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Ove Akerblom v. Ezra Holdings Limited, 12-20182 (2013)

Court: Court of Appeals for the Fifth Circuit Number: 12-20182 Visitors: 34
Filed: Jan. 28, 2013
Latest Update: Feb. 12, 2020
Summary: Case: 12-20182 Document: 00512126908 Page: 1 Date Filed: 01/28/2013 IN THE UNITED STATES COURT OF APPEALS FOR THE FIFTH CIRCUIT United States Court of Appeals Fifth Circuit FILED January 28, 2013 No. 12-20182 Lyle W. Cayce Clerk OVE WILLIAM AKERBLOM, Plaintiff - Appellant v. EZRA HOLDINGS LIMITED; EZRA ENERGY SERVICES PTE LIMITED; EMAS OFFSHORE LIMITED; EMAS SUBSEA SERVICES, L.L.C.; LEE CHYE TEK LIONEL, Defendants - Appellees Appeal from the United States District Court for the Southern District
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     Case: 12-20182       Document: 00512126908         Page: 1     Date Filed: 01/28/2013




           IN THE UNITED STATES COURT OF APPEALS
                    FOR THE FIFTH CIRCUIT  United States Court of Appeals
                                                    Fifth Circuit

                                                                            FILED
                                                                         January 28, 2013

                                       No. 12-20182                        Lyle W. Cayce
                                                                                Clerk

OVE WILLIAM AKERBLOM,

                                                  Plaintiff - Appellant

v.

EZRA HOLDINGS LIMITED; EZRA ENERGY SERVICES PTE LIMITED;
EMAS OFFSHORE LIMITED; EMAS SUBSEA SERVICES, L.L.C.; LEE
CHYE TEK LIONEL,

                                                  Defendants - Appellees



                   Appeal from the United States District Court
                        for the Southern District of Texas
                              USDC No. 4:11-CV-694


Before BARKSDALE, DENNIS, and GRAVES, Circuit Judges.
PER CURIAM*:
       Ove William Akerblom contests the district court’s dismissing, on the
following grounds, his action against Defendants: Emas Subsea Services, L.L.C.,
for failure to state a claim; Ezra Holdings Limited, Ezra Energy Services PTE
Limited, and Emas Offshore Limited, for lack of personal jurisdiction; and Lee
Chye Tek Lionel, for forum non conveniens. Primarily at issue is the court’s

       *
         Pursuant to 5th CIR. R. 47.5, the court has determined that this opinion should not
be published and is not precedent except under the limited circumstances set forth in 5th CIR.
R. 47.5.4.
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                                 No. 12-20182

denying Akerblom’s motion to remand, pursuant to its ruling Subsea was
improperly joined. Other issues include the denial of his motions to amend his
complaint and to conduct additional personal-jurisdiction discovery against
Holdings, Energy, and Offshore. Essentially for the reasons stated in the
district court’s three extremely detailed and comprehensive opinions, discussed
infra, the judgment is AFFIRMED.
                                       I.
      Akerblom, a Texas citizen, is the former majority shareholder and
president of Intrepid Global Pte. Ltd. Lee, a citizen of Singapore, is managing
director of Holdings. Lee maintains a residence in Texas and resides there
occasionally.
      Energy and Offshore are subsidiaries of Holdings. Holdings, Energy, and
Offshore are foreign corporations with principal places of business in Singapore.
None maintain Texas offices, are registered to do business in Texas, provide
goods or services in Texas or its territorial waters, or pay Texas taxes. Subsea,
a Delaware corporation, with its principal place of business in Houston, Texas,
is a subsidiary of Energy.
      The following facts are taken primarily from Akerblom’s state-court
petition and post-removal, federal-court amended complaint (pleadings). In July
2009, Lee approached Akerblom, regarding Holdings’ acquiring Intrepid.
Akerblom rejected a verbal and subsequent written offer, but Lee and Holdings’
chief financial officer (CFO) continued to pursue acquisition of Intrepid. In
October 2009, Lee proposed Akerblom sell 90 percent of his Intrepid stock (with
his retaining the remaining 10 percent) in exchange for: Holdings stock and
cash; and a salaried, five-year employment contract with Intrepid/Subsea (the
companies were to be integrated).       Lee also promised Intrepid would be
capitalized as necessary, and projected not only that Intrepid would realize
nearly $300 million in revenue growth, but also that Akerblom’s retained

