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Breeding Miscue Robbed Taste from Supermarket Tomatoes

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Supermarket tomatoes were bred to all turn light green at the same time, but what came along for that ride was a reduction in the ability to produce sugar. Cynthia Graber reports

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For many people summer equals tomatoes. That?s when folks can get their hands on gorgeous heirloom and traditional varieties, full of tomatoey flavor. Such tomatoes provide a stark contrast to year-round supermarket ones, famous for tasting like, well, nothing. They?ve been bred for uniform color and ripening?not for taste.

Now scientists have determined just what?s genetically missing in store-bought tomatoes.

The researchers honed in on two transcription factors. Transcription factors are proteins that control the expression of genes?in this case they?re necessary for the production of chloroplasts, which allow sunlight to generate sugars and other compounds.

Darker green tomato fruit expresses genes that make possible increased photosynthesis?and so the fruits are able to produce more sugars for a tastier end product. But typical supermarket tomatoes, which had been bred to all turn light green at the same time, were also accidentally bred with reduced chloroplasts?and thus reduced sugar content. The research was published in the journal Science. [Ann L.T. Powell et al., "Uniform ripening Encodes a Golden 2-like Transcription Factor Regulating Tomato Fruit Chloroplast Development"]

The scientists say understanding the genes involved in better flavor could enable growers to offer tastier supermarket varieties. So that when you say tomato, I can say to-ma-to or to-mah-to instead of bleech.

?Cynthia Graber

[The above text is a transcript of this podcast.]?


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Hornets select Davis with No. 1 pick in NBA draft

NEWARK, N.J. (AP) ? Anthony Davis hugged his college teammate, hugged his coach, and climbed on stage as the No. 1 pick.

Turns out, that was just the start of Kentucky's party at the NBA draft.

The Wildcats became the first school to have the top two picks and tied a record with six players taken overall Thursday night.

After the New Orleans Hornets made the long-expected selection of Davis, Charlotte followed by taking fellow freshman Michael Kidd-Gilchrist.

Saying he was nervous even though his selection was no surprise, Davis shared an embrace with Kidd-Gilchrist, seated at a nearby table.

"My arm was shaking and my hands were sweaty. Got up and hugged Michael, my best friend, wanted to hug him for a minute," Davis said. "When my name got called, wanted to make sure he stayed close."

He did ? following Davis as the next player to climb up and shake Commissioner David Stern's hand.

"It's crazy," Davis said moments after Kidd-Gilchrist's selection. "Michael is a great player. We have two down and four more to go. Hopefully, all of them will go in the first round."

They didn't, the only disappointment for the Wildcats. They settled for four in the first round and a tie with North Carolina, which won the race to four picks ? all in the top 17 selections.

Harrison Barnes (No. 7, Golden State), Kendall Marshall (No. 13, Phoenix), John Henson (No. 14, Milwaukee) and Tyler Zeller (No. 17, Dallas and later traded to Cleveland) all went between Kidd-Gilchrist and the next Kentucky player, Terrence Jones at No. 18 to Houston.

Otherwise, it was the Wildcats' night.

Kentucky got its fourth first-round pick at No. 29 with Marquis Teague, another freshman, who is headed to Chicago as a possible replacement for the injured Derrick Rose. Doron Lamb went 42nd to Milwaukee, and Darius Miller was 46th to New Orleans.

Only UNLV in 1977 had six players drafted ? but none in the first round.

Kentucky coach John Calipari has been criticized for recruiting "one-and-done" players, they stay the required one year and leave, but he looked thrilled hugging his two stars at the start of the night.

It's been a long time since a school made such an impact at the top of the draft.

UCLA had the Nos. 1 and 3 picks in 1969, when Milwaukee took Kareem Abdul-Jabbar ? then Lew Alcindor ? and Lucius Allen went third to the Seattle SuperSonics.

Davis will begin his pro career in the same city where he ended it with a national title. College basketball's player of the year as a freshman was the Most Outstanding Player of the Final Four despite shooting just 1 for 10 from the field in the championship game, grabbing 16 rebounds and blocking six shots in the victory over Kansas.

Davis slipped on a blue and purple Hornets hat above a conservative gray suit that took no attention away from basketball's most famous eyebrow. Davis even attempted to capitalize on the attention his unibrow gets, trademarking "Fear The Brow" and "Raise The Brow" earlier this month.

On the floor, Davis has the agility of a guard ? and he was one only a few years ago.

The 6-foot-10 Davis averaged 14.2 points, 10.4 rebounds and 4.7 blocks, becoming a dominant defender after growing 7 inches from the start of his junior year of high school.

A season after the Hornets traded longtime star Chris Paul, Davis is ready to be their centerpiece, since playing for the Wildcats means he is already accustomed to plenty of attention.

"Like I said, at Kentucky we had it all the time, especially the six who played, we had the spotlight all the time," Davis said. "I think it really prepared me."

Charlotte, coming off a 7-59 season and the worst winning percentage in NBA history, had been open to moving the No. 2 pick if it found the right deal. Instead, Michael Jordan's team went with Kidd-Gilchrist, whose selection by the Bobcats was loudly cheered, a sharp contrast from the boos Stern received when he came out to announce the picks.

The new Charlotte swingman played in high school at nearby St. Patrick's in Elizabeth, N.J., and fans chanted "MKG! MKG!" as he walked off the stage. Though he and Davis talked before the draft, they didn't discuss the history the Wildcats were about to make.

"No. I was shocked at first," Kidd-Gilchrist said. "I was shocked. But no, we didn't. We didn't at all."

Florida's Bradley Beal went third to Washington, making it three SEC freshman in the first three picks. Cleveland followed with the surprisingly early pick of Syracuse sixth man Dion Waiters at No. 4.

Thomas Robinson of Kansas, who hoped to go second, fell to Sacramento at No. 5. Portland took Weber State's Damian Lillard at No. 6 with its first of two lottery picks, and Barnes was taken seventh by Golden State.

After Washington's Terrence Ross went to Toronto and Connecticut's Andre Drummond to Detroit, the Hornets rounded out the top 10 by taking Duke guard Austin Rivers with a pick they acquired in the Paul trade. Rivers hugged his father, Boston coach Doc Rivers, who came to be with his family instead of with the Celtics, who owned two later first-round picks.

Davis was the only clear-cut pick entering the draft, and there were some early surprises. Players such as Waiters and Ross went higher than expected, while Robinson dropped to the Kings.

"I really didn't know where I was going to end up at, but it is a bit of a surprise," he said, tearing up when talking about his difficult journey that included the deaths of multiple family members in college. "I didn't work out for Sacramento at all, I probably talked to them about once. But I'm here, so I'm meant to be here."

Houston took Jeremy Lamb of Connecticut at No. 12 with its first of three top-20 picks. But the Rockets, who also had the Nos. 16 and 18 picks, were hoping not to use all of them, instead packaging them for an established player after their pursuit of the Lakers' Pau Gasol fell through last year.

The Rockets tabbed Iowa State's Royce White at No. 16, and Terrence Jones two picks later.

Jared Sullinger, once considered a top-10 pick, ended up in a draft free-fall over concerns with his back but was finally taken at No. 21 by Boston. The Celtics followed with Fab Melo of Syracuse, giving them two potential replacements if Kevin Garnett doesn't return.

The NBA champion Miami Heat took forward Arnett Moultrie of Mississippi State at No. 27 with their first-round pick, but traded his rights to Philadelphia for the rights to LSU center Justin Hamilton and a future first-round pick.

___

Follow Brian Mahoney on Twitter: http://www.twitter.com/Briancmahoney

Source: http://news.yahoo.com/hornets-select-davis-no-1-pick-nba-draft-234120493--spt.html

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Top women's secret to success: Title IX

La Salle University

Jennifer Ngo, now a special agent for the FBI, during her playing days at La Salle University

By Eve Tahmincioglu

Jennifer Ngo, 32, a special agent for the FBI, played basketball when she was in college. Elyse Darefsky, 54, an IT manager at Cigna, was a big collegiate volleyball and basketball player. And Sarah Ann Slater, 23, who starts graduate school at the London School of Economics in the fall, was a junior tennis champ.

All three women credit sports for their achievements beyond the playing field, and studies show playing sports in your youth can indeed contribute to future career success.

?For me, it was about being part of something bigger than yourself,? said Ngo, who also played soccer growing up. ?As I got older, it helped me with my career.?

Their experiences point to how important it is for girls to have opportunities in athletics.?They also?underscore the significance of Title IX, which paved the way for more gender equity in high school and college sports, and celebrates its 40th anniversary this month.

Engaging in sports in youth can help women, and men, attain career success later in life, and many prominent women often point to that experience as a reason for their ability to climb the ladder.

Irene Rosenfeld, CEO of Kraft Foods, played everything from field hockey to basketball when she was in high school; former Alaska governor and vice-presidential candidate Sarah Palin touted her sporting past as a basketball player for the Wasilla Warriors; and SEC Chairman Mary Schapiro was a lacrosse player in college.

As Title IX celebrates its 40th anniversary, hear from three women who've seen the battle from all sides.

Of her lacrosse background at Franklin & Marshall College, where she captained the first varsity team in 1977, Schapiro told Lacrosse Magazine in the March issue, that the game helped her professional life.

?Lacrosse is truly a team endeavor,? she said. ?You have work together, you have to be constantly mindful of where your teammates are, you have to be willing to be in the supporting role, you have to be able to read signals and be prepared to regroup ? all of these are important to workplace success. It also taught me to take risks.?

According to a report by research firm Catalyst published in May, 82 percent of women executives played organized sports after elementary school, and nearly 60 percent said it gave them ?a competitive edge over others in the business world.??

Learning how to compete is among the top life skills youth sport members gain from their participation, according to research from Boston University?s School of Education published last year.

There is ?a direct transfer of life skills from sport to work,? found the research titled ?Career Success and Life Skill Development Through Sports,? which was part of a doctoral thesis by Gavin Bruce Barton.

He found that besides competitiveness, sports participation also developed an individual?s work ethic, ability to handle pressure, resilience, teamwork and confidence.

Surprisingly, the study also found, that ?sport participation as a source of life skill development was cited far more frequently than family, work or education.?

And, the author added, ?Life skills developed in sport can contribute to later work success.?

You don?t have to tell Cigna?s Darefsky?s that. ?I learned more playing sports than I did in school,? she explained. ?I was an introvert, and the confidence that you gain playing sports, you can?t measure that.?

She recalled going on her first job interview at Cigna in her final year of college, right after her basketball team at Clark University had a huge win over Dartmouth. ?It gave me a sense of confidence,? she said, allowing her to nail the interview.

Slater, the recent grad who played tennis, also has seen the benefits.

Courtesy of Sarah Ann Slater

?Being a part of sports actively in my youth and throughout my adolescence really taught me a lot about discipline, time management, and taking responsibility for myself and my own successes or failures,? she said. ?Even though I am not active in competitive sports any more I?was able to successfully transfer those skills into other arenas of my life, mainly academics as a college student, and they continue to be a part of all decisions I make as I go forward with my life.?

Clearly, youth sports can be an ultimate career boon, and Title IX has opened the door for?many women to participate and then reap the future benefits, said Marilyn Strawbridge, professor of physical education at Butler University in Indianapolis, who has studied the impact of sports on women.

