Wynston Hill Capital, LLC v. Crane

CourtDistrict Court, S.D. New York
DecidedSeptember 16, 2022
Docket1:21-cv-08398
StatusUnknown

This text of Wynston Hill Capital, LLC v. Crane (Wynston Hill Capital, LLC v. Crane) is published on Counsel Stack Legal Research, covering District Court, S.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wynston Hill Capital, LLC v. Crane, (S.D.N.Y. 2022).

Opinion

UNITED STATES DISTRICT COURT SOUTHERN DISTRICT OF NEW YORK WYNSTON HILL CAPITAL, LLC,

Petitioner, CIVIL ACTION NO.: 21 Civ. 8398 (SLC)

-v- OPINION & ORDER

ROBERT CRANE,

Respondent.

SARAH L. CAVE, United States Magistrate Judge.

I. INTRODUCTION Petitioner Wynston Hill Capital, LLC (“Wynston Hill”) commenced this action under the Federal Arbitration ACT (“FAA”), seeking to vacate an arbitration award dated August 17, 2021 (the “Award”) in favor of Respondent Robert Crane (“Crane”) following a hearing administered by the Financial Industry Regulatory Authority (“FINRA”). (ECF No. 1 (the “Petition”)). In the FINRA proceeding, Crane alleged, inter alia, that Wynston Hill “failed to supervise the brokers and employees involved in handling [his] account[,]” and that Joseph Thurnherr (“Thurnherr”), “the broker handling his account, was not registered in [Crane]’s state of residency and used the registration of another person to execute transactions in [Crane]’s account.” (ECF No. 4-1 at 2). Crane has opposed the Petition and cross-petitioned to confirm the Award. (ECF No. 4 (the “Cross-Petition”)). On August 26, 2022, the Court ordered the parties to show cause by September 2, 2022 “why their respective petitions should not be dismissed for lack of subject-matter jurisdiction and for failure to join an indispensable party, i.e., Thurnherr.” (ECF No. 11 (the “OTSC”)). Neither party responded to the OTSC. For the reasons set forth below, the Petition and Cross-Petition are DENIED WITHOUT PREJUDICE. II. BACKGROUND

A. Factual Background In or about January 2019, Crane opened an investment account at Wynston Hill, and “funded his account with approximately $400,000 in cash.” (ECF No. 4 at 5). Within three months, “his account sustained over $314,852 in losses.” (Id.) On or about August 1, 2019, Crane commenced arbitration (the “Arbitration”) against

Wynston Hill, Thurnherr, and three other individuals, namely, Robert Joseph Calamunci, Sr. (“Calamunci”), Craig Jay Sherman (“Sherman”), and Christopher Joseph Nelson (“Nelson”). (ECF No. 4-1 at 1). Crane asserted “the following causes of action: unsuitability, wrongful over- concentration, unauthorized trading, fraud, failure to supervise, and respondeat superior.” (Id. at 2). Crane’s claims “related to [his] allegation that Wynston Hill failed to supervise the brokers and employees involved in handling [his] account.” (Id.) Crane also “alleged that

Thurnherr, the broker handling his account, was not registered in [Crane]’s state of residency and used the registration of another person to execute transactions in [Crane]’s account.” (Id.) “Finally, [Crane] alleged that Wynston Hill, Calamunci, Sherman, Nelson, and Thurnherr [were] responsible for [] unsuitable and unauthorized trades in his account[.]” (Id.) On August 17, 2021, following a hearing, the Arbitration panel the (“Panel”) issued the Award. (ECF No. 4-1). The Panel determined that “Wynston Hill and Thurnherr are jointly and

severally liable for and shall pay to [Crane] the sum of $476,676.85, which include[d] $314,852.15 in compensatory damages and $161,824.70 in commissions, fees, and interest charges.” (Id. at 4). The Panel also found Wynston Hill and Thurnherr jointly and severally liable for interest on the Award, $1,500.00 in expert witness expenses, and $300.00 in costs. (Id. at 4–5). The Award reflects that, during the hearing, Crane “stipulated to the dismissal of claims against