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                                 No. 12-20182

Intrepid stock would generate $22 million in annual profit over a five-year
period. Despite other potential acquirers of Intrepid, Akerblom agreed to these
terms. (In response to the court’s requiring supplemental briefing for, and in
support of, Lee’s motion to dismiss for forum non conveniens, discussed infra,
Lee provided as exhibits three contracts signed by Akerblom in Singapore, all of
which included Singaporean choice-of-law and venue clauses, stating the terms
of Akerblom’s employment and the stock swap. At the time these contracts were
signed, Defendants allege Akerblom was residing in Singapore; he does not
dispute that allegation.)
      For 18 months thereafter, Akerblom and Intrepid employees supported
Holdings’ subsidiaries, but Akerblom’s and Lee’s relationship deteriorated.
Akerblom identified, and recommended, various business opportunities for
Intrepid, including expansion into West Africa; but, Lee declined them all,
causing Intrepid’s $400 million revenue loss. In Spring 2010, Holdings began
diverting business from Intrepid to Subsea (integration was apparently
incomplete). Soon after, Lee stated Akerblom would be the principal for global
marine construction, yet stated later he would be only the operations manager.
(It is unclear from Akerblom’s pleadings whether he would hold this position for
Intrepid, Subsea, or the joint venture once integration was completed.)
      Dissatisfied, and seeking to unwind the transaction, Akerblom made clear
his desire to part ways with Holdings and Lee. During late 2010, Lee pressured
Akerblom to repurchase his Intrepid stock for $650,000 and return his Holdings
shares, threatening his financial ruin if he refused; Holdings’ general counsel
later echoed that threat. Lee also caused the termination of Akerblom’s service
agreement with Intrepid, caused a Holdings subsidiary to breach a contract with
a separate company owned by Akerblom, and directed Holdings personnel to fire
Akerblom from that separate company.        (Holdings’ relationship with this
separate company is unclear.)      Finally, Lee threatened to initiate legal

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                                  No. 12-20182

proceedings against Akerblom in Singapore and prevent Akerblom’s defending
them, by causing his visa to be revoked.
      In January 2011, Akerblom sued Defendants in Texas state court,
asserting myriad contract and tort claims. In response, Defendants removed
this action under 28 U.S.C. § 1441, invoking alienage jurisdiction under 28
U.S.C. § 1332(a)(2); Subsea moved to dismiss under Federal Rule of Civil
Procedure 12(b)(6) for failure to state a claim; Holdings, Energy, and Offshore
moved to dismiss, inter alia, for lack of personal jurisdiction; and Lee moved to
dismiss for forum non conveniens.
      In reply to Defendants’ papers, Akerblom:         amended his state-court
petition (complaint), pursuant to Federal Rule of Civil Procedure 15(a)(1) (one
amendment without leave of court); and moved to remand, contending Subsea’s
being a defendant divested the district court of removal (28 U.S.C. § 1441(b)(2))
and subject matter (28 U.S.C. § 1332(a)(2)) jurisdiction. He supplemented that
motion with an affidavit, which presented additional facts supporting his claims.
      In opposition to the remand motion, Defendants invoked improper joinder.
In support, they asserted Akerblom included Subsea as a defendant only in an
attempt to keep this action in state court.
      In the above-referenced, three extremely detailed and comprehensive
opinions, the district court ruled in favor of Defendants, as follows. In July 2011,
the court ruled Subsea improperly joined and, therefore, denied Akerblom’s
motion to remand. Akerblom v. Ezra Holdings, Ltd., No. 4:11-CV-00694 (S.D.
Tex. 19 July 2011). Following oral argument in December 2011, the court in
January 2012: granted Subsea’s Rule 12(b)(6) motion, and denied Akerblom’s
motion to amend his complaint a second time; and granted Holdings’, Energy’s,
and Offshore’s motion to dismiss, based on lack of personal jurisdiction, and
denied Akerblom’s request for additional personal-jurisdiction discovery.
Akerblom v. Ezra Holdings, Ltd., No. 4:11-CV-00694 (S.D. Tex. 25 Jan. 2012).