Despite the law?s success, however, we have a long way to go when it comes to ensuring more girls get some serious locker room time, an experience that will only help them as they go out into the work world.

?Title IX has been wonderful but there?s still parity to be reached,? stressed Strawbridge. ?Unfortunately we?re still seeing lower rates of sports participation by girls in high school and college and they still get a smaller part of the athletics dollar.?

And that?s a problem given the payoff sports engagement offers women later in their careers and in their lives overall, she pointed out.

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VoteTotal Votes: 366

?Women in sports are better equipped to view themselves as equals; they know how to compete and put themselves out there, and take risks for something better,? she explained. ?They live with consequence and are healthier individuals all the way around, mentally and physically.?

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Tennis legend Billie Jean King has been a tireless advocate for Title IX both before and since its passage. She reflects on her career and the landmark legislation.

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Source: http://lifeinc.today.msnbc.msn.com/_news/2012/06/29/12459328-playing-youth-sports-helps-women-in-their-careers?lite

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Google Analytics Goes Mobile With App Analytics And An Android App

Google is announcing a big addition to Google Analytics today ? Mobile App Analytics.

As with the social media-focused reports launched earlier this year, the interest in mobile analytics is obvious ? if anything, it might seem that Google is a little late in chasing these trends. In this case, Product Manager JiaJing Wang says the goal was to create a ?holistic app analytics.? While there are other mobile analytics services out there, Wang says none of them really tracks all of the relevant data, so developers end up stitching different services together into a ?disparate and taxing experience.?

Wang says Google?s new analytics cover the three main stages of an app?s relationship with users ??acquisition and user metrics, engagement, and outcome. When it comes to user acquisition, developers can now track new and active users, and how that breaks down across different app versions, devices, and operating system. On engagement, Google Analytics includes data like usage frequency, engagement flow, and crash reports. Finally, on outcomes, Mobile App Analytics will show conversions (to whatever goal is important to the developer) and in-app purchases.

5 - Engagement Flow

Google Analytics already included data on mobile traffic, but nothing until now that was specific to app developers, so Wang expects that this could bring the product to a big new audience. One obvious indicator of the change ? when users sign-up for Google Analytics, one of the first things they?re going to be asked is whether they want to track a website or a mobile app.

The new mobile data will be available to both iOS and Android app developers, who will get the same reports, with one exception ? developers making their apps available through Google Play will be able to track which traffic sources are driving new downloads and conversions. Wang says he wants to provide deeper integration with Google play in the future.

Mobile App Analytics is currently in beta testing, with developers admitted to the program in waves. You can sign-up here. The service should be available to everyone by the end of the summer, Wang says.

The company is also launching a Google Analytics Android app, which brings makes data about both website and mobile apps viewable on smartphones. Wang says the team is ?definitely thinking? about releasing an iOS app too.


September 7, 1998

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Google provides search and advertising services, which together aim to organize and monetize the world?s information. In addition to its dominant search engine, it offers a plethora of online tools and platforms including: Gmail, Maps, YouTube, and Google+, the company?s extension into the social space. Most of its Web-based products are free, funded by Google?s highly integrated online advertising platforms AdWords and AdSense. Google promotes the idea that advertising should be highly targeted and relevant to users thus providing...

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Google Analytics (GA) is a free service offered by Google that generates detailed statistics about the visitors to a website. The product is targeted towards marketers rather than webmasters and technologists. GA can track visitors from all referrers, including search engines, display advertising, pay-per-click networks, email marketing and even digital collateral such as links within PDF documents. Integrated with AdWords, users can optimize online campaigns by tracking landing page quality and conversions. Goals might include sales, lead generation, viewing a specific...

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Shyam Steel to open 100 retail stores in Bihar, India

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Retirement Planning: A Recipe For Success ? Gregory Ricks and ...

Planning your investments to build a retirement fund can be a dizzying prospect. ?The various questions and options and details and accounts and amounts are enough to make anyone?s head spin. ?Wouldn?t it be nice if there was a generic recipe for success? ?A nice neat list of step by step instructions on how to make the best decisions on where, when and how much when it comes to investing for your retirement. ?Unfortunately, this list of steps is incredibly dependent upon each individual and their current situation and future plans, so a sure fire success route doesn?t exist.

But before you stop reading, there are a few broad steps that most financial professionals agree will most likely lead you down the right path. ?By investing your money in retirement accounts by the priority of which will give you the most return, you can take advantage of what each has to offer. ??Here?s the order that is suggested for the majority of people in terms of retirement accounts.

  1. Fulfill Your Company?s Match Program: ?The exact amount of this will differ for each individual depending on the company that they work with, but whether you have a 401K or a 403b, the best place for your money is in those accounts reaping the assistance of your employer. ?Match programs offer a two for one that is too valuable to turn down. ?Before you invest anywhere else, make sure you are investing enough in your 401k or 403b to get your full match.

?

  1. Roth IRA to the Max: ?There has been a long standing battle between the Traditional IRA?s and the Roth IRA?s. ?When it comes to your retirement planning, your Roth IRA should win this battle. ?There are a few different reasons why you should make this move. ?With the current economy that we have all been hearing so much about, we can assume that taxes will go up in the future. ?Investing in a Roth allows you to pay taxes on your income now, and avoid the higher tax rate as it grows and in your retirement. ?Also, investing in an IRA gives you more choices and flexibility than is offered in many 401k plans. ?You can decide where you want to open your account based on your personal preference or individual situation. ?This step of maxing out a Roth IRA can change based on the individual though, as some people cannot open a Roth IRA because of their income level.

?

  1. 401k or 403b to the Max: ?After you have reached your company?s matching level and have maxed out your Roth IRA, turn your funds back to the 401k or 403b until they are maxed out as well. ?Having both your Roth IRA and your 401k/403b maxed out gives you some variety in your portfolio in terms of how the investments are taxed. ?This variety gives you something of a safety net in terms of how taxes and other investments change over time and the affect they will have on your funds. ?As a side note, when you plan to max out your 401k or 403b, keep your eye on the ever changing contribution limits which vary each year.

?

  1. Open Taxable Accounts: ?If you have filled in the previous three steps, you will find yourself at the final, and most open ended step of the journey. ?The options here are almost endless in terms of what kind of account to open and where to open it. ?You can invest with a mutual fund, a brokerage account, or one of the many other options out there. ?Your decision depends on the type of risk versus reward balance you are looking for, whether you are looking for the simplicity of joining a service or are looking for more of a hands-on approach, how much you are planning to invest and so on. ?Because you have the foundation laid by maxing out your 401k/403b and your Roth IRA, you can afford to be a little creative with this last decision.

This plan is not something to jump into without doing your homework. ?Like mentioned before, there is a reason that no one has created a perfect plan that fits everyone. ?Depending on your personal income, you might not be eligible for certain funds, like a Roth IRA, or you might be eligible for some accounts that could take higher priority, such as a SEP IRA. ?But, for most people, looking for a general order of priority for their retirement investments, these four steps are a great place to start.

?

Photo courtesy of retirementplans.org

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Video: Santelli's Midday Bond Report

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Dr. Ewa Kleczyk on Business, the Pharmaceutical Industry and ...

InTech, in its mission to not only put the highlights on its open access, scientific books but on its perspective authors as well, talked to Dr. Ewa Kleczyk, author of the chapters ?Risk Management in the Development of New Products in the Pharmaceutical Industry? (from the book ?Risk Management Trends?, Giancarlo Nota, 2011), ?The Determinants of Corporate Debt Maturity Structure? (from the book ?Business Dynamics in the 21st Century?, Chee-Heong Quah, and Ong Lin Dar, 2012) and co-author with Darrell J. Bosch of ?Households? Preferences for Plumbing Materials? (from the book ?Corrosion Resistance?, Hong Shih, 2012).

Risk Management Trends

Risk Management Trends

Dr. Kleczyk obtained her PhD in Economics from Virginia Tech in 2008 and is currently employed as the?Senior Director, Custom Analytics at ImpactRx (formerly TargetRx), firm that provides pharmaceutical and biotech companies with information regarding the criteria in product choice and adoption for their brands. Among other, Dr. Kleczyk has been awarded for her diligent work by Cambridge Who?s Who, TargetRx Excellence Award, the American Business Women?s Association and the National Association of Professional Women as Dr. Kleczyk has been known and praised for her engagement in promoting women in science.

We talked to Dr. Kleczyk about her career, her paper titled ?Risk Management in the Development of New Products in the Pharmaceutical Industry?, the controversial pharmaceutical research field in general and open access.

InTech: For how long have you been researching risk management in the pharmaceutical industry?

I have worked in the Pharmaceutical Consulting Industry for the past 6 years that includes working in the area of new product forecasting and risk management.

InTech: In your chapter ?Risk Management in the Development of New Products in the Pharmaceutical Industry? you state that deciding which new products to develop is a major challenge for many pharmaceutical companies with an excess of opportunities, but limited resources. Is it possible that these limited resources prevent some excellent new medicines to see the light of day and cure or relieve the symptoms of a certain population sub-group suffering from rare illnesses?

I think the current ways of selecting products has become subjective and cost driven, impacting negatively the types of products that are taken to the market. Some products should be brought to the market, but due to the scares resources and a number of potentially more profitable drugs in the pipeline, they might not be available for patient use.

For example, recently, Big Pharma has decided to decrease the research finding for neuroscience drugs, as they have high financial and time research costs. This unprecedented decision might result in inadequate treatments of the growing elderly population for diseases such as depression, sleep disorders, Alzheimer, and Parkinson.

Pharmaceutical Industry

?I think the current ways of selecting products has become subjective and cost driven, impacting negatively the types of products that are taken to the market.? ? Ewa Kleczyk

InTech: As you wrote, until the late 1980s, cash flows, expected returns, and net present value of income were the key variables in the decision-making process of the new drug development and investment. So according to your research, how have things changed?

The Consumer Theory and its research techniques have become an important part of the new product potential evaluation process. Understanding the product perceptions of potential consumer groups, their adoption speed and rate can help more precisely investigate the product uptake, as well as inform the investment decisions into the new drugs. However, this research should not be done in a vacuum, as this method only covers the demand aspect of the new product potential research. Joining this research with the Net Income Analysis would ensure looking at the production costs and risks, as well as the future potential sales of the product when available for use.

InTech: How would you like for your research to be perceived by risk assessment managers?

I would like my chapter to be viewed as helpful to the risk assessment managers in making new product decisions. Knowing the available evaluation methods of new product potential and knowing when to use each of the different technique should help the management in making their investment and research decisions.

?InTech: While researching this specific field, what information you came across which struck you the most?

The information that struck me the most while doing my research for this chapter was the small number of chemical molecules that become available for patient use. Only 1% researched molecules is brought to market. This finding underlines the importance of understanding the key issues of new product risk management to properly identify the chemical molecules for investment.

InTech: You are a successful researcher publishing articles in journals, books and lecturing at conferences. You are also socially active by encouraging women to pursue a career in fields such as mathematics, traditionally ruled by men. What is your perception of women in science today?

