Thames v. Gunter-Dunn, Inc.

Decision Date27 July 1979
Docket NumberGUNTER-DUN,INC
Citation373 So.2d 640
PartiesMary M. THAMES v., et al. 78-326.
CourtAlabama Supreme Court

Rufus M. King, James R. Seale and Clinton B. Smith, Montgomery, for appellant.

M. R. Nachman, Jr. of Steiner, Crum & Baker, Montgomery, Joe C. Cassady of Cassady, Fuller & Marsh, Enterprise, for Whitcher, Kittridge, Steeves, Stewart, Skelton & Co. and Finesse Co., appellees.

BEATTY, Justice.

The appellant appeals the trial court's order dismissing appellees as parties defendant.

The basic issue is whether Alabama has In personam jurisdiction pursuant to ARCP 4.2 over certain officers and employees of the First National Bank of Boston, some of whom are partners in a partnership which holds as nominee for Boston Bank stock pledged to that bank as security for its loans.

Appellant, Mrs. Mary Thames, leased certain store premises to Gunter-Dunn, Inc., a Delaware corporation with its principal place of business in Alabama. The lease was guaranteed by Johnson Stores, Inc., which owned all or a substantial portion of Gunter-Dunn. The First National Bank of Boston was a creditor of Johnson Stores and some or all of Johnson Stores' stock was pledged to the bank to secure its loan. Gunter-Dunn assigned the store lease to Gately and Fitzgerald Furniture Company, a Pennsylvania corporation with its principal place of business at Opp, Alabama.

The appellant filed a complaint in the Circuit Court of Coffee County against Gunter-Dunn, Johnson Stores, Gately and Fitzgerald, and the First National Bank of Boston. In her complaint appellant claimed breach of the lease by failure to pay rent, taxes and insurance and to make repairs. Furthermore, she asked for an accounting and a foreclosure of her landlord's lien, or alternatively for damages for breach of the lease and interference with said lien.

On February 28, 1977 the trial court entered a default judgment against Gunter-Dunn and Johnson Stores in the amount of $278,805.43.

Appellant then filed a second amended complaint and added as parties defendant appellees Skelton and Co., Stetson Whitcher, Ray R. Steeves, Finesse Co., C. J. Kittredge and Jamie B. Stewart. 1 This second amended complaint simply alleged that the bank officers were acting on behalf of Boston Bank and alleged the same causes of action and sought the same basic relief as in the original complaint.

The bank officers filed motions to dismiss based on a lack of personal jurisdiction and venue. The trial court ordered dismissal of the bank officers on February 20, 1979. Mrs. Thames now appeals their dismissal.

The appellant proposes three major grounds on which she claims personal jurisdiction over the appellees could be based.

First it is alleged that Gunter-Dunn was the alter ego of the appellees and as such the appellees could be held personally liable for their actions under ARCP 4.2(a)(2)(A). The appellant relies on Smith v. Chase Manhattan Corp., No. 77-55-4 (M.D.Ala., Order of April 18, 1977) to support this contention. There the plaintiff had a financing arrangement with Housing Investment Corporation, a wholly owned subsidiary of CMRCC, Inc., which was itself a wholly owned subsidiary of Chase Manhattan Corporation. The court held that because of the control exercised by Chase Manhattan Corporation over Housing Investment Corporation, the subsidiary lost all separate identity and became the alter ego of the parent, Chase Manhattan. Thus, the court allowed personal jurisdiction over Chase Manhattan.

Even so, it is clear that jurisdiction over individual officers or employees of a corporation may not be predicated merely upon jurisdiction over the corporation itself. Weller v. Cromwell Oil Co., 504 F.2d 927 (6th Cir. 1974); Professional Investors Life Ins. Co. v. Roussel, 445 F.Supp. 687 (D.Kan.1978); Path Instruments v. Asahi Optical Co., 312 F.Supp. 805 (S.D.N.Y.1970).

The relationship of bank officers to their bank is analogous to the relationship of corporate officers to their corporation. Therefore we will consider the question of personal jurisdiction here in the same way we would consider it in a corporate frame of reference. It is established that there must be a showing that the individual officers engaged in some activity that would subject them to the state's long-arm statute before In personam jurisdiction can attach.

In Idaho Potato Com'n v. Washington Potato Com'n, 410 F.Supp. 171, 181 (D.Idaho 1975) the court said:

(U)nless there is evidence that the act by the corporate officer was other than as an agent for the corporation, then personal jurisdiction over the corporate officer will not lie. Fashion Two Twenty, Inc. v. Steinberg, 339 F.Supp. 836, 842 (E.D.N.Y.1971).

In this case there was no allegation that the corporate entity was a sham or facade intended only to protect the individual appellees. Nor was there a showing that the appellees engaged in any business for personal gain or profit or any transaction which was outside the scope of their employment with the bank. Thus the corporation could not be said to have acted as an agent of the individual appellees so as to become their alter egos and to warrant personal jurisdiction over them.

The appellant's second contention is that the appellees caused her tortious injury in Alabama by an act or omission in this state under ARCP 4.2(a)(2)(C). Specifically she claims appellees interfered with the enforcement of her landlord's lien on the assets of Gunter-Dunn which were located on the premises leased from her.

It is not disputed that the...

To continue reading

Request your trial
22 cases
  • 27001 P'ship v. Kohlberg Kravis Roberts & Co.
    • United States
    • Alabama Supreme Court
    • August 19, 2011
    ...848, 858-59 (D. Ariz. 1999).As the defendants observe, this Court first applied the fiduciary-shield doctrine in Thames v. Gunter-Dunn, Inc., 373 So. 2d 640, 641-42 (Ala. 1979), wherein this Court stated:"[I]t is clear that jurisdiction over individual officers or employees of a corporation......
  • 27001 P'ship v. Kohlberg Kravis Roberts & Co. (Ex parte Kohlberg Kravis Roberts & Co.)
    • United States
    • Alabama Supreme Court
    • August 19, 2011
    ...848, 858–59 (D.Ariz.1999). As the defendants observe, this Court first applied the fiduciary-shield doctrine in Thames v. Gunter–Dunn, Inc., 373 So.2d 640, 641–42 (Ala.1979), wherein this Court stated: “[I]t is clear that jurisdiction over individual officers or employees of a corporation m......
  • CANDY H. v. Redemption Ranch, Inc.
    • United States
    • U.S. District Court — Middle District of Alabama
    • May 2, 1983
    ...Midland Bank v. Miller, 664 F.2d 899, 920 (3d Cir.1981); Weller v. Cromwell Oil Co., 504 F.2d 927 (6th Cir. 1974); Thames v. Gunter-Dunn, Inc., 373 So.2d 640 (Ala.1974).8 In Alabama, as in most states, the general rule is that officers or employees of a corporation are liable for torts in w......
  • Weiss v. Marsh, Civ. A. No. 81-65-S.
    • United States
    • U.S. District Court — Middle District of Alabama
    • January 22, 1982
    ...Plaintiff's action under the Equal Pay Act. Defendants base their argument regarding Mr. Marsh's minimum contacts on Thames v. Gunter-Dunn, Inc., 373 So.2d 640 (Ala.1974). However, assuming that this is a State law question, the argument — that jurisdiction over individuals or employees of ......
  • Request a trial to view additional results

VLEX uses login cookies to provide you with a better browsing experience. If you click on 'Accept' or continue browsing this site we consider that you accept our cookie policy. ACCEPT