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At the hearing in December 2011, the court also heard argument on Lee’s forum
non conveniens motion, but postponed ruling on it, pending receipt of the above-
described, then-ordered supplemental briefing on Singapore’s being an
alternative and adequate forum. In February 2012, following such briefing, the
court: granted Lee’s motion to dismiss for forum non conveniens, Akerblom v.
Ezra Holdings, Ltd., No. 4:11-CV-00694 (S.D. Tex. 13 Feb. 2012); and, that same
day, entered final judgment.
                                        II.
      Akerblom contends the district court erred by:           (1) ruling Subsea
improperly joined and, as a result, denying his remand motion; (2) granting
Subsea’s Rule 12(b)(6) motion for failure to state a claim, and denying, on futility
grounds, his motion to again amend his complaint; (3) dismissing his claims
against Holdings, Offshore, and Energy for lack of personal jurisdiction, after
finding them outside Texas’ general jurisdiction and denying him additional
discovery on that point; and (4) dismissing his claims against Lee for forum non
conveniens, after ruling, inter alia, Singapore is an alternative and adequate
forum (as discussed infra, the court retained authority to reassert jurisdiction
over Lee).
                                        A.
      For his claims against Subsea, Akerblom contends the jointly-pled claims
in his state-court petition and federal-court amended complaint alleged sufficient
facts to survive both an improper-joinder defense against remand and a Rule
12(b)(6) motion. With respect to the former, he asserts the district court erred
by not “piercing the pleadings” to determine whether he stated a claim against
Subsea. Despite, after removal, Subsea’s moving to dismiss under Rule 12(b)(6),
and Akerblom’s having then amended his complaint under Rule 15(a)(1) without
needing leave of court, Akerblom contends also the district court erred by
denying him leave to amend his complaint a second time.

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                                  No. 12-20182

      Defendants counter: Subsea was joined solely to defeat removal; and, for
Subsea, because of the analytical similarities between improper-joinder and Rule
12(b)(6) doctrines, the improper-joinder ruling’s being proper, summary
affirmance of the Rule 12(b)(6) ruling is mandated.          Relatedly, because
Akerblom’s pleadings had been subjected to an improper-joinder analysis,
Defendants contend Akerblom’s motion to amend was properly denied as futile.
                                        1.
      “When federal-court jurisdiction is predicated on the parties’ diversity of
citizenship [here, under 28 U.S.C. § 1332(a)(2)], removal is permissible only if
none of the parties in interest properly joined and served as defendants is a
citizen of the State in which [the] action [was] brought.” Lincoln Prop. Co. v.
Roche, 
546 U.S. 81
, 83-84 (2005) (quoting 28 U.S.C. § 1441(b)) (internal
quotation marks omitted; emphasis added; some alterations in original). Re-
stated, the improper joinder of a non-diverse or in-state defendant cannot defeat
removal jurisdiction. Salazar v. Allstate Texas Lloyd’s, Inc., 
455 F.3d 571
, 574
(5th Cir. 2006).
      Denials of motions to remand for lack of subject-matter jurisdiction,
pursuant to improper-joinder rulings, are reviewed de novo. E.g., McDonal v.
Abbott Labs., 
408 F.3d 177
, 182 (5th Cir. 2005). In reviewing an improper-
joinder ruling – a question of subject-matter jurisdiction, which necessitates
examining plaintiff’s state-court complaint – our court “must apply [state] law
as interpreted by [ ] state courts”. Mid-Continent Cas. Co. v. Swift Energy Co.,
206 F.3d 487
, 491 (5th Cir. 2000); Guillory v. PPG Indus., Inc., 
434 F.3d 303
, 312
(5th Cir. 2005) (evaluating plaintiffs’ claims under Louisiana law to determine
propriety of remand denial). The removing party bears a heavy burden to
establish improper joinder, with doubts resolved in favor of remand. Gasch v.
Hartford Acc. & Indem. Co., 
491 F.3d 278
, 281-82 (5th Cir. 2007).