Women play a significant role in all areas in today?s world, including business, politics, academics, and sciences. It is very encouraging for many young women to know that they can be whoever they would like to be in their professional lives, as long as they work hard and are committed to their goals.

However, I think, we, the professional women, should continue mentoring and encouraging girls and young women to study mathematics, sciences, and economics, as the work is not done yet. In today?s world being a super model, reality star, and actress seems more interesting and appealing to many young women, due to greater public exposure and high financial rewards.

Promoting women in science

Promoting women in science

I think creating sponsorship or mentorship programs at educational institutions could help to promote women in sciences and business. In addition, the financial support many women receive to pursue education in these areas should continue to be distributed. The more support women get, the more likely they to follow their dreams, and become part of the scientific, political, and business cultures.

InTech: You published under the Open Access model. What is your personal opinion on unlocking scientific content to a wider audience then ever before, removing the barriers previously held by traditional scientific publishers?

Open Access Journals have revolutionized sharing of scientific information, and promoted innovation and timely dissemination of research results. Prior to the Open Access Journals, the publishing process was very lengthy, and able to reach only a limited number of readers. Today, within a couple of months (sometimes even a shorter time frame) information can be shared with a wide audience of readers. The timely research dissemination helps for quicker socialization of new concepts, as well as further improvements of researched topics.

InTech: Do you think Open Access is beneficial to all scientists and researchers?

I truly believe that the Open Access Journals are beneficial to all scientists and researchers. As mentioned above, the shorter time frame of research dissemination, and ability for sharing work with a greater audience, inspires innovation and collaboration within the scientific community. I would want to caution the journals though from publishing any documents they receive as a submission. Some of the published work is not to up to the research standards, impacting the credibility of these new venues. Greater oversight should be implemented to limit potentially low quality of work from publishing.

InTech: In terms of a more fertile, subsidised and collaborative scientific environment, how do you compare Northern America to Europe?

In the recent 30 years, the US has become the innovation centre for technology and sciences. Researchers from all over the world arrive to the US to participate in research opportunities provided by the US government as well as private companies. I believe this level of involvement is not seen in the continental Europe, although in order to compete with the US innovation, the European Union has increased research funding for European researchers to retain current and attract new talent.

InTech: What are your impressions on InTech as your Open Access publisher?

I think InTech is a respectable venue for all authors to publish their work in, and receive world-wide exposure to their research. I was very happy to see the number of scientists from different countries contacting me about my work, and sharing their perspectives on the risk management subject.

InTech: Are you satisfied with the editor?s work, the management of the publishing process and the InTech?s publishing team?

I had a wonderful experience working with the InTech Team. The attention to detail and professionalism has made the process quite simple and enjoyable. Overall, I am very delighted by the process of publishing with InTech, and have already submitted another chapter for review.

InTech: Tell us something about your future plans.

In 10 years from now, I would like to lead a market research / consulting company. Even with increased technology, informative data analysis is a necessity to making the optimal decisions for any business. With declining budgets, making the right decision has become even more important, consequently having a highly qualified team, working to help clients finding the right solutions for their business needs, will help to save money, and increase profitability of the company.

About Dr. Ewa Kleczyk:

Dr. Ewa kleczyk

Dr. Ewa Kleczyk

Dr. Kleczyk serves as the Senior Director, Custom Analytics at ImpactRx (formerly TargetRx). She received her PhD in Economics from Virginia Polytechnic Institute and State University in 2008, and she is a member of the Who is Who, Healthcare Business Women Association, and Eastern Economic Association. She has given presentations at several conferences including Pharmaceutical Business Intelligence Research Group and Global Conference on Business and Economics and has been published in peer and non-peer reviewed journals including Journal of Medical Marketing, Marketing Bulletin, and International Journal of Business & Economics. Dr. Kleczyk began working for TargetRx as an econometrician, and was thereafter promoted to the Director position.

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Faria Region Map

Pokemon: A Trainer's Journey

Follow your dreams in an advanced Pok?mon RP. Create your own destiny in the Faria region.

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Forum for completely Out of Character (OOC) discussion, based around whatever is happening In Character (IC). Discuss plans, storylines, and events; Recruit for your roleplaying game, or find a GM for your playergroup.
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(Picture created by Deviantart user Lord Vurtax)

This will serve as a map of our region. New Routes, Towns, Cities, etc. will be named and added to places as you discover them.

For now we have Adinitium City on the, small northernmost island (two tiles across), your home.

Route 4 is the entire Route leading out of the city across both bodies of water.

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Queen of Ice
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Supreme Court upholds Obamacare individual mandate as a tax

[ [ [['Connery is an experienced stuntman', 2]], 'http://yhoo.it/KeQd0p', '[Slideshow: See photos taken on the way down]', ' ', '630', ' ', ' ', ], [ [['Connery is an experienced stuntman', 7]], ' http://yhoo.it/KpUoHO', '[Slideshow: Death-defying daredevils]', ' ', '630', ' ', ' ', ], [ [['know that we have confidence in', 3]], 'http://yhoo.it/LqYjAX ', '[Related: The Secret Service guide to Cartagena]', ' ', '630', ' ', ' ', ], [ [['We picked up this other dog and', 5]], 'http://yhoo.it/JUSxvi', '[Related: 8 common dog fears, how to calm them]', ' ', '630', ' ', ' ', ], [ [['accused of running a fake hepatitis B', 5]], 'http://bit.ly/JnoJYN', '[Related: Did WH share raid details with filmmakers?]', ' ', '630', ' ', ' ', ], [ [['accused of running a fake hepatitis B', 3]], 'http://bit.ly/KoKiqJ', '[Factbox: AQAP, al-Qaeda in Yemen]', ' ', '630', ' ', ' ', ], [ [['have my contacts on or glasses', 3]], 'http://abcn.ws/KTE5AZ', '[Related: Should the murder charge be dropped?]', ' ', '630', ' ', ' ', ], [ [['have made this nation great as Sarah Palin', 5]], 'http://yhoo.it/JD7nlD', '[Related: Bristol Palin reality show debuts June 19]', ' ', '630', ' ', ' ', ], [ [['have made this nation great as Sarah Palin', 1]], 'http://bit.ly/JRPFRO', '[Related: McCain adviser who vetted Palin weighs in on VP race]', ' ', '630', ' ', ' ', ], [ [['A JetBlue flight from New York to Las Vegas', 3]], 'http://yhoo.it/GV9zpj', '[Related: View photos of the JetBlue plane in Amarillo]', ' ', '630', ' ', ' ', ], [ [['the 28-year-old neighborhood watchman who shot and killed', 15]], 'http://news.yahoo.com/photos/white-house-stays-out-of-teen-s-killing-slideshow/', 'Click image to see more photos', 'http://l.yimg.com/cv/ip/ap/default/120411/martinzimmermen.jpg', '630', ' ', 'AP', ], [ [['He was in shock and still strapped to his seat', 6]], 'http://news.yahoo.com/photos/navy-jet-crashes-in-virginia-slideshow/', 'Click image to see more photos', 'http://l.yimg.com/cv/ip/ap/default/120406/jet_ap.jpg', '630', ' ', 'AP', ], [ [['xxxxxxxxxxxx', 11]], 'http://news.yahoo.com/photos/russian-grannies-win-bid-to-sing-at-eurovision-1331223625-slideshow/', 'Click image to see more photos', 'http://l.yimg.com/a/p/us/news/editorial/1/56/156d92f2760dcd3e75bcd649a8b85fcf.jpeg', '500', ' ', 'AP', ] ]

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Birth mom: I raised questions about Jerry Sandusky

In this June 20, 2012 file photo, Matt Sandusky, adopted son of Jerry Sandusky, right, leaves the Centre County Courthouse in Bellefonte, Pa. Just a few hours into deliberations, Thursday, June 22, 2012, Matt Sandusky, came forward for the first time to say in a statement that his father had abused him. The statement didn't detail the abuse allegation. (AP Photo/Gene J. Puskar, File)

In this June 20, 2012 file photo, Matt Sandusky, adopted son of Jerry Sandusky, right, leaves the Centre County Courthouse in Bellefonte, Pa. Just a few hours into deliberations, Thursday, June 22, 2012, Matt Sandusky, came forward for the first time to say in a statement that his father had abused him. The statement didn't detail the abuse allegation. (AP Photo/Gene J. Puskar, File)

In a Friday, June 22, 2012 photo, Jerry Sandusky is escored from the Centre County courthousein Bellefonte, Pa., after being found guilty on child molestation charges. Jurors announced the verdict Friday night after weighing 48 charges accusing him of abusing 10 boys over a 15-year period. (AP Photo/The Patriot-News, Sean Simmers)

Nearly two decades before Matt Sandusky's blockbuster allegation that he was sexually abused by his adoptive father, his biological mother raised questions about their relationship.

Debra Long fought the court system over her son's placement in the home of the famed Penn State assistant football coach, who was convicted Friday of sexually abusing 10 boys.

Her objections, which she discussed in a December interview with The Associated Press, add a new dimension to the grim trial testimony that illustrated how Sandusky wooed the victims he culled from his charity for at-risk youth.

Prosecutors said Sandusky used gifts, trips and access to Penn State's vaunted football program to attract and abuse vulnerable boys he met through the charity, The Second Mile.

"If they'd have listened, these boys didn't have to be abused," Long said. "They would have found the problem back then, and a whole lot of kids wouldn't be victims now."

Instead, she said, "we couldn't get anything done. It was Jerry Sandusky. He started The Second Mile home. He could've done nothing wrong."

Matt Sandusky said that Jerry Sandusky, once Hall of Fame coach Joe Paterno's heir apparent, began sexually abusing him in the late 1980s, when he was 8 years old, and continued until he was 15, according to a police interview recording that NBC aired Tuesday.

He was placed in foster care with the Sandusky family in January 1995, about a month after he set fire to a barn and several months after Long tried to cut him off from Sandusky and The Second Mile.

Matt Sandusky, who was adopted after he turned 18, described for investigators showering with the ex-coach and trying to avoid being groped in bed, according to the police recording. He said he was undergoing therapy, that his memories of abuse were only now surfacing and that he was coming forward so his family would know what happened.

His attorneys confirmed the recording's authenticity to the AP, but declined to comment beyond a statement.

"Although the tape was released without Matt's knowledge or permission, it illustrates that he made the difficult decision to come forward and tell the painful truth to investigators despite extraordinary pressure to support his father," the lawyers, Justine Andronici and Andrew Shubin, wrote in the statement.

Jerry Sandusky hasn't been charged with abusing his son. Unless Matt Sandusky alleges rape, which he didn't do in the police recording, the ex-coach cannot be charged criminally based on his son's accusations, because of the statute of limitations.

In the December interview with the AP, Long said that Sandusky was pushy, was controlling and estranged Matt from his birth family ? but that Centre County's court system ignored her concerns because of Sandusky's stature.

Long did not return several messages left for her on Monday and Tuesday.

Records provided to AP by Long in December show that after Matt Sandusky attempted suicide in 1996, his probation officer wrote, "The probation department has some serious concerns about the juvenile's safety and his current progress in placement with the Sandusky family."

Despite those concerns, probation and child welfare officials recommended continued placement with the Sandusky family, and the judge overseeing his case agreed.

