Weimer v. Amen

870 F.2d 1400, 1989 U.S. App. LEXIS 3537
CourtCourt of Appeals for the First Circuit
DecidedMarch 23, 1989
Docket87-2345
StatusPublished
Cited by10 cases

This text of 870 F.2d 1400 (Weimer v. Amen) 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
Weimer v. Amen, 870 F.2d 1400, 1989 U.S. App. LEXIS 3537 (1st Cir. 1989).

Opinion

870 F.2d 1400

Claude T. WEIMER, Individually and as Representative of all
persons in the same class, Appellants,
v.
Paul AMEN, in his official capacity as former director of
the Department of Banking and Finance of the State of
Nebraska, and personally; S.E. Copple; Marvin Copple;
Members of the Nebraska Depository Institution Guarantee
Corporation; Commerce Savings of Columbus, Inc., Employer
of Ken Wellman; First Savings Company, Employer of William
Beckman; First National Bank; Norwest Corporation, Owner
of First National Bank, Grand Island; Commerce Group, Inc.,
Owner of Commerce Savings of Columbus, Inc., and Commerce
Savings Lincoln, Inc., and Commerce Savings Scottsbluff,
Inc., Employer of Douglas Alford; Provident Federal Savings
Bank, Owner of Liberty Savings Company; American State
Savings Company, Employer of Roy Ashcraft; Federal Deposit
Insurance Corporation (FDIC); Commerce Savings Scottsbluff,
Inc., Employer of Tim Spoeneman; Liberty Savings Company,
Employer of Dennis Applebee; North East Savings and
Investment Company, Employer of Herb Hermann; Union Bank
and Trust Company, Owner of North East Savings and
Investment Company; Marvin Copple, Director NDIGC and
officer of Commonwealth from before 1975 until after
November 1, 1983; Ken Wellman; William Beckman; Douglas
Alford; Alfred Adams; Kenlon H. Hake; Roy Ashcraft;
Darrell Anderson; Herb Heumann; Tim Spoeneman; Dennis
Applebee and S.E. Copple, Director NDIGC and officer of
Commonwealth from before 1975 until after November 1, 1983, Appellees.

No. 87-2345.

United States Court of Appeals,
Eighth Circuit.

Submitted May 11, 1988.
Decided March 23, 1989.

Louis M. Thrasher and Robert Gibson, Lincoln, Neb., for appellants.

Gary L. Dolan, Lincoln, Neb., for appellees.

Before JOHN R. GIBSON, Circuit Judge, and PECK* and HENLEY, Senior Circuit Judges.

JOHN R. GIBSON, Circuit Judge.

Claude T. Weimer, both individually and as representative of a class of depositors and holders of other obligations of the failed Commonwealth Savings Bank, brought this action under 42 U.S.C. Sec. 1983 against the former Director of the Nebraska Department of Banking and Finance, Paul Amen, members of the Nebraska Depository Insurance Guaranty Corporation (Guaranty), and Marvin and S.E. Copple, former officers of Commonwealth. The suit alleged a conspiracy between Amen and the other defendants to violate Nebraska law, and to fraudulently induce depositors to place their assets in the insolvent Commonwealth Bank. Weimer claimed that the presence of Amen transformed the alleged conspiracy from a matter of state concern to the level of a constitutional tort. Specifically, he claimed violation of both the substantive and procedural aspects of the fourteenth amendment due process clause. The district court1 granted motions to dismiss for failure to state a claim on which relief could be granted, Fed.R.Civ.P. 12(b)(6), and denied Weimer leave to amend the complaint, leading to the present appeal. Since we believe that even the proposed amended complaint fails to allege any deprivations of Weimer's constitutional rights cognizable under section 1983, we affirm.

I.

This litigation arises out of the failure of the Commonwealth Savings Bank, and the subsequent inability of Guaranty to fulfill its obligations. Weimer and his fellow class members all held accounts and/or other instruments and obligations issued by Commonwealth. Since the district court dismissed under Rule 12(b)(6), we state the facts as alleged in Weimer's two complaints.

In 1976 the state of Nebraska passed the Nebraska Depository Institution Guaranty Corporation Act, Neb.Rev.Stat. Secs. 21-17,127 to 21-17,145 (1987). The purpose of this act was to allow the chartering of local deposit guaranty corporations that member institutions could use in lieu of acquiring federal insurance. Guaranty received a charter under the act in 1978, and several of the named defendants were appointed to its board of directors. Amen was in charge of the Department of Banking and Finance at this time, giving him some regulatory authority over Guaranty, and requiring him to work closely with the defendant board members. Guaranty initially decided to require all member institutions to advertise that all accounts were guaranteed to the amount of $10,000 per account, and enacted an appropriate by-law. At the time this by-law was adopted the guaranty fund was sufficient to cover only 2% of the total deposits involved.

The Commonwealth Savings Bank became a member of Guaranty in August of 1979. Commonwealth was then the largest industrial loan company in Nebraska, with deposits of over $78,000,000. Unfortunately, Commonwealth was also in serious financial trouble as a result of felonious conversions made by Marvin and S.E. Copple, two officers of the bank. Despite the danger to the guaranty fund posed by Commonwealth's instability, Guaranty voted to increase the coverage to $30,000 per account in April of 1980, and to require all members to advertise this fact. The inevitable finally occurred in November of 1983, when Amen declared Commonwealth insolvent and the Department of Banking and Finance became the Receiver. Guaranty's reserves, weak to begin with, had been further depleted in April of that year by improper transfers and pledges to the Copples in the amount of $800,000. Guaranty became insolvent, causing the claimed losses to all depositors and instrument holders.

Weimer's original complaint centered on the theory that Amen and the other defendants had actively conspired to deprive the depositors of their assets by violating Nebraska law. He claimed that Amen violated his statutory duties as Director of the Department of Banking and Finance by failing to safeguard Commonwealth's deposits; specifically, by ignoring his legal duty to report Commonwealth's financial problems, by covering up the illegal conversions of the Copples, and by fraudulently engaging in efforts to induce depositors to retain or increase their deposits with Commonwealth. Weimer additionally claimed that Guaranty's board of directors was fully aware of Commonwealth's financial situation at all times, and that Amen and the board conspired to pass the by-laws requiring member advertising of the guaranty for the express purpose of defrauding depositors.

In considering motions to dismiss the complaint, the district court was willing to assume that Amen and the other defendants had acted under color of state law, and that the depositor's losses constituted a deprivation of property, but it found no violation of due process. Recognizing the holdings of this court with respect to substantive due process, it concluded "whatever the boundaries of the denial of substantive due process rights in this Circuit, the Court finds plaintiffs' complaint herein does not state such a claim." Weimer v. Amen, No. CV-86-L-757, slip op. at 5 (D.Neb. July 2, 1987). Further, it held that since the state of Nebraska had provided adequate post-deprivation remedies to the depositors, the procedural due process claim was barred by Parratt v.

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Bluebook (online)
870 F.2d 1400, 1989 U.S. App. LEXIS 3537, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weimer-v-amen-ca1-1989.