fed. B 361, 2010 Bankr. LEXIS 983, 2010 WL 1553423 (Fla. 2010).

Opinion

ORDER ON MOTION TO DISMISS THE FIRST AMENDED AND RESTATED COMPLAINT

PAUL M. GLENN, Chief Bankruptcy Judge.

THIS CASE came before the Court for hearing to consider the Motion to Dismiss *911 the First Amended and Restated Complaint. The Motion to Dismiss was filed by The Celotex Asbestos Settlement Trust and its Trustees, Frank Andrews, Sharon M. Meadows, and James W. Stevens (the Defendants).

Thirty-seven colleges or universities (the Plaintiffs) initially filed the Complaint that commenced this adversary proceeding. Generally, the Plaintiffs alleged that the Defendants breached the fiduciary duties owed to them in connection with certain Property Damage claims that had been asserted in this case.

The Plaintiff, Southern Wesleyan University (Wesleyan), subsequently filed a First Amended and Restated Complaint, “as the representative for the certified college class members” described in the Amended Complaint.

In the Motion to Dismiss the First Amended and Restated Complaint, the Defendants contend that Wesleyan lacks standing to represent the colleges and universities that are named as claimants in the Amended Complaint, and that Wesleyan failed to allege that it is a Property Damage claimant within the meaning of the Defendants’ trust documents.

I. The preserved claims

The Celotex Corporation was engaged in the business of manufacturing, marketing, and distributing building products. Carey Canada Inc. was engaged in the business of asbestos mining until it ceased operations in 1986.

Celotex and Carey Canada filed petitions under Chapter 11 of the Bankruptcy Code on October 12, 1990. At the time that the petitions were filed, Celotex and Carey Canada had been named as defendants in thousands of lawsuits filed by Asbestos Personal Injury Claimants, and in hundreds of lawsuits filed by Asbestos Property Damage Claimants.

On December 6, 1996, the Court entered an Order Confirming the Modified Joint Plan of Reorganization for Celotex and Carey Canada.

A principal feature of the confirmed Plan is the creation of the Asbestos Settlement Trust. “The Plan establishes a Trust to address, liquidate, resolve, and disallow or allow and pay Asbestos Claims, which will operate in accordance with the Asbestos Claims Resolution Procedures.” In re The Celotex Corporation, 204 B.R. 586, 602 (Bankr.M.D.Fla.1996).

The Trust Agreement provides that the Trust will be administered by designated Trustees. The Trust Agreement further provides:

The Trustees are and shall act as fiduciaries to the Trust in accordance with the provisions of this Trust Agreement and the Plan. The Trustees shall, at all times, administer the Trust and the Trust Assets in a manner consistent with 11 U.S.C. § 524(g) to provide reasonable assurance that the Trust will value, and be in a financial position to pay, Asbestos Claims and Demands that involve similar claims in substantially the same manner and to maximize the value of the Trust Assets.

(Trust Agreement, § 3.1(a)).

In connection with the general administration of the Trust, the Trust Agreement requires the filing of an annual report following the end of each fiscal year. The annual report is required to contain audited “financial statements of the Trust (including, without limitation, a balance sheet of the Trust as of the end of such fiscal year and a statement of operations for such fiscal year).” The Trust Agreement also provides that, simultaneously with the filing of the audited financial statements, a report shall be filed that contains “a summary regarding the number and type of claims disposed of during the period cov *912 ered by the financial statements.” (Trust Agreement, §§ 3.2(c)(i), (ii)). Finally, the Trust Agreement provides:

5.12 Settlement of Trustees’ Accounts .... The Trustees shall render successive accounts covering periods ending at the end of each calendar year consisting of the filings required by Article 3.2(c) of this Trust Agreement.... Upon the approval of any such periodic account by the Bankruptcy Court after hearing on notice to the Approving Entities and such other parties as the Bankruptcy Court may designate, and subject to the terms of the order of the Bankruptcy Court granting such approval, the Trustees shall be discharged from any further liability or responsibility as to all matters disclosed in such periodic account, and an action against a trustee for breach of trust arising out of any matter disclosed in such periodic account shall be barred as provided in Fla. Stat. Ann. § 737.307.