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      Improper joinder exists when a plaintiff cannot establish a claim in state
court against a defendant whose presence in the action will defeat diversity or
removal jurisdiction. Smallwood v. Ill. Cent. R.R. Co., 
385 F.3d 568
, 573 (5th Cir.
2004) (en banc).
            [T]he test for [improper] joinder is whether the
            defendant has demonstrated that there is no possibility
            of recovery by the plaintiff against an in-state
            defendant, which stated differently means that there is
            no reasonable basis for the district court to predict that
            the plaintiff might be able to recover against an in-state
            defendant.
Id. (rejecting any other
phrasing of this rule).
      To determine such possibility of state-court recovery, a court may: analyze
the sufficiency of a plaintiff’s pleadings alone; or, in its discretion, “pierce the
pleadings and conduct a summary inquiry”. 
Id. The focus is
on plaintiff’s
pleadings at the time of removal, Cavallini v. State Farm Mut. Auto Ins. Co., 
44 F.3d 256
, 264 (5th Cir. 1995); post-removal filings may be considered only to the
extent they amplify or clarify facts alleged in the state-court complaint, with new
claims or theories of recovery disregarded. E.g., Griggs v. State Farm Lloyds, 
181 F.3d 694
, 700 (5th Cir. 1999) (affidavit considered only to extent consistent with
claims or theories in state-court complaint); Asociacion Nacional de Pescadores
v. Dow Quimica, 
988 F.2d 559
, 565 (5th Cir. 1993) (affidavit considered only to
clarify pre-removal, jurisdictional facts); cf. 
Cavallini, 44 F.3d at 263-65
(affidavit and amended complaint not considered when state-court complaint
itself contained no viable cause of action).
                                        a.
      Accordingly, for determining improper joinder vel non, Akerblom’s Texas
state-court petition (complaint) is the primary document considered. A Texas
state-court petition must “consist of a statement in plain and concise language
of the . . . cause of action . . . . [L]egal conclusion[s] shall not be grounds for

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objection when fair notice to the opponent is given”. TEX. R. CIV. P. 45(a) & (b).
“Under [this ‘fair notice’] standard, a petition is sufficient if it gives fair and
adequate notice of the facts upon which the pleader bases his claim.” Stafford v.
S. Vanity Magazine, Inc., 
231 S.W.3d 530
, 535 (Tex. App. 2007) (internal
quotation marks and citation omitted).
      In his state-court petition, Akerblom asserted against Subsea: breach of
contract; common-law fraud; statutory fraud under Texas Business and
Commerce Code § 27.01; breach of fiduciary duty; intentional infliction of
emotional distress; and civil conspiracy.          In his post-removal, amended
complaint, Akerblom asserts against Subsea the following additional claims and
theories: shareholder oppression; intentional interference with contract; and
joint-enterprise/alter-ego liability.
      Some claims are easily dispensed with: Akerblom abandoned his breach-
of-fiduciary-duty claim by failing to re-assert it against Subsea in his amended
complaint, Boelens v. Redman Homes, Inc., 
759 F.2d 504
, 508 (5th Cir. 1985);
and the shareholder-oppression and intentional-interference-with-contract
claims, as well as the joint-enterprise and alter-ego theories of liability, all raised
for the first time after removal, are disregarded, 
Griggs, 181 F.3d at 700
.
      Others fail as a matter of Texas contract or tort law. Regarding the
breach-of-contract claim, Akerblom at oral argument here conceded Subsea was
not a party to the contracts. Therefore, Subsea assumed no contractual duties
that it could breach. This defect, incapable of cure, is fatal to Akerblom’s breach-
of-contract claim. Koenning v. Manco Corp., 
521 S.W.2d 691
, 695 (Tex. App.
1975) (petition defective when failing to allege contractual relationship).
      Regarding the intentional-infliction-of-emotional-distress claim, the
gravamen of Akerblom’s claims sound in contract and fraud; accordingly, he
cannot state an emotional-distress claim. E.g., Creditwatch, Inc. v. Jackson, 
157 S.W.3d 814
, 816 (Tex. 2005) (availability of alternate remedies forecloses