Centre County President Judge Thomas Kistler, who joined the bench in 1997 and was not involved in Matt Sandusky's juvenile case, said he saw "legitimate questions" about the decision to keep Long's son in the Sandusky home, but "I can't shed any light on them."

Speaking generally, he said nearly every birth parent objects when the state decides to remove a child from the home.

"These kinds of decisions made by judges and social workers are very emotionally charged. I don't think the parents have ever agreed with me on any of the cases where I've taken the kids," he said.

In the early years of his relationship with Jerry Sandusky, Matt would hide behind a bedroom door and beg his mother to tell the coach he wasn't home when he spotted Sandusky pulling in the driveway, Long said.

Her son never said why.

"Nobody could ever get that out of him. But then again, Matt was afraid of Jerry," she said.

Long said Matt was a good kid but began acting out after Sandusky entered the picture, and his behavior got progressively worse. She became alarmed by Sandusky's controlling behavior and tried to stop visitation in the fall of 1994.

But Sandusky continued taking Matt out of school, without her knowledge or consent, she said.

"I didn't like his treatment of Matt," she said. "I thought he was a little too possessive, and it was my son, not his son."

In early December 1994, Matt set fire to a barn. He spent his 16th birthday, on Dec. 26, in juvenile detention. On Jan. 6, 1995, records show, he was placed in foster care ? with the Sandusky family.

Long said she knew Matt would be placed in a Second Mile foster home but didn't think it would be with the Sandusky family. Of all the foster families in Centre County, "he had to end up with that one," she said. It struck her as odd.

"Jerry told Matt that he had a judge ready to sign the order and nobody could stop it," she said. "He told Matt before we ever went to court that I wouldn't win against him. Matt came right to me and told me, he said, 'Mom, Jerry said you wouldn't win against him.'"

Long was initially limited to a half-day a month with her son. Her lawyer repeatedly petitioned the judge for greater access.

Matt attempted suicide in March 1996, swallowing 80 to 100 pills, according to the probation department report.

He referred to it in the recent police interview.

"I know that I really wanted to die at that point in time," he said.

But he nevertheless indicated he wanted to remain in the Sandusky home.

"I would like to be placed back with the Sandusky's, I feel that they have supported me even when I have messed up," Matt Sandusky wrote shortly after the suicide attempt. "They are a loving caring group of people."

Long said she once called the Sandusky house when Matt's biological brother, Ronald, was in an accident. She said Sandusky's wife, Dottie, answered the phone and said, "What are you calling him for? It's no longer his brother."

"I said, 'I'm sorry, but the same blood courses through his veins (that) courses through his brother's veins. They're not separated by a name change,'" Long recalled. "She was downright rude."

The AP was unable to contact Dottie Sandusky.

Jerry and Dottie Sandusky couldn't conceive children, according to his autobiography, and adopted six children. None of the other five has commented on their father's legal case or Matt Sandusky's allegations. Messages left for them were not returned.

Matt Sandusky said, according to the NBC recording, that he decided to come forward after publicly standing by his dad, for his family, "so that they can really have closure and see what the truth actually is. And just to right the wrong, honestly, of going to the grand jury and lying."

Associated Press

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GATX CORPORATION v. Addington | Chapter 11 Cases

GATX CORPORATION Plaintiff

v.

LARRY ADDINGTON, ebt al. Defendants

Civil Action No. 11-122-DLB.

United States District Court, E.D. Kentucky, Northern Division, Ashland.

May 9, 2012.

MEMORANDUM OPINION AND ORDER

DAVID L. BUNNING, District Judge.

This matter is before the Court on Stephen and Robert Addington?s Motion to Dismiss all claims against them in their individual capacities (Doc. #10), as well as Plaintiff?s Motion for Leave to Amend its Complaint [1] (Doc #17). Each motion has been fully briefed (Docs. #13, 18; and 25, 26, 39, 40 respectively), and is now ripe for review. For the following reasons, Defendants Stephen and Robert Addington?s Motion to Dismiss is hereby granted, and Plaintiff?s Motion for Leave to Amend its Complaint is hereby denied.

I. FACTUAL AND PROCEDURAL BACKGROUND

This action stems from the 2009 case of GATX Corporation v. Appalachian Fuels, LLC, et al. (0:09-cv-41-DLB), where this Court entered an Agreed Judgment against Larry Addington in the amount of $2,900,000.00. In the present action, Plaintiff GATX Corporation alleges that Larry Addington anticipated he would be held liable for a substantial sum of money in the 2009 case, and that he fraudulently conveyed his real and personal property to the Larry Addington Irrevocable Trust for the Benefit of Maxwell Addington (?Irrevocable Trust?) in order to place assets out of GATX?s reach. GATX also alleges that Stephen and Robert Addington, both individually and in their capacity as Co-Trustees of the Irrevocable Trust, were involved in the fraudulent conveyances, rendering them liable under various Kentucky statutory and common law theories.

A. The 2009 Suit ? GATX Corp. v. Appalachian Fuels, LLC, et al

GATX Corporation served as the lessor of coal mining equipment to Appalachian Fuels, LLC, pursuant to various Master Lease Agreements executed in 2005 and 2006. Appalachian Fuels (?App Fuels?) is a limited liability corporation organized and existing under the laws of the Commonwealth of Kentucky. It is wholly owned by Energy Coal Resources, Inc. (?ECR?), another Kentucky corporation. Larry [2] owns a thirty percent share in ECR.

On September 27, 2005, Larry Addington and others entered a Joint and Several Guaranty and Indemnity whereby they guaranteed the prompt payment of any and all debts owed by App Fuels to GATX, up to a maximum of $5,000,000.

From November 2007 to March 2009, GATX sent at least six e-mails to App Fuels giving notice that the company was behind on lease payments. Stephen, as President of App Fuels, allegedly had multiple discussions with Larry about the delinquent payments. However, App Fuels remained in arrears on its lease payments to GATX.

On May 15, 2009, GATX sued Larry [3] to enforce his obligations under the guaranty agreement. (GATX Corp. v. Appalachian Fuels, LLC, et al., 0:09-cv-41-DLB). This Court subsequently entered an Agreed Judgment against Larry in the amount of $2,900,000.00. Thereafter, GATX and Larry agreed that GATX would forebear collecting the judgment until November 16, 2011. However, Larry failed to pay the amount in full by the agreed date.

B. The Present Suit ? GATX v. Larry Addington, et al. [4]

GATX responded to Larry?s failure to pay by filing the present action on November 17, 2011. The Complaint alleges that between November 2007 and March 2009, Larry and Stephen had multiple discussions about App Fuel?s financial condition, including the company?s failure to meet its obligations under the various lease agreements with GATX. Based on these discussions, Larry anticipated that GATX would soon attempt to hold him liable for App Fuel?s debts pursuant to the guaranty agreement. In a proactive effort to place assets outside the reach of GATX, Larry, as ?Grantor,? converted a previously created revocable trust into an irrevocable trust for the benefit of his brother, Maxwell (?Max?), to be managed by his two other brothers, Stephen and Robert, as ?Co-Trustees.?

The Irrevocable Trust was officially established on December 29, 2008 and titled the ?Larry Addington Irrevocable Trust f/b/o Maxwell Addington.? The trust?s purported purpose was to provide for Max Addington, who was seventy-seven (77) years old and suffered from cerebral palsy. By the terms of the Trust Agreement, Larry agreed that the trust was irrevocable. He also surrendered all rights to amend or revoke the trust agreement, and forfeited any incidents of ownership to any assets or interests conveyed to the trust. However, Larry retained the power to appoint any principal or income of the trust by express reference in his Last Will.

Pursuant to the Irrevocable Trust Agreement, Larry conveyed his interest in three tracts of real estate located in Boyd County, Kentucky by quit-claim deed dated December 29, 2008 to Stephen and Robert as Co-Trustees of the Irrevocable Trust. Max Addington resided in a 3,000 square foot house built on one of the three tracts of land.

GATX?s Complaint alleges that Stephen drafted a ?NOTE TO FILE? the day after Larry executed the Irrevocable Trust Agreement, which identifies Larry?s ulterior motives. According to the complaint, the note acknowledges that the revocable trust was converted into an irrevocable trust ?due to concerns by Larry.? The Complaint states, ?Among the `concerns? expressed by Stephen in the `NOTE TO FILE? was a concern that creditors of Larry, including GATX, were about to sue Larry for substantial obligations owed by him in connection with several coal mining businesses that were insolvent and were teetering on the verge of bankruptcy.? (Compl. ? 58).

The Complaint?s characterizations of the ?NOTE TO FILE? are entirely inaccurate. First, the evidence of record shows that Stephen did not draft the note. In his October 31, 2011 deposition, Stephen testified that Crystal Slutz, Larry?s secretary, drafted the note. There are no markings, signatures, or language on the note to indicate that anyone but Ms. Slutz was the one who drafted the note. Second, the note never mentions Larry?s concerns about creditors, potential debts, or legal liabilities. Instead, Larry?s declining health and desire to provide for his family after his death are the only ?concerns? mentioned in the note.

After the Irrevocable Trust was established, Larry began transferring other personal assets to the trust. On January 2, 2009, Larry instructed Town Square Bank (?TSB?) to transfer $1,000,000.00 from his personal checking account to an account maintained by the Irrevocable Trust with TSB. Although the Irrevocable Trust Agreement established that Larry shall not retain any control over trust property, the Complaint alleges that he wrote at least ten letters to TSB directing it to transfer funds from the irrevocable trust account to other entities he owned or controlled. [5] GATX filed the 2009 suit approximately four months after the $1,000,000.00 transfer.

On November 18, 2010, more than 18 months after the 2009 suit was filed and 2 months before GATX and Larry reached a settlement in that suit, the Irrevocable Trust acquired title to three vehicles. The Complaint alleges that the vehicles were either purchased from proceeds of Larry?s transfer of $1.0 million to the Irrevocable Trust, or they were initially the personal property of Larry and transferred to the Irrevocable Trust after Larry realized that he might be liable to GATX.

C. Procedural Posture of the Present Suit

GATX filed the present suit on November 11, 2011 against Stephen, individually and in his capacity as Co-Trustee of the Irrevocable Trust, Robert, individually and in his capacity as Co-Trustee of the Irrevocable Trust, and Larry. Count one of the Complaint (Doc. #1) alleges that the Addington brothers participated in property conveyances with ?intent to delay, hinder or defraud creditors? in violation KRS ? 378.010. Count two alleges that Larry, a debtor, conveyed property of his estate without receiving valuable consideration in violation of KRS ? 378.020, and that Stephen and Robert aided and abetted Larry?s conveyances, thus rendering them liable under KRS ? 378.020 as well.

On December 20, 2011, Stephen and Robert filed a Motion to Dismiss (Doc. #10) all claims against them in their individual capacity pursuant to Federal Rule of Civil Procedure 12(b)(6). In the Motion, Stephen and Robert argue that the Complaint does not contain a short and plain statement of the claims against them, nor does it contain any plausible factual allegations to support any claim against them in their individual capacities. Moreover, Stephen and Robert argue that there is no factual or legal basis for direct liability under either of the Kentucky fraudulent conveyance statutes because Stephen and Robert, in their individual capacities, were neither transferors or transferees of the disputed property. Likewise, Stephen and Robert assert that the Complaint fails to contain any plausible factual allegations that support an aider and abettor theory of liability.

