United States v. Montgomery, 9093

Decision Date13 January 1938
Docket NumberNo. 9093,9094.,9093
Citation21 F. Supp. 770
PartiesUNITED STATES v. MONTGOMERY et al. SAME v. LITTLE et al.
CourtU.S. District Court — District of New Mexico

William J. Barker and J. Albert Woll, Sp. Assts. to Atty. Gen., for the United States.

Caswell S. Neal, of Carlsbad, N. M., and J. S. Vaught, George Craig, and Hugh Woodward, all of Albuquerque, N. M., for defendants.

KENNEDY, District Judge.

In the above-entitled causes the defendants were indicted for violation of sections 338 and 88, title 18 U.S.C., 18 U.S.C.A. §§ 338, 88, commonly known as the Mail Fraud and the Conspiracy Statutes. In case No. 9093 the indictment is made up of 16 counts, the first 15 of which charge separate violations of the Mail Fraud Statute and the last count a violation of the Conspiracy Statute. In case No. 9094 the indictment is made up of 14 counts, the first 13 of which charge separate violations of the Mail Fraud Statute and the last count a violation of the Conspiracy Statute. The first-mentioned indictment revolves in and about the organization and handling of a corporation known as the New Mexico Potash & Chemical Company, and the latter indictment concerns like actions in regard to a company known as the Royalty Bond Share Corporation. In each case the defendants interposed motions to quash and demurrers, and, as the points raised in each case are identical, the cases were consolidated for the purposes of argument and disposition of such motions and demurrers.

At the hearing upon the motions and demurrers it was indicated that all the points raised would be overruled with the exception of the demurrer as applied to count one in case No. 9093, which was admitted as having been brought in contravention of the Statute of Limitations and with the further exception of the first point raised in the motions and demurrers, upon which the court requested counsel to submit briefs.

The last-mentioned point raises the question as to whether or not the Mail Fraud Statute as it concerns the use of the mails in the matter of carrying out an alleged fraudulent scheme in the promulgation and sale of worthless securities has been superseded, and therefore by implication repealed by the Securities Act of 1933, 48 Stat. 74, as amended, 15 U.S.C. § 77a et seq. The general principles governing a question of this character are not seriously in dispute among the authorities. The substance of the main rule is stated in the first syllabus of United States v. Tynen, 11 Wall. 88, 20 L.Ed. 153 in the following language: "When there are two acts of Congress on the same subject, and the latter act embraces all the provisions of the first, and also new provisions, and imposes different or additional penalties, the latter act operates, without any repealing clause, as a repeal of the first."

Other so-called rules are corollaries of the rule as above stated, leading to the same conclusion. On the other hand, another accepted rule is found in the third syllabus of United States v. Burroughs, 289 U.S. 159, 53 S.Ct. 574, 577, 77 L.Ed. 1096, as follows: "Implied repeals are not favored, and if effect can reasonably be given to both statutes the presumption is that the earlier is intended to remain in force."

In United States v. Bogy, D.C., 16 F. Supp. 407, an indictment including counts both under the Mail Fraud Statute and under the Securities Act was sustained against demurrers. The exact point here was ruled in favor of the government in United States v. Alluan et al., D. C., 13 F. Supp. 289. It is true this case is criticized by counsel because of the alleged oversight of the court in failing to recognize the comprehensive definition of the word "sale" as contained in the Securities Act. However, a complete reading of the opinion seems to cast doubt upon this theory because of the language of the court, 13 F.Supp. 289, on page 292, which says:...

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2 cases
  • U.S. v. Brien
    • United States
    • U.S. Court of Appeals — First Circuit
    • April 28, 1980
    ...the entire field occupied by the earlier one. United States v. Tynen, 78 U.S. (11 Wall.) 88, 20 L.Ed. 153 (1870); United States v. Montgomery, 21 F.Supp. 770, 771 (D.N.M.1938). The CFTA, which prohibits only interstate communications in commodities fraud, obviously does not cover the entire......
  • Edwards v. United States
    • United States
    • U.S. Supreme Court
    • March 3, 1941
    ...Code, section 215, 18 U.S.C. § 338, 18 U.S.C.A. § 338. 16 Cf. United States v. Rollnick, 2 Cir., 91 F.2d 911, 918; United States v. Montgomery, D.C., 21 F.Supp. 770; United States v. Alluan, D.C., 13 F.Supp. 289. ...

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