127 Misc. 683 | N.Y. Sup. Ct. | 1926
This action is submitted upon the pleadings and an agreed statement of facts. The purpose of the action is to prevent an attempted investigation by the Attorney-General as to claimed fraudulent practices of the plaintiff in respect to stocks, bonds, other securities and commodities.
Acting under the provisions of article 23-A of the General Business Law (added by Laws of 1921, chap. 649), the Attorney-General caused to be issued a paper in the form of a subpoena, requiring the plaintiff to appear before him to testify in regard to the practices of the plaintiff, and commanding him to bring the books of account used in his business, including blotter, day books, ledgers, and other papers relating to the sale of securities in or from the State of New York. At the time of issuance and service of the subpoena there was issued and served also an order requiring the appearance of the plaintiff with his books and papers. The subpoena and order were returnable at the same time and place.
The plaintiff commenced this action before the return day named in the subpoena and order. By his complaint he alleges that he is
The relief sought by the plaintiff is a judgment enjoining and restraining the defendant, Ms deputies and agents, from conducting a hearing, proceeding or examination contemplated in the papers issued and served in the form of order and subpoena, and from examining plaintiff or his books, papers or documents; also restraining the defendant, Ms deputies or agents from taking any proceeding to compel the attendance of plaintiff, or the production of his books, and restraining him from any proceedings to punish the plaintiff for not attending and producing books and papers.
The facts which, by stipulation, are to be found and determined, and upon wMch a decision is to be made, are substantially as follows: That the plaintiff is a citizen of the United States and the State of New York, and resides in the county and State of New York; that the defendant is the Attorney-General of the State, and as such Attorney-General is located in the city of Albany in the Third Judicial Department; that for more than ten years last past the
It is urged that the proposed examination of plaintiff and inquiry sought to be conducted contravenes the Constitution in that: First, it is a deprivation of the rights secured citizens by article I, section 1, of the State Constitution; second, it is an attempt to give the Attorney-General certain judicial powers in violation of article 6 of the State Constitution relating to courts; third, it is a deprivation of liberty without due process of law, within the meaning of section 5 of article I of the State Constitution and the Fourteenth Amend
In considering these various contentions made in behalf of the plaintiff, it is well to view the purpose of the law. Article 23-A of the General Business Law was enacted for the purpose of dealing with “ Fraudulent practices in respect of stocks, bonds, and other securities.” The original law was passed in 1921. (Laws of 1921, chap. 649; amd. in 1923, chap. 600, and again in 1925; chap. 239.)
A practice has grown up in this State by. which many people have been cheated and defrauded by the sale of worthless securities and stocks. Such condition has become nation-wide, and laws have been enacted to combat the evil. (Hall v. Geiger-Jones Co., 242 U. S. 539; Matter of Ottinger v. Civil Service Commission, 240 N. Y. 435.) The law under consideration is known and referred to as the Martin Act. It is also known as a “ Blue Sky Law.” (8 C. J. 1130.)
That the purpose of the law is legal cannot be gainsaid. That it is aimed at an evil which exists cannot be questioned. It is necessary to determine whether the machinery established for the purpose of enforcement of the law is violative of the Constitutions. The general plan of the law is to provide for the prevention of fraudulent practices in the State in respect to stocks, bonds, securities and other commodities, through the activity of the Attorney-General and his deputies.
The law is made up of a number of sections. It provides that whenever it shall appear to the Attorney-General, either upon complaint or otherwise, that in the purchase or sale within this State of commodities, or in the issuance, sale or promotion of any stocks, bonds, etc., any person, corporation or association shall have employed or employs or is about to employ a scheme to defraud or to obtain money by false pretense, or when any person, corporation or the like makes or attempts to make a fictitious or pretended purchase of securities or commodities in this State, or shall have engaged or is about to engage in any practice which is fraudulent or in violation of the law, or which would operate as a fraud upon the purchaser, or where any dealer has sold or offered for sale, or is attempting to sell any security or securities in violation of the law as to fraudulent practices, or whenever the Attorney-General believes it to be in the public interest that an investigation should be made, he may, in his discretion, require such person, corporation or the like, to file with him a statement in writing under oath, or otherwise, as to the facts and circumstances concerning the matter which he believes to be to the public interest to investigate, and for that purpose may prescribe forms upon which statements shall
A reading and studying of the act as a whole is proper in order to consider and determine its various purposes as well as validity. Different proceedings are contemplated by the law, and the whole
Whether or not the plaintiff would be deprived of the rights and privileges secured by the law of the land, or deprived of his liberty or property without due process of law, by the action of the defendant under the particular section must be determined by many elements which enter into consideration.
