United States v. Security State Bank and Trust, Dr. William R. Newton, Intervenors-Appellants

473 F.2d 638, 22 A.L.R. Fed. 922, 1973 U.S. App. LEXIS 11837
CourtCourt of Appeals for the Fifth Circuit
DecidedFebruary 5, 1973
Docket72-2337
StatusPublished
Cited by21 cases

This text of 473 F.2d 638 (United States v. Security State Bank and Trust, Dr. William R. Newton, Intervenors-Appellants) 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.

Bluebook
United States v. Security State Bank and Trust, Dr. William R. Newton, Intervenors-Appellants, 473 F.2d 638, 22 A.L.R. Fed. 922, 1973 U.S. App. LEXIS 11837 (5th Cir. 1973).

Opinion

BELL, Circuit Judge:

Section 6(b) of the Commodity Exchange Act 1 gives the Secretary of Agriculture power to subpoena witnesses and documentary evidence “for the purpose of any investigation or proceeding” under the Act. 2 The statute provides that “in case of disobedience to a subpoena” the Secretary may invoke the aid of “any court of the United States.” 7 U.S.C.A. § 15; 49 U.S.C.A. § 12(2). This appeal presents questions concerning the circumstances in which a federal district court may propérly enforce a subpoena issued by the Secretary under § 6(b).

On August 11, 1971, an authorized agent of the Department of Agriculture served a subpoena duces tecum on the president of the Security State Bank and Trust, Fredericksburg, Texas. The subpoena required the bank to produce “all deposit and withdrawal slips, bank drafts, cashiers checks, certified checks, money orders, loans, debit and credit memoranda, or similar negotiable instrument” which had been purchased by, or issued to, Dr. William R. Newton, Mrs. Ruth Newton, and Dr. G. Lloyd Hollister during the months of July, August, September, and October, 1970. The subpoena stated that an examination of these records was “essential” to a certain investigation concerning “trading in the September 1970 shell egg future on the Chicago Mercantile Exchange.” On the advice of counsel, the bank informed the agent that it would not comply with the subpoena voluntarily.

*640 On April 6, 1972, the government petitioned the district court for an order requiring the bank to comply. The court directed the bank to appear and to show cause why it should not be required to comply. Dr. Newton, Mrs. Newton, and Dr. Hollister then filed a motion for leave to intervene and a motion to quash the subpoena. There was no objection to the motion to intervene. The court granted the motion and set the case down for hearing.

At the subsequent hearing, the bank and the intervenors argued that the Secretary had no statutory authority to issue a subpoena of this kind and, further, that the records described in the subpoena were irrelevant to any legitimate investigation. The government maintained, of course, that the subpoena should be enforced. The arguments on both sides were supported neither by testimony nor by documents introduced formally into evidence, though counsel and the court made reference to the subpoena itself and to an affidavit of the agent who had served the subpoena on the bank. Copies of the subpoena and the affidavit had accompanied the government’s enforcement petition. The subpoena contained a description of the records that were sought, together with a specification of the time and place the records were to be produced, and a short explanation, quoted above, of the relation between these records and a certain investigation concerning trading on the Chicago Mercantile Exchange. The affidavit contained nothing more than a narration of the events that had transpired between the time the subpoena was served and the time the agent was informed that the bank would not comply.

The district court ultimately held that the Secretary had power to issue the subpoena. The court entered an order requiring the bank to comply. The bank and the intervenors appealed.

The appellants raise two questions. They contend, first, that the Secretary’s subpoena power under § 6(b) extends only to proceedings and investigations instituted under § 6(b), and that, because there is no showing here that the investigation described in the subpoena was instituted under that section, the subpoena cannot be enforced. Second, the appellants contend that even if the Secretary’s subpoena power extends to investigations and proceedings instituted under other sections of the Act, the government has failed to show either that the present investigation is for a legitimate purpose or that the records in question are relevant to the investigation. The appellants contend that such a showing is a prerequisite to judicial enforcement of the subpoena. These contentions will be considered in turn.

I.

In addition to conferring subpoena power, § 6(b) outlines a formal adjudicatory process which the Secretary must follow if he wishes to revoke the trading privileges of a person who has violated the substantive provisions of the Act. The appellants argue that because the language which confers the subpoena power is embedded in § 6(b), the scope of the subpoena power is restricted by the scope of the adjudicatory procedure outlined therein. We reject this interpretation.

In 1955 Congress amended § 6 (b) to extend the Secretary’s subpoena power to “any investigation or proceeding” under the Act. 3 Formerly, the Sec *641 retary had enjoyed subpoena power only with regard to “proceedings” under the Act. Act of September 21, 1922, ch. 369, § 6(b), 42 Stat. 1001, as amended Act of June 15, 1936, ch. 545 §§ 8(e)-8(g), 49 Stat. 1499. Thus the purpose of the 1955 amendment was to enhance the Secretary’s investigatory power by enabling him to subpoena witnesses and documentary evidence for the purpose of “investigations”, as opposed to formal “proceedings”. See S.Rep.No.268, 1955 U.S.Code & Admin.News, p. 2060.

The Secretary’s investigatory powers arise principally under § 8 of the Act. 7 U.S.C.A. § 12. They are clearly distinguishable from the Secretary’s power to conduct formal adjudicatory proceedings under § 6(b). The only reasonable construction of the 1955 amendment is that it extended the subpoena power to investigations, which arise principally under § 8. Yet the appellants would restrict the effect of that amendment to instances in which the Secretary exercises adjudicatory power in formal proceedings under § 6(b). This approach is plainly inconsistent with the congressional purpose.

Further, the appellants’ approach is inconsistent with the plain meaning of the relevant statutory language. Section 6(b) provides that the Secretary may issue subpoenas “for the purpose of any investigation or proceeding under this Act” (emphasis supplied). If Congress had intended the suboena power to extend only to investigations or proceedings under § 6(b), we can assume that it would have adopted language more consistent with such a purpose. The appellants would have us amend the statute by interpreting it to mean that the subpoena power extends to “any investigation or proceeding under this section.” This we are unwilling to do.

We thus hold that the Secretary is not required to show that his subpoena is re-

lated to an investigation or proceeding under § 6(b).

II.

Yet to be considered are the questions whether the Secretary must show nonetheless, as the appellants contend, that his subpoena is in aid of an investigation initiated for some lawful purpose and, further, that the materials which the subpoena seeks are relevant to the investigation. For the reasons hereinafter stated, we hold that the Secretary must show both that the investigation is for a lawful purpose and that the materials are relevant to it.

Congress has given the Secretary power to issue subpoenas, but it has not given him power to enforce them.

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Bluebook (online)
473 F.2d 638, 22 A.L.R. Fed. 922, 1973 U.S. App. LEXIS 11837, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-security-state-bank-and-trust-dr-william-r-newton-ca5-1973.