United States v. Cleveland Trust Company

392 F. Supp. 699, 1974 U.S. Dist. LEXIS 7391
CourtDistrict Court, N.D. Ohio
DecidedJuly 30, 1974
DocketC70-301
StatusPublished
Cited by10 cases

This text of 392 F. Supp. 699 (United States v. Cleveland Trust Company) is published on Counsel Stack Legal Research, covering District Court, N.D. Ohio primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Cleveland Trust Company, 392 F. Supp. 699, 1974 U.S. Dist. LEXIS 7391 (N.D. Ohio 1974).

Opinion

MEMORANDUM OPINION AND ORDER

BATTISTI, Chief Judge.

This is an action brought to restrain alleged violations of Sections 7 and 8 of the Clayton Act, 15 U.S.C. §§18 and 19. Jurisdiction is predicated on Section 15 of the Clayton Act, 15 U.S.C. § 25. The sole defendant in this action is the Cleveland Trust Company, an Ohio corporation, and allegedly the sixteenth largest bank in the United States in terms of total trust assets. (Amended Complaint, para. 4.)

*701 I.

The Government’s section 7 case, 1 as described in its amended complaint filed October 4, 1972, arises from defendant’s alleged holdings, in various fiduciary accounts, of substantial aggregates of the common stock of both the Acme-Cleveland Corporation (Acme) and the Pneumo-Dynamics Corporation (Pneumo). 2 It is alleged that defendant, through its trust department, acquired, for purposes of section 7, approximately twenty-seven percent of the outstanding common stock of Acme and approximately fourteen percent of the outstanding common stock of Pneumo. As of September, 1968, defendant allegedly had full power to vote about twenty percent, and qualified power to vote about five percent, of Acme’s stock. As of November 27, 1968, defendant allegedly had full power to vote all its Pneumo shares. (Amended Complaint, para. 15.)

Acme and Pneumo are characterized in the amended complaint as substantial competitors, on a nationwide basis, in the manufacture and sale of multiple spindle automatic bar and chucking machines (hereinafter referred to as “MSA machines”). These machines, and single spindle automatic bar and chucking machines (hereinafter referred to as “SSA machines”) are defined in the amended complaint as “complex machine tools which perform a variety of integrated processes, such as cutting, polishing, boring, and reaming of ferrous and non-ferrous bars, tubes, castings, and forgings.” (Amended Complaint, para. 6(a)). 3

Both MSA and SSA machines are alleged to fall within a broad market, including some or all of the following types of horizontal and vertical metal cutting equipment: automatic tool rotating machines, numerically controlled lathes, center turning stations, turret lathes, tracer lathes, transfer lines and engine lathes, as well as certain types of forming equipment such as cold heading machines. (Amended Complaint, para. 6(a)). Sales of new, American MSA machines, however, are alleged to constitute an identifiable submarket and relevant “line of commerce” within the meaning of section 7.

*702 The amended complaint relates that sales of MSA machines, manufactured and sold in the United States (including tooling, attachments, accessories, and parts sold with originally produced machines) amounted to approximately $63,000,000. in 1969. (Amended Complaint, para. 6(b).) Acme, with sales of such MSA machines reaching $21,943,000. in 1969, accounted for about 34.8 percent, or the largest share of total sales. Pneumo, with sales approximating $9,014,000. in 1969, accounted for about 14.3 percent, or the fourth largest share. (Amended Complaint, paras. 7, 9(a).) The Government submits that if Acme and Pneumo had merged in 1969, the resulting company would have controlled 49.1 percent of dollar sales of MSA machines in that year, and that such a merger would have been violative of section 7. (Amended Complaint, para. 9(b).)

The Government avers that defendant does not hold the stock of either Acme or Pneumo “solely for investment” within the meaning of section 7, 4 but actually uses the voting rights of these shares to elect directors and to influence important management and policy decisions affecting the two companies. (Amended Complaint, para. 16.) It is not contended that defendant, by virtue of its alleged stockholdings, is in actual control of either of these companies. The amended complaint charges, however, that the effect of defendant’s alleged stock acquisitions “may be to substantially lessen competition ... in the following ways, among others: Actual and potential competition between Acme and Pneumo in the manufacture and sale of MSA machines may be lessened.” (Amended Complaint, para. 17.)

The Government prays that defendant’s acquisition, retention, and use of the stock of Acme and Pneumo be adjudged violative of section 7; that defendant be required to divest itself of its alleged stockholdings in either Acme and Pneumo; and that defendant be ordered to withdraw from participation in the direction, control or management of either of these two companies. (Prayer for relief contained in Amended Complaint, paras. 1, 2, 3.) /

The Government’s section 8 5 allegations charge that defendant, through alleged agents, Mr. George F. Karch and Mr. Allan K. Shaw, has been and remains a member of the Board of Directors of Pneumo, the Warner & Swasey Company (W & S) and White Consolidated Industries, Inc. (White). Amended Complaint, para. 18).

The Government alleges that as of the date of the filing of its original complaint, Karch was Chairman of defendant’s Board of Directors, and Shaw was defendant’s Executive Vice President. (Amended Complaint, para. 5.) It is further alleged that all three companies, as of December 31, 1969, had capital surplus and undivided profits aggregating more than $1,000,000; that defendant does substantial banking business with the companies; and that the three companies “compete,” for purposes of section 8, in the following respects: (a) Pneumo competes with W & S in the sale of MSA machines; (b) Pneumo competes with the Bullard Company (Bullard), a subsidiary of White located in Bridgeport, Connecticut, in the sale *703 of MSA machines; (c) W & S, in its sales of SSA machines, competes with Bullard in its sale of MSA machines; and (d) the G. A. Gray Company (Gray), a subsidiary of W & S, located in Cincinnati, Ohio, competes with Bullard in the sale of vertical boring mills. 6 (Amended Complaint, paras. 9(a), 11, 13,14(b), and 16.)

The relief sought is as follows: (a) that defendant be adjudged to have violated section 8 of the Clayton Act; (b) that defendant be ordered to remove its agents from all but one of the Boards of Directors of Pneumo, W & S, and White; and (c) that further injunctive relief be granted foreclosing future violations of section 8. (Prayer for Relief contained in Amended Complaint, paras. 4, 5, 6.)

Defendant, in its amended answer, denies many of the essential allegations contained in the Government’s amended complaint. Certain admissions, however, have been made. With respect to the Government’s section 7 claim, defendant admits: (a) that as of November 27, 1968, it held, as a fiduciary, about fourteen percent of Pneumo’s outstanding common stock (Amended Answer, para.

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Bluebook (online)
392 F. Supp. 699, 1974 U.S. Dist. LEXIS 7391, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-cleveland-trust-company-ohnd-1974.