It cannot be successfully urged by the plaintiff that his business is not one which should be subject to regulation and control. (People v. Atwater, 229 N. Y. 303; Banta v. City of Chicago, 172 Ill. 204; 40 L. R. A. 611.) The business of a dealer in securities has been regulated by some form of law and practice for a number of years. The court must take notice of that condition. The sales made as a rule are not of property, but of the evidence of an interest in property, and such is not an ordinary class of business. (Hall v. Geiger-Jones Co., 242 U. S. 539, 552; Jermain v. Lake S. & M. S. R. Co., 91 N. Y. 483, 492.) It has been regarded of such character as to require administrative control. (Merrick v. Halsey & Co., 242 U. S. 568, 585.) The dangerous and uncertain practices in relation to dealing, or claiming to deal, in various forms of commodities and securities have prompted the Legislature to pass stringent laws (Penal Law, §§ 390-395, 951-957.) The Legislature’s view of the dangerous practices to be guarded against is clear. It has the power to act and. discretion in acting. (Roman v. Lobe, 243 N. Y. 51, 54; People v. Beakes Dairy Co., 222 id. 416, 427; Klein v. Maravelas, 219 id. 383.)
“ The intangibility of securities, they being representatives or purporting to be representatives of something else, of property, it may be, in distant states and countries, schemes of plausible pretensions, requires a difference of provision and the integrity of the securities can only be assured by the probity of the dealers in them and the information which may be given of them. This assurance the state has deemed necessary for its welfare to require; and the requirement is not unreasonable or inappropriate. It extends to the general market something of the safeguards that are given to trading upon the exchanges and stock boards of the country, safeguards that experience has adopted as advantageous. Inconvenience may be caused and supervision and surveillance, but this must yield to the public welfare; and aga'nst counsel’s alarm of
The section of law under which the Attorney-General is attempting to act provides two steps in the proceedings: First, the sending out of a request foi; information. He is authorized to require the statement to be in writing and under oath, and to prescribe the form thereof. Such request for a verified statement was made of the plaintiff. Second, causing to be issued and served a paper in the form of subpoena, and a paper in the form of an order. Such subpoena and order were issued by the Attorney-General, acting under the provision of law authorizing and empowering him to subpoena witnesses, compel their attendance, examine them under oath, and to require the production of any books or papers which he deems relevant or material to the inquiry.
A copy of the proposed statement in form of questionnaire is annexed to the stipulated facts. It is in the form of a communication to be returned to the Attorney-General, made with spaces blank for furnishing information as to name of person, corporation or association, place of business, location of head offices, name under which business is conducted, length of time in business, in what States licensed or registered, States applied to for license or registration, statement as to filing of required notices, whether refused license or registration, whether license or registration has been revoked, whether individual or any one connected with business has ever been charged with violation of law against sale of securities, whether any one connected with business has ever been convicted of crime, whether been declared bankrupt, fist and description of books, statement of broker accounts, list of brokers and addresses with whom account has been opened, statement of all loans with schedule of securities held as collateral, schedule of all securities, statement of all failed securities, fist of securities carried in branch offices, hypothecation of securities and whether Tax Law provision has been complied with.
The information sought by the request made is rather in detail. However, it is nothing more than might be properly required upon application for a license, or required to be furnished in licensing or registering, where the business might be supervised and the public properly guarded against fraudulent practices.