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emotional-distress claim); Draker v. Schreiber, 
271 S.W.3d 318
, 322 (Tex. App.
2008) (“[I]f the gravamen of a plaintiff’s complaint is another tort, a claim for
intentional infliction of emotional distress [ ] will not lie . . . even [if plaintiff]
makes the alternate claim”.); Louis v. Mobil Chem. Co., 
254 S.W.3d 602
, 610
(Tex. App. 2008) (existence of statutory remedies precludes emotional-distress
claim).
      Thus, Akerblom’s motion to remand may be granted only if the common-
law and statutory fraud and civil-conspiracy claims provide a reasonable basis
to predict his state-court recovery against Subsea. Because a civil conspiracy
must be predicated on a separate, underlying tort, Fisher v. Yates, 
953 S.W.2d 370
, 381 (Tex. App. 1997), the fraud claims, which are comprised of essentially
identical elements, Brush v. Reata Oil & Gas Corp., 
984 S.W.2d 720
, 726 (Tex.
App. 1998), are necessarily considered first.
      To plead a claim for fraud, a plaintiff must allege facts showing: “a
material [ ]representation, which was false, and which was either known to be
false when made or was asserted without knowledge of its truth, which was
intended to be acted upon, which was relied upon, and which caused injury”.
Formosa Plastics Corp. USA v. Presidio Eng’rs & Contractors, Inc., 
960 S.W.2d 41
, 47 (Tex. 1998) (internal quotation marks and citation omitted). “A promise
of future performance constitutes an actionable misrepresentation if the promise
was made with no intention of performing at the time it was made.” 
Id. at 48 (emphasis
added).
      For his fraud claim in his state-court petition, Akerblom alleges: Lee and
Holdings made representations to Akerblom, which induced him to sell Intrepid
pursuant to the agreed-upon terms; he was introduced to Subsea’s associate
director shortly after concluding the sale agreements in Singapore; and
Intrepid’s business and employees were later diverted to Subsea. In his federal-
court amended complaint, Akerblom retains these allegations, but clarifies his

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                                  No. 12-20182

state-court petition by attributing the representations to Subsea specifically.
These representations, Akerblom contends, induced his selling Intrepid and
resulted in his suffering economic and reputational injuries. As discussed above,
Akerblom supplemented his motion to remand with an affidavit, in which he
attempted to clarify the factual basis for his claims.
      Akerblom’s state-court petition and federal-court amended complaint
allege that Lee and Holdings’ CFO, and apparently no other person or entity,
engaged in pre-agreement negotiations with Akerblom; presumably, the
misrepresentations on which Akerblom stakes his fraud claim occurred as part
of these negotiations. Assuming arguendo that Akerblom’s attributing these
misrepresentations to Subsea in his amended complaint seeks only to “clarify”
or “amplify” his state-court petition, his allegations of Subsea’s fraud are
nonetheless patently defective. Devoid of substance, Akerblom’s pleadings fail
to give Subsea “fair and adequate notice” of the two most basic elements of the
fraud asserted against it: the misrepresentation which induced his selling
Intrepid, and the identity of the Subsea officer who made it. (Again, Akerblom
cannot impute Lee’s representations to Subsea, a separate legal entity; such
imputation would depend upon an alter-ego or joint-enterprise theory, neither
of which was asserted in his state-court petition.) Absent these essentials,
Subsea cannot determine “what evidence might be relevant” in order to “prepare
a defense”. 
Stafford, 231 S.W.3d at 535
.
      These insufficiencies notwithstanding, Akerblom advances, at base, a
fraudulent-inducement claim. Casting further doubt on a predictable basis for
his recovery in Texas court, Akerblom must ultimately prove that, at the time
those representations were made, Subsea never intended to perform. Formosa
Plastics, 960 S.W.2d at 48
. Moreover, some of the representations on which
Akerblom relied were subsumed in the contract and partially performed: the
stock swap occurred as proposed, as did Akerblom’s agreed-upon employment

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                                  No. 12-20182

