Zweiman v. AXA Equitable Life Insurance

146 F. Supp. 3d 536, 2015 U.S. Dist. LEXIS 159701, 2015 WL 7431191
CourtDistrict Court, S.D. New York
DecidedSeptember 30, 2015
Docket14-CV-5012 (VSB)
StatusPublished
Cited by4 cases

This text of 146 F. Supp. 3d 536 (Zweiman v. AXA Equitable Life Insurance) 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
Zweiman v. AXA Equitable Life Insurance, 146 F. Supp. 3d 536, 2015 U.S. Dist. LEXIS 159701, 2015 WL 7431191 (S.D.N.Y. 2015).

Opinion

[539]*539 MEMORANDUM & ORDER

VERNON S. BRODERICK, United States District Judge:

This is a putative class action commenced by Plaintiff Jessica Zweiman on behalf of herself and other variable annuity policy holders as customers of Defendant AXA Equitable Life Insurance Co. (“AXA”) alleging that AXA breached its contractual duties to them by implementing a volatility management strategy for its variable annuity policies. Presently pending before me are: (1) Plaintiffs motion to remand the Complaint to New York State Supreme Court, Westchester County under the Securities Litigation Uniform Standards Act of 1998 (“SLUSA”), Pub L. No. 105-353, 112 Stat. 3227 (codified at 15 U.S.C. §§ 77p, 78bb(f)); and (2) Defendant’s motion to dismiss the Complaint as precluded by SLUSA. Plaintiffs Complaint is precluded by SLUSA because it: (1) involves a covered class action; (2) asserts a state common law breach of contract cause of action; (3) concerns covered securities; and (4) contains allegations when viewed realistically assert misrepresentations or omissions of a material fact in connection with the purchase or sale of its variable annuities.

Therefore, Plaintiffs motion to remand is DENIED, and AXA’s motion to dismiss is GRANTED.

I. The Annuity Cases

This is the second putative class action commenced by Plaintiff Jessica Zweiman.1 The first action, Zweiman v. AXA Equitable Life Insurance Co., 14-CV-3128 (“Zweiman /”), was commenced in this Court on May 2, 2014. Zweiman I was one of four putative class actions commenced in this District, around the same time, by holders of AXA variable annuities concerning AXA’s use of a volatility management strategy with regard to these annuities — the others being: O’Donnell v. AXA Equitable Life Insurance Co., No. 14-CV-2209; Swallow v. AXA Equitable Life Insurance Co., No. 14-CV-3505; and Cabral v. AXA Equitable Life Insurance Co., No. 14-CV-3715 (collectively with Zweiman I, the “Annuity Cases”). O’Donnell was the first filed case and was assigned to me. (See No. 14-CV-2209, Doc. 2.) Subsequently, the other Annuity Cases were filed and marked as related, to O’Donnell and were assigned to me. (See e.g„ No. 14-CV-2209, Doc. 2; No. 14-CV-3128, Doc. 2; No. 14-CV-3505, Doc. 2; No. 14-CV-3715, Doc. 2.)

On June 5, 2014, AXA filed a letter in the O’Donnell case indicating: (1) its intention to seek to dismiss each of the Annuity Cases based on lack of subject matter jurisdiction; (2) asking for the briefing of the motions to be phased so that the subject matter jurisdiction issue could be considered first; and (3) suggesting that the initial pretrial conference scheduled for July 11, 2014 in O’Donnell also serve as the initial pretrial conference in the other Annuity Cases. (No. 14-CV-2209, Doc. 14.) At the time of AXA’s June 5th letter AXA had not been served in two of the other Annuity Cases. (Id.) The letter also indicated that on or before June 16, 2014, in accordance with my Individual Rules & Practices In Civil Cases (“Individual Rules”), AXA would submit in the O’Donnell action a letter requesting a pre-motion conference in connection with its anticipated motion to dismiss the complaint in that action for lack of subject matter jurisdiction. (Id.) I issued an order scheduling the initial conference in the An[540]*540nuity Cases for July 11, 2014. (No. 14-CV-2209, Doc. 15.)