The failure to comply with the request for information required by the Attorney-General is a misdemeanor. Such provision of law, however, would not and could not be held to extend to the failure to furnish information not pertinent or relevant and which would not fairly and reasonably be contemplated by the purposes of the law. That the request for information is beyond reason, not perti
Here the plaintiff disregarded the request in toto, and it is not necessary to analyze the need of information sought or justify each separate request for information. If any information required to be furnished was not proper, it could be refused. A misdemeanor would not be committed by refusal to reply to request for information not proper or legal. To hold otherwise would be to hold that a misdemeanor would be committed by the failure to give information neither pertinent nor relevant. Such is not the purpose of the law, for it provides that the request must be “ concerning the subject matter ” which is to the public interest to investigate. It must be pertinent and relevant, and cannot be controlled by anything but the reasonable belief of the Attorney-General as to the public interest, and in the event of an attempted prosecution the question eventually would be determined by the court.
The paper in the form of a subpoena commands that the plaintiff, to whom it is directed, lay aside all business and excuses and appear before the Attorney-General at his office at a certain time therein stated, to testify to what he knows or may know in regard to certain matters concerning the public interest, and bring with him certain books and papers which the Attorney-General deems relevant and material to inquiry concerning the practices of plaintiff, and further states that for failure to attend, plaintiff shall be deemed guilty of a misdemeanor. The order is entitled: “In the matter of an Inquiry conducted by the Attorney-General, under and by virtue of Chapter 649 of the Laws of 1921, and acts amendatory thereof and supplemental thereto, concerning the practices of Ernest F. Dunham, doing business as Dunham & Company, in respect to stocks, bonds, securities, etc. as mentioned in said act.” It is directed to Dunham & Co., and recites that it appearing to the Attorney-General, from data and information furnished to him, that certain books, papers and documents are material to the matter under inquiry, Dunham, the plaintiff, is ordered to bring and produce the same as specified before the Attorney-General at a time and place therein specified, which books and papers are enumerated, and which order further states that for failure to obey the same, plaintiff will be deemed guilty of a misdemeanor. The failure to attend in answer to a subpoena, or produce papers in keeping with the command of an order, or refusal to be sworn or answer questions, is a misdemeanor when done without “ reasonable cause.”
Both the response to the inquiry as required by what is referred
The constitutional rights of the plaintiff are not interfered with by the requirement that he furnish information and submit to examination. If the law required a licensing or a registration, the information sought, the control, the examination and a penal provision would be essential to make a workable as well as enforcible statute. In the event of licensing, the arguments advanced against the validity of the statute would be that the license fee was prohibitive, the law was discriminating, and many other and varied reasons urged against that type of legislation. The plaintiff here, and others in like position, should not complain about the law because it does not provide for licensing. To say that the authorities which sustain laws requiring licensing are distinguishable upon that ground alone, does not seem logical. The plaintiff is relieved of that requirement. A business can be supervised and controlled under the police power without its licensing. (General Business Law, § 343.) Licensing a business may be nothing but a means by which it can be regulated. The provisions of this statute differ somewhat from other statutes enacted for the same purpose, but its general plan is somewhat the same. (Caldwell v. Sioux Falls Stock Yards Co., 242 U. S. 559.)
It is urged that the attempt to give the Attorney-General general
The power to issue subpoena and direct appearance of witnesses is extended by statute as follows: “When * * * an arbitrator * * * other person, or a board or committee has been heretofore or is hereinafter expressly authorized by law to hear, try or determine a matter, or to do any other act in an official capacity, in relation to which proof may be taken, or the attendance of a person as a witness may be required; or to require a person to attend, either before him or it, or before another judge, or officer, or a person designated in a commission issued by a court of another State or country, to give testimony, or to have his deposition taken, or to be examined; a subpoena may be issued by and under the hand of the * * * person, or the chairman, or a majority of the board or committee, requiring the person to attend; and also, in a proper case, to bring with him a book or a paper. The subpoena must be served in the same manner as prescribed for the service of a subpoena issued out of-a court of record. This section does not apply to a matter arising, or an act to be done, in an action in a court of record.” (Civ. Prac. Act, § 406, subd. 1.)
The restriction of legislation has recently been attempted in relation to investigations and determinations by legislative and
The power of public officers, commissions and committees to subpoena and examine witnesses has been sustained by the courts of the State. (Matter of Her tie [In re Ahearn], 120 App. Div. 717; affd., 190 N. Y. 531; Matter of Hirshfield v. Cook, 227 id. 297, 300; People ex rel. Bender v. Milliken, 110 App. Div. 579; affd., 185 N. Y. 35; Matter of McAneny, 215 App. Div. 797; People v. Ellenbogen, 114 id. 182; affd., 186 N. Y. 603; Matter of Hirschfield v. Hanley, 228 id. 346, 348; Matter of Fenton, 58 Misc. 303.)
