Wuichet v. United States

8 F.2d 561, 1925 U.S. App. LEXIS 3312
CourtCourt of Appeals for the Sixth Circuit
DecidedNovember 13, 1925
Docket4339
StatusPublished
Cited by16 cases

This text of 8 F.2d 561 (Wuichet v. United States) is published on Counsel Stack Legal Research, covering Court of Appeals for the Sixth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wuichet v. United States, 8 F.2d 561, 1925 U.S. App. LEXIS 3312 (6th Cir. 1925).

Opinion

MOORMAN, Circuit Judge.

Wuichet and others were indicted under section 215 of the Penal Code (Comp. St. § 10385), charged in numerous counts with misuse of the mails in furtherance of a scheme to defraud. They were also indicted for a conspiracy to violate section 215. The cases were consolidated and some of the defendants dismissed, but others entered pleas of guilty, and Wuichet pleading not guilty was tried and convicted. In prosecuting this writ he contends, first, that the trial court erred in refusing to sustain his motion for a directed verdict, submitted at the conclusion of the government’s evidence.

The alleged fraudulent scheme with which defendants were charged grew out of a stock-selling program inaugurated by the American Finance Company. That company, of which Wuichet was president, was engaged mainly in lending money on automobiles. It occupied offices with the American Finance & Investment Company, a corporation engaged in a similar business, of which Wuichet was a director. In November of 1921 the Finance Company absorbed the Investment Company, which then held hills receivable and other obligations of several subsidiary companies engaged in selling automobiles. These were controlled by the Investment Company. Wuichet was a director in each of them. After the Investment Company was taken over, there was entered upon the books of the Finance Company as a “note receivable” an item of $250,-000, which in fact was a note of the Investment Company payable to the Finance Company only in the event that the former company re-engaged in business as a competitor of the latter. Another item similarly designated on the books of the Finance Company was a note for $95,450 which was executed by *562 J. M. Dunwoodie in consideration of the transfer to him of the capital stoek of two of the subsidiaries. But this note was to be paid out of future dividends from the stock of those companies, and not otherwise. Both companies were practically defunct, and their stoek was of little, if any, value. Thereafter the Finance Company, through its officers, sold stock of the company amounting to more than $100,000. , These sales were made by personal solicitations, after sending to prospective purchasers through the mails financial statements, pamphlets, and letters misrepresenting the financial condition of the company, the value of its stock, its past and prospective earnings, and the nature of its assets. Many of these statements and letters were signed by Wuiehet, who caused them to be mailed. They were grossly misleading. The financial statements listed at their face value as notes receivable the two items referred to, neither of which could truthfully be so classified, and both of which were valueless. One of these statements showed a company surplus of almost $100,000, whereas there was really a deficit of nearly four times that amount.

It is admitted that defendant used the mails in misrepresenting the financial condition of the company, but it is insisted for him that there was no evidence of any purpose on his part to defraud the purchasers of the stock or fraudulently to obtain money from them. We stall not review the facts relied on in support of this contention, or weigh them in connection with other facts of ■ different import, and,' as we view them, more compelling effect. It is enough to say that the evidence as a whole justified the finding of an underlying intent to defraud. That this element of an offense may be implied from established faets is beyond dispute. McDonald v. United States (6 C. C. A.) 241 F. 793, 154 C. C. A. 495. The proof here is that defendant was a man of considerable experience in financial matters, and his associations and connection with these companies were shown to be so intimate that it is difficult to believe he was not fully informed as 'to their finances. His attention was called to the impropriety of sending some of the letters containing misrepresentations, notwithstanding which he signed and caused them to be sent, knowing doubtless, as indeed was true, that the representations made by one of his financial standing would facilitate the sale of the stoek. The undisputed facts, with these circumstances, admit, we think, of no other reasonable inference than a fraudulent intent.

Nor was em>r committed in admitting in evidence copies of the income tax returns of the Investment Company and eexrtain of its subsidiaries for the years 1920 and 1921, and the Finance Company for the ,years 1921 and 1922. Defendant was president of the Finance Company and signed its return. He was a director of the other companies. The stability of the Fjnanee Company was in a substantial degree dependent upon the previous earnings and the financial condition of the Investment Company and its subsidiaries. The jury was instructed to consider the returns of these companies merely as evidence of what they purported to show. They contained facts bearing directly on the earnings and financial condition of the Finance Company, and necessarily, therefore, on the value of its capital stock. To this extent, and -within the limitations fixed by the court, they were clearly competent.

It is further contended that the motions to. quash jhe indictments should have been sustained. They were based on the ground that the grand jury was illegally constituted, in that it was drawn from a box that did not contain the names of women. Section 275 of the Judicial Code (Comp. St. § 1252) provides that jurors serving in the courts of the United States, in each state respectively, “shall have the same qualifications” as jurox’s of the highest court of law in such state. Under the law of Ohio women are qualified to serve on juries in the state court. Section 275 is construed by counsel for defendant as requiring the jury commissioner and clerk of the District Court to select jurors from all classes within the district qualified under the state law to serve, whereas the requirement is that the juroxrs selected shall have the “same qualifications” as those entitled to serve under the law of the state.

It is of course true that discrimination in the selection of a jury against qualified jux*ors because of their race is, as to one belonging to the excluded race and put on trial before a jury thus selected, a denial of the equal protection of the law. Strauder v. West Virginia, 100 U. S. 303, 25 L. Ed. 664; Ex parte Commonwealth of Virginia, 100 U. S. 313, 25 L. Ed. 667; Scott v. State (Old. Cr. App.) 233 P. 776. That, however, is not this case. There was no unlawful discrimination in the selection of the jfiry of which defendant could complain. If there was irregularity, it did not affect the competency of the individual jui’ors, and it *563 was incumbent on defendant, if be desired to avail himself of that question, to raise it before pleading to the merits.

In United States v. Gale, 109 U. S. 65, 3 S. Ct. 1, 27 L. Ed.

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Bluebook (online)
8 F.2d 561, 1925 U.S. App. LEXIS 3312, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wuichet-v-united-states-ca6-1925.