GATX filed a timely response in opposition to the motion (Doc. #15), arguing, inter alia, that it sufficiently plead facts to state claims against Stephen and Robert for aiding and abetting fraudulent transfers, conspiracy to commit fraudulent transfers, and fraud for participating in fraudulent transfers. In the response, GATX also requested leave to amend its Complaint to state the above-mentioned claims if the Court found that the claims were insufficiently plead. (Doc. #15 at 3). Subsequently, Stephen and Robert timely filed a reply in support of their motion (Doc. #18), and the motion was submitted for the Court?s review.

However, before Stephen and Robert filed their reply brief in support of their Motion to Dismiss, GATX filed a Motion for Leave to Amend its Complaint (Doc. #17). Without attaching a proposed amended complaint to the Motion, GATX asserted that an amended complaint would state the following additional claims against Larry, Stephen and Robert: (1) conspiracy to commit fraudulent transfers; (2) fraud in connection with fraudulent transfers; and (3) negligence per se under KRS ? 446.070. Stephen and Robert responded in their individual capacities that the Motion should be denied because GATX failed to attach a proposed amended complaint to the motion. (Doc. #25). GATX timely replied (Doc. #26), and this matter was also submitted for the Court?s review.

On January 31, 2012, Larry Addington provided notice that he filed a voluntary petition for bankruptcy under Chapter 11 of the Bankruptcy Code in the Eastern District of Kentucky on January 26, 2012 (No. 12-10029). (Doc. #19). The Court entered an Order (Doc. #20) on February 2, 2012, staying all claims against Larry pursuant to the automatic stay provision of 11 U.S.C. ? 362(a)(1).

Larry?s bankruptcy petition also prompted Stephen and Robert to file a motion for the Court to stay all claims against them as Co-Trustees of the Irrevocable Trust pursuant to 11 U.S.C. ? 362(a)(3). (Doc. #28). After that motion was fully briefed (Doc. #30, 33), the Court held oral argument on March 12, 2012, to consider each of the three pending motions. Attorney Andrew W. Wood appeared on behalf of GATX. Attorneys Robert E. Maclin, III and David A. Cohen appeared on behalf of Stephen and Robert in their capacity as Co-Trustees; Attorney William C. Rambicure appeared on behalf of Stephen and Robert in their individual capacities. The proceedings were recorded by Official Court Reporter Lisa Wiesman.

On March 15, 2012, the Court granted Stephen and Robert?s Motion to Stay proceedings against them in their capacity as Co-Trustees (Doc. #38). However, the Court concluded that the claims against Stephen and Robert in their individual capacities were not subject to the automatic stay, and allowed GATX to continue prosecuting claims against those defendants. (Id.). Thereafter, GATX filed a Proposed Amended Complaint (Doc. # 39) in support of its Motion for Leave to Amend its Complaint, to which Stephen and Robert responded (Doc. #40). Stephen and Robert?s Motion to Dismiss, and GATX?s Motion for Leave to Amend its Complaint have now been fully briefed and are ripe for review.

II. ANALYSIS

A. Introduction

GATX has presented numerous legal theories in pursuit of a viable legal theory by which it might hold Stephen and Robert liable in their individual capacities. In GATX?s Complaint, it alleged that Stephen and Robert are directly liable, and liable for aiding and abetting Larry Addington in fraudulently conveying property in violation of KRS ?? 378.010 and 378.020. (Doc. #1). In GATX?s response to the motion to dismiss, its legal theory began to evolve. GATX asserted that the Complaint also plead a sufficient factual basis to support additional legal theories, namely, conspiracy to effectuate fraudulent transfers and civil fraud. (Doc. #13). Continuing its quest for a viable legal theory, GATX filed a Motion for Leave to Amend its Complaint (and subsequently filed a proposed amended complaint) with yet another legal theory ? negligence per se under KRS ? 446.070. (Doc. #17) However, despite these continued efforts, GATX has failed to assert a viable legal theory against Stephen or Robert in their individual capacities for which relief may be granted

B. The Complaint Fails to State a Claim Against Stephen or Robert in Their Individual capacities for Which Relief May Be Granted

Stephen and Robert move the Court to dismiss all claims against them in their individual capacities pursuant to Federal Rule of Civil Procedure 12(b)(6) for failing to state a claim upon which relief can be granted. On the face of the Complaint, Plaintiff has alleged that Stephen and Robert participated in fraudulent conveyances, and aided and abetted Larry in fraudulently conveying property in violation KRS ?? 378.010 and 378.020. Plaintiff has since argued that the Complaint contains a sufficient factual basis to support additional claims, but has moved the Court for leave to file an amended complaint to assert those claims if the Court finds otherwise. Because the additional claims Plaintiff attempts to assert ? conspiracy to effectuate a fraudulent conveyance and civil fraud ? are more particularly plead in the Proposed Amended Complaint, the Court will consider those claims in its discussion of Plaintiff?s Motion for Leave to Amend its Complaint. Therefore, the Court will only consider the claims of direct liability and aiding and abetting fraudulent conveyance for purposes of the Rule 12(b)(6) motion.

1. Standard of Review

When considering a motion to dismiss pursuant to Rule 12(b)(6), the court is to ?construe the complaint in the light most favorable to the plaintiff? and ?accept all well-pleaded factual allegations as true.? La. Sch. Emps.? Ret. Sys. v. Ernst & Young, LLP, 622 F.3d 471, 477-78 (6th Cir. 2010) . In addition to the allegations in the complaint, the Court may also consider other materials that are referenced in and central to the plaintiff?s complaint, Greenberg v. Life Ins. Co. of Virginia, 177 F.3d 507, 514 (6th Cir. 1999), are public records, or are otherwise appropriate for the taking of judicial notice. Ley v. Visteon Corp., 543 F.3d 801, 805 (6th Cir. 2008) (internal quotation marks and citation omitted), abrogated on other grounds by Matrixx Initiatives v. Siracusano, ___ U.S. ___, 131 S.Ct. 1309, 1323-25 (2011) .

Under the pleading standard set forth in Federal Rule of Civil Procedure 8(a), a plaintiff must provide ?a short and plain statement of the claim showing that [it] is entitled to relief.? The complaint must contain more than ?labels and conclusions? or ?a formulaic recitation of the elements of a cause of action,? Bell Atl. Corp. V. Twombly, 550 U.S. 544, 555 (2007), and instead proffer ?enough facts to state a claim to relief that is plausible on its face.? Id. at 470. ?Regarding culpability, the complaint must allow the court to `draw the reasonable inference that the defendant is liable for the misconduct alleged.?? Ashland, Inc. v. Oppenheimer & Co., 648 F.3d 461, 467-68 (6th Cir. 2011) (quoting Ashcroft v. Iqbal, 556 U.S. 662,129 S.Ct. 1937, 1940 (2009) ). This requires the complaint to show ?more than a sheer possibility that a defendant has acted unlawfully.? Id.

2. Stephen and Robert, As Non-transferees, Cannot Be Held Directly Liable for Violating the Kentucky Fraudulent Conveyance Statutes

To the extent that GATX has asserted that Stephen and Robert are directly liable for violating the fraudulent conveyance statutes, GATX has failed to state a claim upon which relief may be granted. The purpose of the fraudulent conveyance statutes is to ?put the creditors back in the same position they would have enjoyed immediately prior to the voidable conveyance.? Mattingly v. Gentry, 419 S.W.2d 745, 747 (Ky. 1967) . To fulfill this purpose, ?[t]he proper remedy in a fraudulent conveyance claim is the nullification of the transfer by returning the property at issue back to the transferor.? Paradigm BioDevices, Inc. v. Viscolgliosi Bros., ___ F. Supp.2d ___, No. 11 Civ. 3489, 2012 WL 360414, at *4 (S.D.N.Y. Feb. 3, 2012) (citing Grace v. Bank Leumi Trust Co. of N.Y., 443 F.3d 180, 189 (2d Cir. 2006) (interpreting New York law)). The plain language of both Kentucky fraudulent conveyance statutes make this purpose abundantly clear. KRS ? 378.010 states that, if the transfer is deemed fraudulent, it shall be ?void as against such creditors, purchasers and other persons.? Likewise, KRS ? 378.020 states that if the transfer meets its definition of a fraudulent conveyance, it shall ?be void as to creditors whose claims are thereafter contracted.?

While the primary remedy is to void the fraudulent conveyance, some states allow the creditor to seek compensatory damages from a transferee as an alternative form of relief. Kentucky courts have not explicitly reached this conclusion. However, the New York Supreme Court, Appellate Division has held that ?a money judgment against the transferee may also be an available form of substitute relief where the transferee has disposed of the wrongfully conveyed property in some manner which makes it impossible for return.? Joslin v. Lopez, 309 A.D.2d 837, 839 (N.Y. App. Div. 2003) (emphasis added). Likewise, in Tennessee, the fraudulent conveyance statute explicitly allows a creditor to obtain either ?avoidance of the transfer or obligation to the extent necessary to satisfy the creditors?s claim.? T.C.A. ? 66-3-308(a)(1) (emphasis added). However, in Tennessee, a money judgment is only available against ?the first transferee of the asset of the person for whose benefit the transfer was made.? T.C.A. ? 66-3-309(b)(1); see Tareco Properties, Inc. v. Morriss, 196 F. App?x 358, 362 (6th Cir. 2006); see also Thompson v. Hanson, 239 P.3d 537 (Wash. 2009) (en banc) (holding that, after the Washington legislature adopted the Uniform Fraudulent Transfer Act, a monetary judgment may be entered against the first transferee of the asset, the person for whose benefit the transfer was made, or subsequent transferees other than good-faith transferees).

Regardless of the remedy sought, a direct liability fraudulent conveyance claim is only actionable against the transferor or transferee. See Paradigm BiDevices, Inc., 2012 WL 360414, at *4. Although Kentucky courts are silent on this issue, other states have interpreted similar fraudulent conveyance statutes and held that they ?do[] not provide for recovery other than recovery of the property transferred or its value from one who is, directly or indirectly, a transferee or recipient thereof.? Mack v. Newton, 737 F.2d 1343, 1361 (5th Cir. 1984) (emphasis added); see also Elliott v. Glushion, 390 F.2d 514, 516-17 (9th Cir. 1967) (holding that a fraudulent conveyance action is properly brought against a party who received the transferred property); Paradigm BioDevices, Inc., 2012 WL 360414, at *4; Lowell Staats Mining Co. v. Philadelphia Elec. Co., 878 F.2d 1271, 1276 n.1 (10th Cir. 1989) (?`[C]ourts have generally held as to fraudulent conveyances that a person who assists another to procure one, is not liable in tort to the insolvent?s creditors.??) (internal citation omitted); Mack v. Newton, 737 F.2d 1343, 1361 (5th Cir. 1984) (holding that Texas law, like the Bankruptcy Act, does not allow fraudulent transfer actions against one who is not, directly or indirectly, a transferee or recipient of the property).