Calamunci and Sherman and dismissed Nelson with prejudice.” (Id. at 4). B. Procedural Background On October 12, 2021, Wynston Hill filed the Petition against Crane, seeking to vacate the Award based on the arbitrator’s “manifest disregard of the law.” (ECF No. 1). Wynston Hill asserts that the “Court has jurisdiction pursuant to 28 U.S.C. § 1332 and the Federal Arbitration

Act, 9 U.S.C. § 10.” (Id. ¶ 4). Regarding the parties’ citizenship, Wynston alleges that it “is a New York limited liability company and at all relevant times, had its principal place of business in New York County, New York[,]” and that “Crane at all relevant times was a resident of the State of Iowa.” (Id. ¶¶ 2, 3). The Petition provides no information regarding the identity or citizenship of Wynston Hill’s members, nor, as noted above, did Wynston Hill respond to the OTSC. On October 14, 2021, the Honorable Gregory H. Woods, to whom the case was assigned

at that time, referred the case to the undersigned for general pretrial supervision and dispositive motions. (ECF No. 2). On October 25, 2021, Crane filed the Cross-Petition, opposing the Petition and seeking to confirm the Award. (ECF No. 4). Specifically, Crane requests “an Order confirming the Arbitration Award's finding of joint and several liability as to [Wynston Hill] and [] Thurnherr for compensatory damages in favor of” Crane. (Id. at 17). The Cross-Petition does not state any

basis for the Court’s subject matter jurisdiction, nor did Crane respond to the OTSC. On November 15, 2021, the parties consented to Magistrate Judge jurisdiction for all purposes. (ECF No. 10). On August 26, 2022, the Court ordered the parties “to show cause why their respective petitions should not be dismissed for lack of subject-matter jurisdiction and for

failure to join an indispensable party, i.e., Thurnherr.” (ECF No. 11 at 1–2). The Court directed the parties to respond to the OTSC by September 2, 2022, which they have failed to do. (Id. at 2). III. LEGAL STANDARDS A. Federal Subject Matter Jurisdiction “It is axiomatic that federal courts are courts of limited jurisdiction. They possess only

that power authorized by Constitution and statute.” Reach Glob., Inc. v. Ridenhour, No. 20 Civ. 391 (AKH), 2020 WL 2319176, at *1 (S.D.N.Y. May 10, 2020) (internal citations omitted). “As federal courts have limited jurisdiction, it is ‘presume[d] that federal courts lack jurisdiction unless the contrary appears affirmatively from the record.’” Pu v. Russell Publ’g Grp., Ltd., No. 15 Civ. 3936 (VSB), 2015 WL 13344079, at *2 (S.D.N.Y. Dec. 29, 2015) (quoting Renne v. Geary, 501 U.S. 312, 316 (1991)). Moreover, “federal courts have an independent obligation to ensure

that they do not exceed the scope of their jurisdiction, and therefore they must raise and decide jurisdictional questions that the parties either overlook or elect not to press.” Henderson ex rel. Henderson v. Shinseki, 562 U.S. 428, 434 (2011). Because subject matter jurisdiction “involves a court’s power to hear a case, [it] can never be forfeited or waived.” United States v. Cotton, 535 U.S. 625, 630 (2002). “Congress has granted [federal district] courts jurisdiction over two main kinds of cases[:]

. . . diversity cases—suits between citizens of different States as to any matter valued at more than $75,000[,]” and “federal-question cases—suits ‘arising under’ federal law.” Badgerow v. Walters, 142 S. Ct. 1310, 1315–16 (2022) (citing 28 U.S.C. §§ 1331, 1332(a)). Regarding the latter, “an action arises under federal law if that law ‘creates the cause of action asserted.’” Id. at 1316 (quoting Gunn v. Minton, 568 U.S. 251, 257 (2013)).

With respect to diversity cases, “[i]t is black-letter law that ‘complete diversity,’ in which the citizenship of each plaintiff is diverse from the citizenship of each defendant, must exist for a district court to exercise diversity jurisdiction over an action.” Vilayvanh v. E. 111th St.

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