(Trust Agreement, § 5.12)(Emphasis supplied).

The Trust has filed an Annual Report, and a corresponding Application for approval of the Annual Report, for each fiscal year since the Modified Joint Plan was confirmed. With respect to the Reports for the fiscal years through 2000, each of the Orders approving the Reports contained a general release of the Trustees in accordance with § 5.12 of the Trust Agreement. Pursuant to the general releases, the Trustees were released and discharged from “any and all liability as to all matters embraced in the Application, the Annual Report, the Materials (including, without limitation, the financial statement of the Trust), and the Account.” (See Main Case Doc. 12830).

The Order approving the Annual Report for 2001 also released and discharged the Trustees as to all matters contained in the 2001 Report, as authorized by the Trust Agreement. The Order approving the 2001 Report, however, contained a “carve-out” from the general release with respect to certain “Disputed Claims” as defined in the Order. Specifically, the Order provided that:

[U]pon the Trust’s determination that all of the issues regarding an Asbestos Property Damage Claim, which was not paid or settled by the Trust as of December 31, 2001 (“Disputed Claim”), are resolved either consensually or by final, non-appealable order of the Court, the Trust shall provide notice of such determination to all interested parties and file the notice with the Court (the “Notice”). The Notice shall include a statement indicating it is the position of the Trust that an interested party has six (6) months from the date of the Notice to bring an action or claim against the trustees arising out of or related to the trustees’ decision to withhold payment of the Disputed Claim.

(Main Case Doc. 13222)(Emphasis supplied). The Orders approving the 2002, 2003, 2004, 2005, and 2006 Annual Reports also contained provisions regarding the notice period for bringing an action related to Disputed Claims. (Main Case Docs. 13280,13729,13730, 13731,13855).

The Order approving the Annual Report for 2007 was entered on February 5, 2009. (Main Case Doe. 13992). Paragraph 8 of the Order provides:

8. The orders by which this Court approved the Trust’s Annual Reports for 2001 through 2006 and related Materials and accounts (the “Prior Orders”) each contained

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

Related

Baker v. Carr
369 U.S. 186 (Supreme Court, 1962)
Flast v. Cohen
392 U.S. 83 (Supreme Court, 1968)
Linda RS v. Richard D.
410 U.S. 614 (Supreme Court, 1973)
Warth v. Seldin
422 U.S. 490 (Supreme Court, 1975)
East Texas Motor Freight System, Inc. v. Rodriguez
431 U.S. 395 (Supreme Court, 1977)
Moore v. Ross (In Re Ross)
37 B.R. 656 (Ninth Circuit, 1984)
In Re Celotex Corp.
204 B.R. 586 (M.D. Florida, 1996)
In Re Livaditis
122 B.R. 330 (N.D. Illinois, 1990)
In Re W.R. Grace & Co.
316 F. App'x 134 (Third Circuit, 2009)
Central Wesleyan College v. W.R. Grace & Co.
6 F.3d 177 (Fourth Circuit, 1993)
Linda R. S. v. Richard D.
410 U.S. 614 (Supreme Court, 1973)
Central Wesleyan College v. W.R. Grace & Co.
143 F.R.D. 628 (D. South Carolina, 1992)
O'Connor v. Boeing North American, Inc.
180 F.R.D. 359 (C.D. California, 1997)

Cite This Page — Counsel Stack

Bluebook (online)
427 B.R. 909, 22 Fla. L. Weekly Fed. B 361, 2010 Bankr. LEXIS 983, 2010 WL 1553423, Counsel Stack Legal Research, https://law.counselstack.com/opinion/southern-wesleyan-university-v-andrews-in-re-celotex-corp-flmb-2010.