Neither Kentucky statutory nor case law explicitly defines a ?transferee.? However, according to Black?s Law Dictionary, a ?transferee? is ?one to whom a property interest is conveyed.? Black?s Law Dictionary 1536 (8th ed. 1999). In the context of a fraudulent conveyance action under federal law, the Seventh and Ninth Circuits define a ?transferee? even more narrowly, distinguishing a ?transferee? from a ?conduit.? These circuits agree that a ?transferee? is one who not only receives property, but has ?dominion over the money or other asset, [and] the right to put the money to one?s own purpose.? Bonded Fin. Serv. v. European Am. Bank, 838 F.2d 890, 893 (7th Cir. 1988) ; See also In re Bullion Reserve of N. Am., 922 F.2d 544, 548 (9th Cir. 1991) .

Here, the Complaint does not allege that any property was conveyed to Stephen or Robert in their individual capacities. Instead, the Complaint alleges that the property at issue was conveyed to the Irrevocable Trust, or to Stephen and Robert in their capacity as Co-Trustees. The Complaint also alleges that Stephen and Robert, as Co-Trustees, exercised control over the property. Thus, Stephen and Robert were not ?transferees,? and therefore cannot be directly liable for violating the fraudulent conveyance statutes.

3. Aiding and Abetting a Fraudulent Conveyance is Not a Viable Legal Theory

GATX cannot prevail on an aiding and abetting fraudulent conveyances theory. Contrary to GATX?s assertion, courts generally do not recognize aiding and abetting a fraudulent conveyance as a viable cause of action against a non-transferee. While Kentucky courts have not addressed this issue, the Court believes that Kentucky would follow the overwhelming majority of states that hold such cause of action does not exist.

GATX cites Time Warner Entertainment Co. v. Six Flags Over Georgia, 537 S.E.2d 397, 407 (Ga. Ct. App. 2000), for the proposition that Georgia ?explicitly acknowledges an aiding and abetting cause of action in . . . fraudulent conveyances.? However, as the Eleventh Circuit later explained, the Time Warner opinion directly addressed aiding and abetting in the breach of a fiduciary duty. Chepstwo Ltd. v. Hunt, 381 F.3d 1077, 1088 (11th Cir. 2004) . The Eleventh Circuit further held that any mention of the viability of an action for aiding and abetting fraudulent conveyance in Time Warner was merely dicta. Id. Ultimately, the Eleventh Circuit concluded that, as a matter of Georgia law, one who aids and abets a debtor in carrying out a fraudulent transfer cannot be liable if it is neither a debtor nor a transferee. Id.

Other states are in agreement with Georgia law that a non-transferee cannot be liable for aiding and abetting a fraudulent conveyance. For example, New York courts have consistently held that New York law does not recognize a cause of action against parties for aiding and abetting a fraudulent conveyance. Paradigm BioDevices, 2012 WL 360414, at *4; Roselink Investors, L.L.C. v. Shenkman, 386 F.Supp.2d 209, 227 (S.D.N.Y 2004) ; Geren v. Quantum Chem. Corp., 832 F.Supp. 728, 737 (S.D.N.Y. 1993), aff?d, 99 F.3d 401, 1995 WL 737512 (2d Cir. 1995) ; Fed. Deposit Ins. Corp. v. Porco, 552 N.E.2d 158, 159 (N.Y. 1990) . In Federal Deposit Insurance Corp. v. Porco, New York?s highest court interpreted the plain language of New York?s fraudulent conveyance statutes and held that ?a creditor?s remedy for the transfer of its debtor?s assets, where undertaken prior to a judgment on the debt, is still to obtain a nullification of the conveyance and, where undertaken after judgment, additionally to secure the assets in satisfaction of the debt.? 552 N.E.2d 158, 159 (N.Y. 1990) . The Porco Court concluded that the statutes ?did not, either explicitly or implicitly, create a creditor?s remedy for money damages against parties who . . . were neither transferees of the assets nor beneficiaries of the conveyance.? Id.

Likewise, the Supreme Court of Florida has held that the Uniform Fraudulent Transfer Act does not create a cause of action against a non-transferee for aiding and abetting a fraudulent transfer. Freeman v. First Union Nat?l Bank, 865 So.2d 1272, 1277 (Fla. 2004) (reaching this conclusion upon the issue being certified by the Eleventh Circuit for review). Like the Porco Court, the Supreme Court of Florida decided this issue by looking to the plain language of Florida?s fraudulent conveyance statute. It held that ?[t]here simply is no language in [Florida's fraudulent conveyance act] that suggests the creation of a distinct cause of action for aiding-abetting claims against non-transferees.? Id. Instead, the Florida court held that ?it appears that [Florida's fraudulent conveyance act] was intended to codify an existing but imprecise system whereby transfers that were intended to defraud creditors could be set aside.? Id.

Indeed, the United States District Court for the District of Delaware has recognized that it is clearly the majority approach that ?liability cannot be imposed on non-transferees under [an] aiding and abetting . . . theor[y].? Magten Asset Mgmt. Corp. v. Paul Hastings Janofsky & Walker LLP, No. Civ.A.04-1256, 2007 WL 129003, at *3 (D. Del. Jan. 12, 2007). The Delaware court?s assertion that this is the majority approach is supported by cases interpreting Arizona, Indiana, Maine, and Texas law. See Mann v. GTCR Golder Rauner, L.L.C., 483 F. Supp. 2d 884, 919 (D. Ariz. 2007) (holding that the a cause of action for aiding and abetting a fraudulent transfer is not recognized under the AUFTA); Baker O?Neal oldings, Inc. v. Ernst & Young LLP, No. 1:03-cv-0132, 2004 WL 771230, at *14 (S.D. Ind. Mar. 24, 2004) (holding that the Indiana fraudulent transfer act did not support accessory liability); Fed. Deposit Ins. Corp. v. S. Prawer & Co., 829 F. Supp. 453, 457 (D. Me. 1993) (holding that the Maine fraudulent transfer act does not recognize liability for aiding and abetting a fraudulent conveyance); Fed. Deposit Ins. Corp. v. White, No. 3:06-cv-0560, 1998 WL 120298, at *2 (N.D. Tex. Mar. 5, 1998) (holding that the Texas fraudulent conveyance act only allows recovery against one who is in receipt of the fraudulently conveyed property). Each court held that the plain language of the respective state fraudulent conveyance laws did not support a claim for aiding and abetting a fraudulent conveyance.

Likewise, federal courts have consistently held that there is no such thing as liability for aiding and abetting a fraudulent conveyance as a matter of federal law under Section 548 of the Bankruptcy Code. In re Fedders N. Am., Inc., 405 B.R. 527, 549 (Bankr. D. Del. 2009) ; See In re McCook Metals LLC, 319 B.R. 570, 591 (Bankr. N.D. Ill. 2005) ; In re Ampat Southern Corp., 128 B.R. 405, 410-11 (Bankr. D. Md. 1991) . The plain language of Section 548 indicates that it only reaches recipients of the property in question. In re Magnesium Corp. of America, 399 B.R. 722, 771 (Bankr. S.D.N.Y. 2009) . To impose secondary liability on those that have not received transferred property would be writing a remedy into a statute by judicial construction, which federal courts have refused to do. Id.

Although a Kentucky court has yet to address this specific issue, GATX has provided no reason for the Court to deviate from the consistent conclusion of other states that non-transferees may not be liable for aiding and abetting a fraudulent conveyance. Like New York?s Court of Appeals decided in Porco, and Florida?s Supreme Court decided in Freeman, the plain language of Kentucky?s fraudulent conveyance statutes clearly indicates that they are intended to void fraudulent conveyances, and not to impose in personam liability. KRS Section 378.010 states, in part:

Every gift, conveyance, assignment or transfer of . . . any estate, real or personal . . . made with the intent to delay hinder or defraud creditors, purchasers or other persons . . . shall be void as against such creditors, purchasers and other persons.

KRS ? 378.010 (emphasis added). Similarly, Section 378.020 states:

Every gift, conveyance, assignment, transfer or charge made by a debtor, of or upon any of his estate without valuable consideration therefor, shall be void as to all his then existing creditors. . . .

KRS ? 378.020 (emphasis added). Therefore, to the extent that GATX has plead that Stephen and Robert aided and abetted a fraudulent conveyance, that claim is dismissed. Furthermore, GATX has requested leave to amend its complaint so that it may assert this claim if it was not properly plea in the original Complaint. Having concluded that such a claim is not viable as a matter of law, it would be futile to grant GATX?s motion to the extent it wishes to assert a claim for aiding and abetting a fraudulent transfer.

C. GATX?s Proposed Amendments to its Complaint Would Be Futile Because The Additional Claims Could Not Withstand a 12(b)(6) Motion to Dismiss

In GATX?s Proposed Amended Complaint, it seeks to allege three additional claims against Stephen and Robert in their individual capacities. In Count 1 of the Proposed Amended Complaint, GATX alleges that Stephen and Robert are liable for fraud for participating in fraudulent transfers. [6] Count 3 of the Proposed Amended Complaint alleges that Stephen and Robert are liable for conspiracy to effectuate fraudulent transfers by Larry Addington to the Irrevocable trust. Count 4 of the Proposed Amended Complaint alleges negligence per se under KRS ? 446.070. For the reasons that follow, each of these amendments would be futile and, therefore, GATX?s Motion for Leave to Amend its Complaint is denied.

1. Standard of Review

Federal Rule of Civil Procedure 15(a)(2) requires the Court to freely grant leave when justice so requires. However, a motion to amend may be denied where there is ?undue delay, bad faith or dilatory motive on the part of the movant, repeated failure to cure deficiencies by amendments previously allowed, undue prejudice to the opposing party by virtue of allowance of the amendment, futility of amendment, etc.? Riverview Health Inst. LLC v. Med. Mut. of Ohio, 601 F.3d 505, 520 (6th Cir. 2010) (quoting Forman v. Davis, 371 U.S. 178, 182 (1962) ). ?A proposed amendment is futile if the amendment could not withstand a Rule 12(b)(6) motion to dismiss.? Id.

2. GATX Has failed to Allege Sufficient Facts to Support a Claim of Fraud

In Count 1 of GATX?s Proposed Amended Complaint, the company alleges that Stephen and Robert are liable for fraud for participating in fraudulent transfers made by Larry Addington. Kentucky law recognizes two types of fraud ? fraud by misrepresentation and fraud by omission. Marrowbone Pharmacy, Inc. v. Johnson, No. 2010-CA-00429-MR, 2011 WL 6004345, at *5 (Ky. Ct. App. Dec. 2, 2011). Because GATX has failed to clearly identify which type of fraud allegedly occurred, the Court will analyze the facts presented in the Proposed Amended Complaint under both theories.

(a) Fraud by Misrepresentation

To establish a prima facie case of fraud by misrepresentation, the plaintiff must allege facts to support the following six elements: (1) that the declarant made a material representation to the plaintiff, (2) that this representation was false, (3) that the declarant knew the representation was false or made it recklessly, (4) that the declarant induced the plaintiff to act upon the misrepresentation, and (6) that the misrepresentation caused injury to the plaintiff. Flegles, Inc. v. TruServ Corp., 289 S.W.3d 544, 549 (Ky. 2009) ; United Parcel Serv. Co. v. Rickert, 996 S.W.2d 464, 468 (Ky. 1999) . ?The plaintiffs [sic] reliance, of course, must be reasonable.? Flegles, Inc., 289 S.W.3d at 549 .