terms until late 2010. Some that were not performed, such as Lee’s demoting
Akerblom, are actionable in contract, 
id. (“failure to perform
a contract is not
evidence of fraud”), while others, such as the promises of future revenue and
stock appreciation, are not actionable at all. E.g., Holland v. Thompson, 
338 S.W.3d 586
, 596-97 (Tex. App. 2010) (expression of future monetary value not
actionable representation of fact); McCollum v. P/S Invs., Ltd., 
764 S.W.2d 252
,
255 (Tex. App. 1988) (future expressions of value generally non-actionable
opinions, particularly where parties have comparative expertise).
         In the light of these facts, Akerblom cannot plead, as fraudulent-
inducement, what is in reality a contract claim.            Further, although an
adequately-pled fraud claim against one defendant may impute to a co-defendant
“fair and adequate notice” of a civil-conspiracy claim, 
Fisher, 953 S.W.2d at 380
,
Akerblom’s fraud claim against Lee fails because, as discussed, it is not
adequately pled; consequently, his civil-conspiracy claim against Subsea also
fails.
                                        b.
         Akerblom contends the district court, as part of its improper-joinder
analysis, should have “pierced the pleadings” to consider his earlier-referenced
affidavit, filed in support of his remand motion. It is rarely appropriate,
however, to “pierce the pleadings”, and then only when a defendant can point to
undisputed facts that would preclude a plaintiff’s recovery against it in state
court. E.g., 
Smallwood, 385 F.3d at 573
; Travis v. Irby, 
326 F.3d 644
, 650 (5th
Cir. 2003). Because Akerblom’s state-court petition and federal-court amended
complaint were insufficient on their face, this step was unnecessary; accordingly,
the district court did not abuse its discretion in declining to do so.
         In sum, despite the rule that doubts regarding the sufficiency of a
plaintiff’s pleadings are to be resolved in favor of remand when improper joinder
is claimed, Defendants’ heavy burden to establish such joinder, and the liberal

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Texas pleading rules against which Akerblom’s pleadings are measured, there
is no reasonable basis on which to predict Akerblom’s state-court recovery
against Subsea. Therefore, pursuant to its ruling correctly that Subsea was
improperly joined, the district court properly denied Akerblom’s motion to
remand.
                                        2.
      Because we affirm the district court’s ruling in July 2011 that Subsea was
improperly joined, review of the court’s rulings in January 2012 that granted
Subsea’s Rule 12(b)(6) motion and denied Akerblom’s motion for leave to amend
is not necessary for our affirming the February 2012 judgment. Subsea is a non-
diverse defendant; and, of course, complete diversity is a jurisdictional
prerequisite to such review. Nevertheless, although it may have been preferable
for the district court to have dismissed Subsea from this action in July 2011
under Federal Rule of Civil Procedure 21 (misjoinder of parties), its later ruling
in January 2012 on Subsea’s Rule 12(b)(6) motion presents no jurisdictional
flaw. Once ruled improperly joined, and without any possibility for Akerblom to
recover against it in this action, Subsea was effectively dismissed from this
action in July 2011; in any event, complete diversity existed when judgment was
entered in February 2012. E.g., Caterpillar v. Lewis, 
519 U.S. 61
, 76-77 (1996)
(lack of complete diversity not fatal to adjudication if complete diversity exists
when judgment entered).
                                       B.
      Next considered are the district court’s, in January 2012: dismissing
Holdings, Energy, and Offshore for lack of personal jurisdiction; and denying
Akerblom’s request for additional personal-jurisdiction discovery.
                                        1.
      A dismissal for lack of personal jurisdiction is reviewed de novo. E.g.,
Latshaw v. Johnston, 
167 F.3d 208
, 210-11 (5th Cir. 1999). For this diversity

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                                  No. 12-20182

action, the district court may “exercise jurisdiction over only those defendants
who are subject to the jurisdiction of courts of the state in which the [federal]
court sits”. Point Landing, Inc. v. Omni Capital Int’l, Ltd., 
795 F.2d 415
, 419 (5th
Cir. 1986). Because Texas’ long-arm statute extends as far as the Fourteenth
Amendment’s Due Process Clause allows, “the personal jurisdiction question is
actually a constitutional due process inquiry”. Command-Aire Corp. v. Ontario
Mech. Sales & Serv. Inc., 
963 F.2d 90
, 93 (5th Cir. 1992) (citation omitted).
      A plaintiff establishes constitutionally-permissible personal jurisdiction
by showing, inter alia, a defendant has such “minimum contacts” with the forum
State that “he should reasonably anticipate being haled into court there”. World-
Wide Volkswagon Corp. v. Woodson, 
444 U.S. 286
, 297 (1980). A plaintiff can
establish personal jurisdiction through either: “specific jurisdiction”, when the
action arises out of, or is related to, a defendant’s specific contacts with the
forum State, Helicopteros Nacionales de Colombia, S.A. v. Hall, 
466 U.S. 408
,
414 n.8 (1984); or “general jurisdiction”, when a defendant has engaged in
“continuous and systematic” contacts with the forum State and, therefore,
expects fairly to be haled into court there for any reason, 
id. at 414-15 (citing
Perkins v. Benguet Consol. Mining Co., 
342 U.S. 770
, 779-80 (1984)).
      Akerblom relies only on general jurisdiction. But, he cannot show any of
these three Defendants engaged in “continuous and systematic” contact with
Texas sufficient for general jurisdiction. Each is a foreign company with a
foreign principal place of business. In Helicopteros, the Court held a foreign
company’s repeated transactional activity, coupled with occasional physical
presence, was insufficient to support general 
jurisdiction. 466 U.S. at 418-19
.
Although Holdings, Energy, and Offshore have transacted business in Texas,
these contacts are no greater than those in Helicopteros. Akerblom has not
shown any additional contacts with Texas that could fairly be described as
“continuous and systematic”.      His conclusory allegations cannot establish

