United States v. Chase Securities Corp.

24 F.2d 500, 1928 U.S. App. LEXIS 2093
CourtCourt of Appeals for the First Circuit
DecidedFebruary 27, 1928
DocketNo. 2190
StatusPublished
Cited by3 cases

This text of 24 F.2d 500 (United States v. Chase Securities Corp.) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Chase Securities Corp., 24 F.2d 500, 1928 U.S. App. LEXIS 2093 (1st Cir. 1928).

Opinions

BINGHAM, Circuit Judge.

This is an action of tort, brought by the United States in the District Court for Massachusetts against 21 individuals and one corporation. Several of the defendants reside or have their places of business outside the district. Four defendants, the Chase Securities Corporation, William G. Fitzpatrick, Joseph F. Guffey, and John A. MacMartin, appeared specially and moved that the writ be quashed and the service set aside as to them. Their contention is that the service had was insufficient to give the court jurisdiction over them for the reasons (1) that, at the time of the service upon them, the process of the court could not run outside the district of Massachusetts; and (2) that the marshals who served the process upon them acted without authority, as the writ was directed only to the marshal for the district of Massachusetts or his deputies.

[501]*501It appears that on September 16, 1926, a writ of attachment and summons in the usual form issued out of the Massachusetts District Court, addressed “To the Marshal of Our District of Massachusetts, or His Deputies,” commanding them to attach the goods and estates of the several defendants— setting out their residences, whether in the district of Massachusetts or in other districts —and summons them, “if they may be found in said districts,” to appear before the said District Court next to be holden at Boston on the first Tuesday of December; that the four defendants here in question were not served with process within the district of Massachusetts, but were served in the districts where they resided or were found by the marshals of those districts, certified copies of the process having been sent to them for service; and that such service of process upon these defendants was not made until after the 19th day of September, 1926. It also appears that the process was in the hands of the marshal for the district of Massachusetts on or before September 17, 1926, and was actually served on several of the defendants on that day.

Before arguments were had upon the motions to quash, the plaintiff filed motions to amend its writ by adding thereto, after the words “To the Marshal of our District of Massachusetts, or His Deputies,” the words: “To the Marshal for the Eastern District of Michigan, or His Deputies; to the Marshal for the Western District of Pennsylvania, or His Deputies; to the Marshal for the Eastern District of New York, or His Deputies; and to the Marshal for the Southern District of New York, or His Deputies.”

The District Court granted the motions to quash and set aside the service, denied the plaintiff’s motions to amend, and entered judgment dismissing the action against the Chase Securities Corporation, Fitzpatrick, Guffey, and MacMartin. It is to review this judgment that the present writ of error is prosecuted.

The errors assigned are that the court erred: (1) In granting the motions of these defendants to quash the writ, process and service; (2) in denying the plaintiff’s motions to amend the writ; (3) in ruling that the marshals who served the writ upon the four defendants in question acted without authority, because the writ was directed only to the marshal for the district of Massachusetts or his deputies; and (4) in ruling that, at the time of the service of the writ upon these defendants, the process of the court could not run outside the limits of the district of' Massachusetts.

Section 51 of the Judicial Code (36 Stat. 1101), as originally enacted and so far as here material, provides:

“No civil suit shall be brought in any District Court against any person by any original process or proceeding in any other district than that whereof he is an inhabitant; but where the jurisdiction is founded only on the fact that the action is between citizens of different' states, suit shall be brought only in the district of the residence of either the plaintiff or the defendant.”

September 19, 1922 (42 Stat. 849), section 51 was amended by adding thereto the following:

“Provided, however, that any civil suit, action, or proceeding brought by or on behalf of the United States * * * may be brought * * * where there be more than one defendant in any district whereof any one of the defendants, being a necessary party, or being jointly, or jointly and severally, liable, is an inhabitant, or in any district wherein the cause of action or any part thereof arose; and in any such suit, action, or proceeding process, summons, or subprana against any defendant issued from the District Court of the district wherein such suit is brought shall run in any other district, and service thereof upon any defendant may be made in any district within the United States or the territorial or insular possessions thereof in which any such defendant may be found with the same force and effect as if the same had been served within the district in which said suit, action, or proceeding is brought. The word 'district’ and the words 'District Court’ as used herein shall be construed to include the District of Columbia and the Supreme Court of the District of Columbia; Provided further, that this act shall be effective for a period of three years only, after which said section 51, chapter 4, as it exists in the present law shall be and remain in full force and effect.”

By the Act of March 4, 1925 (43 Stat. 1264 [28 USCA § 112]), the amendment of 1922 was re-enacted in terms, except that in the last proviso the words “three years only” were stricken out, and there was inserted in their place the words “four years after September 19, 1922.”

The substantial question in the ease is whether, at- the time of the service of process upon these defendants (which was shortly after September 19,1926), the process of the court could run outside the district of Massachusetts.

[502]*502The District Court found “that in the ease at bar the suit was brought within the effective period of the amendment to section 51.” This finding is clearly right, for the record shows that the writ was in the hands of the marshal and was actually served on several of the defendants on September 17, 1926, two days before the expiration of the four-year period. There can be no doubt, therefore, that the. action was brought or commenced at" least as early as September 17, 1926, and was then pending, for on that day attachments were made and the writ was served upon several of the defendants named in the writ. Buswell, Adm’r, v. Babbitt, 65 N. H. 168, 18 A. 748; Anderson v. Insurance Co., 75 N. H. 375, 383, 74 A. 1051, 28 L. R. A. (N. S.) 730; Finneran v. Graham, 198 Mass. 385, 84 N. E. 473, 15 Ann. Cas. 291; Larrabee v. Southard, 95 Me. 385, 50 A. 20; Cross v. Barber, 16 R. I. 266, 15 A. 69; Wells v. Cooper, 57 Conn. 52, 17 A. 281; Linn Timber Co. v. United States, 236 U. S. 574, 35 S. Ct. 440, 59 L. Ed. 725. The District Court also recognized that the amendment to section 51, not only increased the number of districts in which the venue of a suit by the United States could be laid, but enlarged the power of the court having, jurisdiction of the action by authorizing it to bring- in defendants residing or found in other districts.

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

Related

Cite This Page — Counsel Stack

Bluebook (online)
24 F.2d 500, 1928 U.S. App. LEXIS 2093, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-chase-securities-corp-ca1-1928.