Here, GATX has failed to allege sufficient facts to establish a prima facie case of fraud by misrepresentation. The Proposed Amended Complaint alleges that Stephen and Robert were both aware that App Fuels was failing to meet its contractual obligations under the GATX lease. The Amended Complaint also alleges that Stephen ?kept L. Addington up to speed on the general status of the App Fuels/GATX relationship, and gave him updates on the status of App Fuels? conversations with GATX relative to trying to satisfy GATX?s requirements and payment terms.? (Doc. #39, ? 118). Additionally, the Amended Complaint asserts that Stephen and Robert ?knowingly participated in and condoned L. Addington?s transfer of the Assets to the Trust for the purpose of defrauding L. Addington?s creditors, including GATX.? (Id.).

However, these facts are insufficient to allege fraud by misrepresentation. Aside from alleging that Stephen and Robert potentially knew about and condoned Larry?s actions, GATX has failed to allege the most basic element of this tort ? a misrepresentation. In fact, GATX has failed to even allege that Stephen or Robert ever made any representation to GATX, truthful or not, that GATX reasonably relied on to its detriment. These facts simply do not support the tort of fraud by misrepresentation.

(b) Fraud by Omission

If GATX is attempting to allege that Stephen and Robert are liable for fraud by omission, that attempt has also failed. Kentucky law also recognizes the tort of fraud by omission, which includes the following four elements: (1) that the defendants had a duty to disclose a fact or facts, (2) that the defendants failed to disclose such fact, (3) that the failure to disclose induced the plaintiff to act, and (4) that the plaintiff suffered actual damages therefrom. Rivermont Inn, Inc. v. Bass Hotels & Resorts, Inc., 113 S.W.3d 636, 641 (Ky. Ct. App. 2003) . ?However, a duty to disclose is only created where a fiduciary or confidential relationship exists between the parties, where such duty is imposed by statute, or where the defendant has already partially disclosed facts creating the impression that a full disclosure has been made.? Marrowbone Pharmacy, Inc., 2011 WL 6004345, at *5 (citing Rivermont Inn, Inc., 113 S.W.3d at 641 ).

Again, GATX has failed to plead sufficient facts to support this tort. Most notably, GATX has not alleged that Stephen or Robert had a duty to disclose any facts to GATX. Having reviewed the facts alleged in the Proposed Amended Complaint, it does not appear that Stephen or Robert had a fiduciary or confidential relationship with GATX, nor had Stephen or Robert partially disclosed facts to GATX that would have created the impression that full disclosure had been made. Likewise, Stephen and Robert were not under a statutory duty to disclose any facts to GATX. Moroever, GATX has not alleged that it relied on any factual omission which caused it to suffer damages. Therefore, amending the Complaint to add a claim for fraud by omission would be futile as such a claim would not survive a Rule 12(b)(6) motion to dismiss.

Notwithstanding Kentucky case law clarifying that two types of fraud are recognized in Kentucky, fraud by misrepresentation and fraud by omission, GATX has cited Daniels v. CDB Bell, LLC, 300 S.W.3d 204, 215 (Ky. Ct. App. 2010) for the proposition that ?[u]nder Kentucky law, a party is liable in fraud for knowingly participating or condoning the selling and disposing of property for the purpose of defrauding creditors.? (Doc. #39 ? 117). However, GATX?s reliance on Daniels is misplaced. In Daniels, the Kentucky Court of Appeals stated that

[defendant] cites Johnson v. Cormney, 596 S.W.2d 23 (Ky. App. 1979), for the proposition that it is well established in Kentucky that a party is liable for fraud for knowingly participating or condoning the selling and disposing of property for the purpose of defrauding creditors. A reading of that case shows the actual issue was about the appropriateness of the jury instructions [which contained a similar statement of law].

Daniels, 300 S.W.3d at 215 . As this quotation makes clear, it was the defendant, not the court, that proposed this rule of law based on its faulty reliance on Johnson.

A review of Johnson v. Cormney shows that the ?rule? proposed by GATX is both imprecise and supports only a portion of the fraud by omission tort. In Johnson, the defendant challenged the following jury instruction pertaining to a charge of fraud:

Do you believe from the evidence that . . . the defendant . . . caused or knowingly participated in or knowingly condoned the taking, selling or disposing of money or property . . . with the intent to avoid the payment of mortgages on such property, or to cheat, hinder or delay the creditors . . . including plaintiff?

Johnson, 596 S.W.2d at 26, overruled on other grounds by Marshall v. City of Paducah, 618 S.W.2d 433 (Ky. App. 1981) . The defendant argued that the trial court?s use of the word ?condoned? erroneously allowed the jury to find him liable without finding that he committed affirmative acts to the detriment of the plaintiffs. Id.

The Court of Appeals began by highlighting that the complaint alleged that the defendant was liable for omitted and overt fraudulent acts. Id. The court then held that contrary to the defendant?s assertion, ?fraud and deceit are not limited to active or affirmative acts when the circumstances surrounding a transaction impose a duty or an obligation upon one of the parties to disclose material facts known to him and not known to the other party.? Id. (citing Hall v. Carter, 324 S.W.2d 410 (1959) ). The jury instruction?s mention of ?condoned? did not mislead the jury about the requirements of the fraud by omission tort because it conveyed the idea that the defendant must have ?condon[ed] . . . the acts of another . . . both with the knowledge of the acts and with his intent to . . . cheat, hinder or delay creditors.? Id.

As the Johnson case makes clear, the ?rule? proposed by GATX only encompasses a part of the tort of fraud by omission. A party may only be liable for this tort if he had a duty or obligation to disclose material facts to the opposing party to a transaction. Id. Without having some pre-existing duty, a party cannot be liable for fraud by omission simply because he condoned the acts of another with the intent to cheat, hinder or delay creditors. See id. As explained above, GATX has not alleged that Stephen or Robert had any duty to disclose facts to the company. Therefore, GATX has not alleged a sufficient factual basis to support a claim of fraud by omission.

3. Conspiracy to Effect a Fraudulent Conveyance is Not a Viable Cause of Action Against Non-transferee Third Parties

GATX seeks leave to amend its Complaint so that it may allege that Stephen and Robert are liable for conspiring with Larry Addington to effect a fraudulent conveyance. Kentucky law recognizes a claim for civil conspiracy, and defines it as a ?corrupt or unlawful combination or agreement between two or more persons to do by concert of action an unlawful act, or to do a lawful act by unlawful means.? Smith v. Bd. of Educ. of Ludlow, 94 S.W.2d 321, 325 (Ky. 1936) . ?Civil conspiracy is not a free-standing claim; rather, it merely provides a theory under which a plaintiff may recover from multiple defendants for an underlying tort.? Stonestreet Farm, LLC v. Buckram Oak Holdings, N.V., Nos. 2008-CA-002389, 2009-CA-000026, 2010 WL 2696278, at *13 (Ky. Ct. App. July 9, 2010). GATX argues that Stephen and Robert in their individual capacities conspired to assist Larry Addington in transfers that violated KRS ?? 378.010 and .020, rendering them liable for conspiracy to effect a fraudulent conveyance.

Kentucky law has not addressed whether a cause of action exists for conspiring to effect a fraudulent conveyance. In GATX?s response to the Motion to Dismiss, GATX represents that states are largely in accord with the proposition that non-transferees may be liable for conspiring to effect fraudulent conveyances. GATX relies on the Eleventh Circuit Court of Appeals? decision in Cheptsow Ltd. v. Hunt, 381 F.3d 1077 (11th Cir. 2004), to support this proposition. In Hunt, the Eleventh Circuit held that Georgia law recognized a claim against non-transferees for conspiring with a debtor to effect fraudulent transfers. Id. at 1091.

Contrary to GATX?s assertion, Georgia law is in the clear minority. [7] While few states do recognize a cause of action for conspiring to effect a fraudulent conveyance, ?the majority of courts interpreting state [fraudulent conveyance] laws . . . have concluded that liability cannot be imposed on non-transferees under . . . conspiracy theories.? Magten Asset Mgmt. Corp. v. Paul Hastings Janofsky & Walker LLP, No. Civ.A.04-1256-JJF, 2007 WL 129003, at *3 (D.Del. Jan. 12, 2007); see also Double Oak Constr., L.L.C. v. Cornerstone Dev. Int?l, L.L.C., 97 P.3d 140, 146 (Colo. App. 2003) (recognizing that the majority of jurisdictions do not allow claims for conspiracy to effect fraudulent conveyance, but choosing to follow the minority approach). States in the majority have reached this conclusion via two distinct analytic paths.

Some states have reached the more broad conclusion that there is no such cause of action for civil conspiracy to effect a fraudulent conveyance. This line of cases holds that there can be no action for civil conspiracy to effect a fraudulent conveyance when the plaintiff would not be entitled to recover money damages from the defendant for the underlying fraudulent conveyance. Where courts have discussed this holding in detail, they began their analysis by defining the elements of a civil conspiracy claim. Fed. Deposit Ins. Corp. v. S. Prawer & Co., 829 F. Supp. 453, 456 (D. Me 1993) ; Efessiou v. Efessiou, et al., 41 Va. Cir. 142, 1996 WL 1065637, at *4 (Va. Cir. Ct. Nov. 12, 1996). For example, in Efessiou v. Efessiou, the court explained that a ?civil conspiracy requires two or more persons combined to accomplish, by some concerted action, an unlawful purpose or some lawful purpose by unlawful means resulting in damage to the plaintiff.? Efessiou, 1996 WL 1065637, at *4. After setting forth the elements of the tort, each court emphasized that civil actions for conspiracy are premised on damages sustained from an underlying tort. Id.; S. Prawer & Co., 829 F. Supp. at 456 .

In Efessiou, the court held that, with limited exception, there can be no in personam liability for a fraudulent conveyance action; therefore, a party cannot circumvent the limitations of a fraudulent conveyance action by bringing a civil conspiracy claim seeking in personam liability. Efessioiu, 1996 WL 1065637, at *4. [8] Similarly, in S. Prawer & Co., the court held that an action to set aside a fraudulent conveyance is essentially a contract law claim. S. Prawer & Co., 829 F. Supp. at 455 (citing United States v. Franklin, 376 F. Supp. 378 (E.D.N.Y. 1973) ; Branch v. Fed. Deposit Ins. Corp., 825 F. Supp. 384 (D. Mass 1993) ; Desmond v. Moffie, 375 F.2d 742, 743 (1st Cir. 1967) ). Therefore, the S. Prawer & Co. Court held that a fraudulent conveyance action could not serve as a tort underlying a civil conspiracy claim. Id. Ultimately, both courts held that there can be no liability for conspiring to effect a fraudulent conveyance. Id. [9]

Other courts have held more specifically that there is no cause of action against a non-transferee for conspiring to effect a fraudulent conveyance. [10] For example, New York courts have held in a perfunctory manner that New York law has not ?`created a creditor?s cause of action in conspiracy, assertable against nontransferees or nonbeneficiaries solely for assisting in the conveyance of a debtor?s assets.?? Geren v. Quantum Chemical Corp., 832 F.Supp. 728, 737 (S.D.N.Y. 1993) (quoting Fed. Deposit Ins. Corp. v. Porco, 552 N.E.2d 158, 159 (N.Y. 1990) ). Instead, claims premised on a fraudulent conveyance are only actionable against the debtor, transferees or beneficiaries. Id.