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                                  No. 12-20182

general jurisdiction. Panda Brandywine Corp. v. Potomac Elec. Power Co., 
253 F.3d 865
, 869 (5th Cir. 2001).
                                         2.
      The district court denied Akerblom additional discovery on the personal-
jurisdiction question because Akerblom’s earlier briefing on whether Holdings
had a Houston office was non-responsive. Akerblom, No. 4:11-CV-694, at *30-31
(25 Jan. 2012). Discovery rulings on matters related to personal jurisdiction are
“reviewed for abuse of discretion and will not be disturbed ordinarily unless
there are unusual circumstances showing a clear abuse”. Seiferth v. Helicopteros
Atuneros, Inc., 
472 F.3d 266
, 270 (5th Cir. 2006) (internal quotation marks and
citation omitted).
      The court considered Akerblom’s 17 exhibits and three affidavits, none of
which provided a substantial basis for finding personal jurisdiction. Because no
“unusual circumstances showing a clear abuse” of discretion are present, see 
id., this additional-discovery claim
fails.
                                         C.
       In contesting Lee’s dismissal for forum non conveniens, Akerblom
maintains, inter alia, Singapore is neither an alternative nor an adequate forum.
Lee, despite maintaining a residence in Texas and residing there occasionally,
contends otherwise, noting also the Singaporean venue and choice-of-law clause
contained in the agreements, which he asserts must be given effect.
      “The doctrine of forum non conveniens proceed[s] from [the] premise [that]
. . . [i]n rare circumstances, federal courts can relinquish their jurisdiction in
favor of another forum.” DTEX, LLC v. BBVA Bancomer, 
508 F.3d 785
, 794 (5th
Cir. 2007) (internal quotation marks and citation omitted; alterations in
original). Dismissals for forum non conveniens are reversible only for clear
abuse of discretion, and are accorded substantial deference so long as the court
reasonably balanced the below-discussed factors. 
Id. 14 Case: 12-20182
     Document: 00512126908     Page: 15   Date Filed: 01/28/2013



                                  No. 12-20182

      Such dismissal requires the initial determination that an alternative and
adequate forum exists for adjudication of the parties’ claims. Piper Aircraft Co.
v. Reyno, 
454 U.S. 235
, 254 n.22 (1981). If it does, “the court must determine
which forum is best suited to the litigation”, a task accomplished through the
balancing of private- and public-interest factors. 
DTEX, 508 F.3d at 794
. The
movant bears the burden of proof on all elements of the doctrine, id.; and a
district court may “decline to exercise its jurisdiction” if both convenience and
the interests of justice favor a foreign trial. Karim v. Finch Shipping Co., Ltd.,
265 F.3d 258
, 268 (5th Cir. 2001).
      An alternative forum exists “when the entire case and all parties can come
within the jurisdiction of that forum”. Alpine View Co. Ltd. v. Atlas Copco AB,
205 F.3d 208
, 221 (5th Cir. 2000) (citation omitted). And, the forum “is adequate
when the parties will not be deprived of all remedies or treated unfairly, even
though they may not enjoy the same benefits as they might receive in an
American court”. 
Id. Akerblom contends Singapore
cannot qualify as an alternative and
adequate forum because: Lee threatened to cancel his visa and cause his
bankruptcy, rendering him unable to attend Singaporean proceedings; jury trials
are not permitted there; and live testimony would be required as a result of
Singaporean law’s not permitting use of depositions.
      In its well-reasoned opinion, the district court noted Lee submitted a
declaration stating he is willing to accept service in the United States or
Singapore, he voluntarily consented to Singapore’s jurisdiction, and he waived
jurisdictional defenses in that forum. Akerblom, No. 4:11-CV-00694, at * 6 (13
Feb. 2012). Consenting to a foreign court’s jurisdiction renders that forum
available for purposes of the doctrine of forum non conveniens. In re Ford Motor
Co., 
591 F.3d 406
, 412 (5th Cir. 2009). The court concluded discovery limitations
and the lack of jury trial in a foreign forum do not render it inadequate.