On June 16, 2014, AXA submitted a pre-motion letter in O’Donnell requesting a premotion conference concerning its proposed motion to dismiss for lack of subject matter jurisdiction." (No. 14-CV-2209, Doc, 16.) In its letter, AXA pointed out that the sole basis for jurisdiction asserted by Plaintiff in O’Donnell was the Class Action Fairness Act of 2005 (“CAFA”), 28 U.S.C. §§ 1332(d) and 1453. (Id.) AXA argued that CAFA “excludes from its Scope any class action that solely involves a claim ... concerning a covered security” as defined in SLUSA. (Id. 1-2 (internal quotation marks omitted).) Since there was no other bases of jurisdiction AXA argued that the O’Donnell complaint must be dismissed. (Id. at 2.) Under Rule 4.A of my Individual Rules, O’Donnell had three business days within which to file his opposition to AXA’s pre-motion letter. On June 19, 2014, rather than file his opposition to AXA’s pre-motion letter, O’Donnell voluntarily dismissed his action. (No. 14-CV-2209, Doc. 17.) On that same day, the plaintiffs in the other Annuity Cases also voluntarily dismissed their claims. (No. 14-CV-3128, Doc. 12; No. 14-CV-3505, Doc. 7; No. 14-CV-3715, Doc. 11.)

II. Procedural History

Plaintiff commenced this putative class action by filing a complaint in the'Supreme Court of the State of New York, County of Westchester, Index No. 59638/2014, on June 19, 2014. (Compl.)2 The Complaint was served on AXA on June 24, 2014) (Doc. 1 ¶ 1), and on July 3, 2014, AXA removed this action to this Court, (Doc. 1). On July 3 AXA also filed a Related Case Statement indicating that the case was related to the Annuity Cases that had been pending before me. (Doc. 4.) On July 11, 2014, I entered a stipulation and order extending AXA’s time to answer up to August 29, 2014. (Doc. 8.) Defendant filed a pre-motion letter on July 21,2014 to request a conference in anticipation of filing a motion to dismiss the Complaint on the basis that “SLUSA precludes Zweiman from bringing her putative class action for breach of contract under state law.”3 (Doc. 11.) The case was accepted as related on July 21, 2014. (Docket Entry, July 21, 2014. On July 24, 2014, Plaintiff filed her response to Defendant’s pre-motion letter stating her intention to file a motion to remand that would “address the same threshold issue as AXA’s motion to dismiss,” and suggesting that AXA’s request for a pre-motion conference be denied as duplicative. (Doc. 15.)

On July 30, 2014, Plaintiff filed her motion to remand this action back to the Supreme Court of New York, (Doc, 16), and memorandum of law, (PL’s Remand Mem.)4. On that same day, I issued an order directing the parties to appear for a pre-motion conference on August 6, 2014. (Doc. 19.) At the pre-motion conference the parties discussed Plaintiffs motion to remand and AXA’s proposed motion to dismiss on the basis that the Complaint is precluded by SLUSA, and I set a briefing schedule. (Doc. 25.) On September 5, 2014, AXA filed its opposition to Zwei-man’s motion to remand and cross-moved to dismiss the action as precluded by SLU-[541]*541SA. (Def,’s Remand Opp & MTD.)5 Plaintiff ¿replied in-further support of her motion to remand and opposed AXA’s motion to dismiss on September 19, 2014. (PL’s Remand Reply & MTD Opp.)6 On September 25, 2014, AXA replied in further support of its motion to dismiss. (Det’s MTD Reply)7

III. Background8

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Related

O'Donnell v. AXA Equitable Life Ins. Co.
887 F.3d 124 (Second Circuit, 2018)
Taksir v. Vanguard Group, Inc.
253 F. Supp. 3d 787 (E.D. Pennsylvania, 2017)

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Bluebook (online)
146 F. Supp. 3d 536, 2015 U.S. Dist. LEXIS 159701, 2015 WL 7431191, Counsel Stack Legal Research, https://law.counselstack.com/opinion/zweiman-v-axa-equitable-life-insurance-nysd-2015.