The plaintiff refers to the stipulated facts wherein it is agreed that the investigation here is for the purpose of discovering “ whether a cause of action exists ” and to aid in preparing the case, and urges that the power to subpoena, under such circumstances, is a judicial power, and cannot be conferred on the Attorney-General. The plaintiff cites the following cases as sustaining his contention: Matter of Union Bank, No. 2 (147 App. Div. 593; 204 N. Y. 313); Ward Baking Co. v. Western Union Telegraph Co. (205 App. Div. 723). Matter of Union Bank involved the question of whether or not the Superintendent of Banks, upon the facts disclosed in the case, was authorized to issue a subpoena requiring the attendance before him of a former president of the Union Bank, which institution had been taken possession of by the Superintendent of Banks, pursuant to the provisions of the Banking Law. That case does not hold that the subpoena power in the Superintendent of Banks was invalid. By inference it holds otherwise. It held that such power was coupled with the duty of the Superintendent to investigate for the purpose of deciding whether to take possession
Ward Baking Co. v. Western Union Telegraph Co. was an action brought to restrain a telegraph company from delivering to the Attorney-General copies of certain telegrams which were either sent or received by the plaintiff. The Attorney-General, acting under subdivision 8 of section 62 of the Executive Law, and pursuant to the directions of the Governor, was inquiring into the circumstances surrounding the death of one Peters. The conclusion of the Appellate Division was that the investigation was not general in character but was directed and conducted for the sole purpose of obtaining proof that one Ward had killed Peters with malice aforethought. (P. 727.) The court concluded that the provisions of subdivision 8 of section 62 of the Executive Law, relied upon by the Attorney-General, were not designed to give sanction to an investigation of that character. The holding of the Appellate Division in the Ward Baking Company case was undoubtedly prompted by the peculiar facts and circumstances there presented, and the manner in which the investigation was being conducted or attempted to be conducted. The court in that particular case felt justified in holding as it did, and in expressing the opinion of the court the justice writing for that tribunal used language which might lead one to believe that the power to issue subpoena and conduct investigation is a judicial power, and that there can be no delegation of it to an executive official. It is difficult to see, however, how the court could have so held, in view of the many authorities of the courts of the State to the contrary.
The case of People ex rel. Ferguson v. Reardon (197 N. Y. 236) is also cited by the plaintiff. That case involved the right of the State Comptroller to examine books of brokers to ascertain if stamp taxes had been paid. The sole question before the Court of Appeals in that case was whether that part of the Stock Stamp Tax Law which authorized the Comptroller to make a general examination of the books and papers of a broker was constitutional. The
It is essential that the court have forms of process to compel the attendance of witnesses and swear and examine parties and witnesses. It is one of the important functions of an original tribunal. The power to compel the attendance of witnesses and conduct an examination, however, is not peculiar to the courts. Such power has been exercised by various officials from time immemorial. The duty to investigate before commencing an action is one that would be incumbent upon an Attorney-General under any circumstances. Such would' be so, independent of any statutory provision; and that he should be empowered by law to make requests for sworn information, and require witnesses to appear and examine them, in order to pass upon the conduct of the party to determine whether there is a fraudulent practice, at most merely extends and prescribes a form of his investigation. On analysis, it would seem that a more serious'complaint could be made by one against whom an action had been instituted, and against whom fraudulent practices had been charged, where the action was prematurely or unfairly instituted and without investigation. If the manner of investigation is unfair or unreasonable or not legally conducted, the courts then are open to a person whose rights are unfairly dealt with. Under those circumstances, the courts would not fail to protect the individual. (Ward Baking Co. Case, supra; Reardon Case, supra; Union Bank Case, supra.) Such holdings, however, do not prevent the enactment and enforcement of laws to properly regulate and control a business which on account of its very nature, for the public welfare, requires regulation and control under the general police power.