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                                  No. 12-20182

Akerblom, No. 4:11-CV-00694, at *7 (13 Feb. 2012) (citing Zermeno v. McDonnell
Douglas Corp., 
246 F. Supp. 2d 646
, 659 (S.D. Tex. 2003)). It also confirmed
Singaporean courts would hear the claims within 18 months, compel the
production of evidence, and not prejudice foreign litigants. 
Id. at *8. In
the light
of the court’s thorough analysis, there was no abuse of discretion in its
concluding Singapore is an alternative and adequate forum.
      Therefore, next at issue is whether Singapore is the appropriate forum for
the adjudication of the parties’ claims. For that decision, our court has outlined
the requisite private- and public-interest factors to be considered:
            The “private interest” factors include: (i) the relative
            ease of access to sources of proof; (ii) availability of
            compulsory process for attendance of unwilling, and the
            cost of obtaining attendance of willing, witnesses; (iii)
            possibility of view of the premises, if view would be
            appropriate to the action; (iv) all other practical
            problems that make trial of a case easy, expeditious and
            inexpensive . . . [including] enforceability of judgment;
            and whether the plaintiff has sought to “vex,” “harass,”
            or “oppress” the defendant.
            The “public interest” factors include: (i) the
            administrative difficulties flowing from court
            congestion; (ii) the local interest in having localized
            controversies resolved at home; (iii) the interest in
            having the trial of a diversity case in a forum that is
            familiar with the law that must govern the action; (iv)
            the avoidance of unnecessary problems in conflicts of
            law, or in application of foreign law; and (v) the
            unfairness of burdening citizens in an unrelated forum
            with jury duty.
DTEX, 508 F.3d at 794
(internal citations and alterations omitted).
      The district court weighted the private-interest factors as neutral:
Akerblom’s witnesses would be required to travel to Singapore; but, the majority
of the evidence was located there, as Lee’s actions were on behalf of Singapore-
based entities. Akerblom, No. 4:11-CV-00694, (13 Feb. 2012) at *9. The court

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                                  No. 12-20182

concluded that the public-interest factors militated in favor of dismissal, because
a jury would be required to apply Singaporean law to an action in which Texas
has little interest. 
Id. It further noted
the action would burden the court’s
docket. The court considered the choice-of-law and venue clauses in the context
of “an era of increasing international commerce”, and concluded these bargained-
for clauses trumped Akerblom’s forum choice. 
Id. at *9-10. (Although
not
mentioned by the court, Akerblom’s undisputed Singaporean residency when the
contracts were executed is relevant.) Because the district court considered the
appropriate factors and balanced them reasonably, it did not clearly abuse its
discretion in ruling on the private- and public-interest factors.
      In sum, in the light of its rulings on the above-discussed factors to be
considered, the dismissal of Lee under the doctrine of forum non conveniens was
not a clear abuse of discretion. (As noted above, Lee’s dismissal for forum non
conveniens, of course, was conditioned on the court’s retaining authority to
reassert jurisdiction if: Lee fails to submit to the jurisdiction of Singaporean
courts, asserts jurisdictional defenses there, or refuses service of process; or, if
Akerblom is precluded from entering Singapore. 
Id. at *10.) III.
      For the foregoing reasons, and essentially for the reasons stated in the
district court’s three above-discussed opinions, the judgment is AFFIRMED.




                                        17

Source:  CourtListener

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