The United States Bankruptcy Court for the District of Maryland reached a similar conclusion in In re Minh Vu Hoang, No. 05-21078-TJC, 2012 WL 195316 (Bankr. D. Md. Jan. 23, 2012). Like the courts in Efessiou and S. Prawer & Co., the Bankruptcy Court noted that ?conspiracy is not an independent tort,? but must be premised on an underlying, actionable tort. Id. at *5. Furthermore, conspiracy liability presupposes that the co-conspirator may be liable for the underlying tort. Id. at *4. The court then turned to the Maryland fraudulent conveyance statute and determined that only the transferee and transferor may be liable for a fraudulent conveyance. Id. Thus, the court concluded that a nontransferee may not be liable for conspiring to effect a fraudulent conveyance, regardless of its participation in the conspiracy, because that third party cannot be liable for the underlying fraudulent conveyance. Id.; But see Qwest Communications Corp. V. Weisz, 378 F. Supp. 2d 1188, 1192-1193 (S.D. Cal. 2003) (holding that a coconspirator must be legally capable of committing the underlying tort, and that in limited instances a non-transferee may be legally capable of committing a fraudulent conveyance).

No Kentucky court has been asked to determine whether a claim for conspiring to effect a fraudulent conveyance is recognized as a matter of Kentucky law. However, the majority approach appears to be in line with the goals of Kentucky?s fraudulent conveyance statutes; therefore, Kentucky would likely adopt the majority approach. Like the fraudulent conveyance statutes at issue in Efessiou and S. Prawer & Co., the purpose of Kentucky?s fraudulent conveyance statutes is to ?put the creditors back in the same position they would have enjoyed immediately prior to the voidable conveyance.? Mattingly v. Gentry, 419 S.W.2d 745, 747 (Ky. 1967) . To fulfill this purpose, the plain language of both statutes allows a creditor to void the fraudulent conveyance. However, neither the plain language of the statutes or Kentucky case law suggests that a defendant can be personally liable for fraudulently conveying property. Therefore, as the court held in Efessiou, a plaintiff may not circumvent the limitations of the fraudulent conveyance action by bringing a civil conspiracy claim seeking an in personam judgment.

Moreover, even if Kentucky recognized a claim of conspiring to effect a fraudulent conveyance, it appears that Kentucky would follow the well-reasoned holding of In re Minh Vu Hoang that a nontransferee cannot be liable for conspiring to effect a fraudulent conveyance. The Kentucky Supreme Court has held that in order to prevail on a claim of civil conspiracy, the proponent must show an unlawful/corrupt combination or agreement between the alleged conspirators to do by some concerted action an unlawful act. Montgomery v. Milam, 910 S.W.2d 237, 239 (Ky. 1995) . As has already been explained, supra III(B)(2), a nontransferee cannot be directly liable for a fraudulent conveyance and, thus, cannot engage in an underlying unlawful act as described by Montgomery. Therefore, it is legally impossible for a non-transferee to conspire to effect a fraudulent conveyance. See In re Minh Vu Hoang, 2012 WL 195316, at *4 (holding that one may not be liable for civil conspiracy unless he is legally capable of committing the underlying tort); Applied Equip. Corp. v. Litton Saudi Arabia Ltd et al., 869 P.2d 454, 478 (Cal. 1994) . As a result, GATX?s Motion for Leave to Amend its complaint to add a claim for conspiring to effect a fraudulent conveyance is denied because such an amendment would be futile.

4. A Violation of Kentucky?s Fraudulent Conveyance Statutes Cannot Give Rise to a Negligence Per Se Claim Under KRS ? 446.070

GATX?s Proposed Amended Complaint also asserts a negligence per se claim against Stephen and Robert under KRS ? 446.070. That statute states:

A person injured by the violation of any statute may recover from the offender such damages as he sustained by reason of the violation, although a penalty or forfeiture is imposed for such violation.

GATX intends to assert that the Addingtons violated the fraudulent conveyance statutes, which caused GATX to sustain financial damages, rendering the Addingtons liable for negligence per se. However, this is not a viable legal theory and leave will not be granted for GATX to add this claim.

KRS ? 446.070 codifies the common-law doctrine of ?negligence per se? in Kentucky. Young v. Carran, 289 S.W.3d 586, 589 (Ky. App. 2008) . Negligence per se ?is merely a negligence claim with a statutory standard of care substituted for the common law standard of care.? Id. (internal quotation marks and citation omitted). The negligence per se statute ?creates a private right of action in a person damaged by another person?s violation of any statute that is penal in nature and provides no civil remedy.? Hargis v. Baize, 168 S.W.3d 36, 40 (Ky. 2005) . Additionally, ?in order for a violation to become negligence per se, the plaintiff must be a member of the class of persons intended to be protected by the regulation, and the injury suffered must be an event which the regulation was designed to prevent.? Alderman v. Bradley, 957 S.W.2d 264, 267 (Ky. Ct. App. 1997) .

GATX?s proposed negligence per se claim against Stephen and Robert would not withstand a 12(b)(6) motion for two reasons. First, the plain text of KRS ? 446.070 states, ?[a] person injured by the violation of any statute may recover from the offender such damages as he sustained by reason of the violation. . . .? As has already been discussed, Stephen and Robert, as non-transferees, cannot ?violate? the fraudulent conveyance statutes. Only the debtor and transferees may be liable under either statute. Second, and ever more problematic, negligence per se claims borrow the statutory standard of care from statutes that ?provide no inclusive remedy.? Young, 289 S.W.3d at 589 . Both of the fraudulent conveyance statutes already provide a remedy ? voiding the fraudulent conveyance. Thus, GATX?s attempt to find a viable legal theory under KRS ? 446.070 is flawed. KRS ? 446.070 provides no relief for violations of the fraudulent conveyance statutes. As such, GATX?s Motion for Leave to Amend its Complaint to add a negligence per se claim against Stephen and Robert in their individual capacities is denied.

III. CONCLUSION

Accordingly, for the reasons stated herein, IT IS ORDERED as follows:

(1) Defendants Stephen and Robert Addington?s Motion to Dismiss (Doc. #10) all claims against them in their individual capacities is hereby GRANTED;

(2) Plaintiff GATX?s Motion to File First Amended Complaint (Doc. #17) is hereby DENIED; and

(3) All claims against Defendants Stephen and Robert Addington in their individual capacities are hereby DISMISSED WITH PREJUDICE.

[1] Styled as ?Plaintiff?s Motion to File First Amended Complaint.?

[2] Hereinafter, and with all due respect, the Court will refer to each of the Addington brothers by first name in the interest of clarity and brevity.

[3] Larry was one of many defendants in the 2009 suit.

[4] The facts presented below summarize the factual allegations in Plaintiff?s original Complaint (Doc. # 1), and any facts gleaned from documents attached to or referenced in the Complaint. Plaintiff has alleged additional facts in its Proposed Amended Complaint (Doc. #39). However, as the Court will explain below, Plaintiff?s proposed amendments would be futile because they fail to raise claims that could survive a Rule 12(b)(6) motion to dismiss. Thus, Plaintiff?s motion for leave to file an amended complaint is denied, and factual allegations contained in the proposed amended complaint are not incorporated into this factual and procedural background. The Court will, however, consider factual allegations contained in the proposed amended complaint where they are relevant to the Court?s determination concerning the futility of the proposed amendments.

[5] The Complaint details numerous other transactions involving funds from the irrevocable trust account at TSB. Stephen, ?as Co-Trustee of the Trust,? initiated each of those transactions in large part to move funds from the checking account into investment accounts at other banks . The Complaint does not allege that these transfers were in anyway fraudulent. Instead, the sole purpose of documenting each of these transfers is to trace the proceeds of Larry?s initial $1,000,000.00 transfer. In short, Stephen moved $800,000.00 from TSB to an investment account at Kentucky Trust Company in Danville, Kentucky. Later, Stephen moved all funds in the KTC account into investment and checking accounts at Morgan Stanley Smith Barney.

[6] Count 2 alleges that Stephen and Robert are liable for aiding and abetting fraudulent transfers, which has already been considered.

[7] Arizona, Illinois, New Jersey, and Wisconsin are among the other states that allow claims for conspiring to effect fraudulent conveyance against those that neither received nor benefitted from the fraudulent conveyance. See e.g. McElhanon v. Hing, 728 P.2d 273, 278 (Ariz. 1986) ; In re Rest. Dev. Grp., Inc., 397 B.R. 891, 897 (Bankr. N.D. Ill. 2008) ; Banco Popular N. Am. v. Gandi, 876 A.2d 253, 263 (N.J. 2005) ; Dalton v. Meister, 239 N.W.2d 9, 18 (Wis. 1976) .

[8] The court recognized that the Virginia Supreme Court had carved a narrow exception to the general rule against imposition of personal liability in fraudulent conveyance cases, ?under which a court may impose personal liability on a transferee when the property fraudulently transferred cannot be identified in any form because it has been commingled with funds in the hands of the transferee.? Efessiou, 1996 WL 1065637, at *4. In cases where the narrow exception applies, the court suggested that a civil conspiracy claim for effecting a fraudulent conveyance might be viable. Notably, however, the court also suggested that personal liability may then be imposed on the transferee.

[9] See also In re Harwell, No. 05-41744, 2011 WL 4566443, at *11 (Bankr. M.D. Fla. Sept. 30, 2011) (holding that there is no liability under Florida law for conspiracy to commit fraudulent transfers); Morgan Stanley v. Jecklin, No. 2:05-cv-1364, 2007 WL 923836, at *2 (D. Nev. 2007 Mar. 23, 2007) (holding that Nevada law would not recognize conspiracy to defraud under the Uniform Fraudulent Transfers Act); Rohm and Haas Co. v. Capuano, 301 F. Supp. 2d 156, 161 (D.R.I. 2004) (holding that the defendants could not be liable under the Rhode Island UFTA as mere participants in an alleged fraudulent transfer).

[10] See, e.g., Fundacion Presidente Allende v. Bancho de Chile, No. 05-cv-9771, 2006 WL 2796793, at *3 (S.D.N.Y. May 29, 2006) (?A fraudulent conveyance claim cannot survive absent a showing that defendant had control over the transferred assets or that they benefitted from the conveyance.?); Fed. Deposit Ins. Corp. v. White, No. 3:96-cv-0560, 1998 WL 120298, at *2 (N.D. Tex. Mar. 5, 1998) (?[T]he pertinent statutes do not create personal liability on the part of a co-conspirator for fraudulent conveyances to an extent or in an amount beyond property which a co-conspirator actually receives or in which he acquires an interest.?); Mack v. Newton, 737 F.2d 1343, 1357 (5th Cir. 1984) (holding that ?one who did not actually receive any of the property not fraudulently transferred . . . will not be liable for its value, even though he may have participated or conspired in the making of the fraudulent transfer?).

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