The purpose of the investigation is to discover whether there is a violation. It is difficult to discover what other purpose would prompt an investigation. If through such an investigation it is discovered that an action should be brought, it is the duty of the Attorney-General to commence such action.
A number of States have passed laws of the class known as
Such statutes, or laws of which the present statutes are re-enactments, have been held constitutional. (Merrick v. Halsey & Co., 242 U. S. 568; Redmond & Co. v. Michigan Securities Comm., 222 Mich. 1; 192 N. W. 688; People v. Simonsen, 64 Cal. App. 97; People v. Lee, 311 Ill. 552; Schmidt v. Stortz, 208 Mo. App. 439; Hornaday v. State, [Okla. Cr. App.] 208 Pac. 228; King v. Commonwealth, 197 Ky. 128; 246 S. W. 162; Ex parte Taylor, 68 Fla. 61; Standard Home Co. v. Davis, 217 Fed. 904; Mechanics B. & L. Assn. v. Coffman, 110 Ark. 269.)
The need of this form of enforcement of the law may be evidenced by the somewhat general enactment thereof. (Roman v. Lobe, 243 N. Y. 51, 55; Klein v. Maravelas, 219 id. 383, 385; Biddles, Inc., v. Enright, 239 id. 354, 368.)
The authority granted to the Attorney-General under this statute is broad and somewhat unusual. The purpose of the Legislature to grant these unusual powers to the Attorney-General is clearly apparent. Inquiry and investigation, as before observed, of necessity would be coupled with the power of license, and under those circumstances the power of investigation would be essential or the need of licensing would not exist, except perhaps for license tax purposes. Whether the investigation should be made for the purpose of granting license (General Business Law, §§ 72, 73; Real Prop. Law, §§ 441, 441-e, as added by Laws of 1922, chap. 672),
Counsel for the plaintiff concedes that when a State has once brought within its control and has restricted a certain business or calling, those who choose to enter such business or calling thereby surrender some of their natural rights as citizens and become subject to a measure of supervision. It should be an answer to the contention that a licensing is required in the first instance, that there are certain types of business which may require power of regulation, and that when one chooses to enter such a business
The manners of investigation are of a number of different forms. However, they are all aimed at the purpose of discovering whether or not there are fraudulent practices condemned by the particular statute or other laws of the State. To say that the proceeding should be limited to an examination before beginning an action as contemplated by section 354, and that the Attorney-General could not resort to the proceedings as contemplated by section 352, where the requested information is not furnished, would tend to limit the operation of the statute and subject the dealer, operator or business to contemplated action, where, by a willingness to disclose information and submit to examination, the institution of an action would be shown to be unnecessary. If possible the courts should not hold that those who conduct a business of the class under consideration, and who are willing to show that the same is being legally and properly conducted, should be subject to annoyance by the institution of a contemplated action because others in the same general line of business are not willing to disclose information showing whether their business is properly or fraudulently maintained and conducted. ' Some of the provisions of this law (the Martin Act) appear to be rather unusual, and at least one section has met with the condemnation of the court. (§ 359-a; Matter of Ottinger v. Civil Service Commission, supra.) Such section so condemned, however, is not essential to the purpose and plan of the act (Weller v. New York, 268 Ú. S. 319), and could hardly be construed as a provision without which the law would not have been passed.
The duty is incumbent upon the court to construe a statute in such a manner as to bring it within the provisions of the Constitution. This should be done if, by any reasonable interpretation and construction, it can be done. It is presumed that the Legislature has confined itself within the limits of its power, and a court should hesitate before declaring legislation unconstitutional. Where conditions exist which make a statute necessary for the public welfare, and where evil practices are concededly extant, to hold legislation unconstitutional under such circumstances would not be a wise exercise of power. Where the method of enforcement is assailed, it would be equally unwise, unless the court can clearly see a procedure established that should not be allowed to be conducted. “ The test of the power of Congress is not the judgment
The purpose of the act is good. The means of enforcement are more extensive in some respects than other prior legislation in relation to investigation power. The court should hesitate to destroy or curtail the means of enforcement, when the eventual purpose is to attack evil practices.
The defendant is entitled to judgment dismissing the complaint on the merits, with costs. Submit decision.
Section 441 was amended by Laws of 1924, chap. 579.— [Rep.