ICP Asset Mgt. LLC v Triaxx Prime CDO Ltd NY Slip Op 31241(U) June 23, 2016 Supreme Court, New York County Docket Number: /2014

Similar documents
D. Penguin Bros., Ltd. v City Natl. Bank 2017 NY Slip Op 31926(U) September 8, 2017 Supreme Court, New York County Docket Number: /2014 Judge:

Joseph Gunnar & Co., LLC v Rice 2015 NY Slip Op 30233(U) February 13, 2015 Supreme Court, New York County Docket Number: /2014 Judge: Eileen A.

Emil LLC v Jacobson 2018 NY Slip Op 32529(U) October 3, 2018 Supreme Court, New York County Docket Number: /2017 Judge: Barry Ostrager Cases

Pielet Bros. Contr. v All City Glass'n Mirro-1964UA, LLC 2015 NY Slip Op 31045(U) June 18, 2015 Supreme Court, New York County Docket Number:

Bloostein v Morrison Cohen LLP 2017 NY Slip Op 31238(U) June 7, 2017 Supreme Court, New York County Docket Number: /2012 Judge: Anil C.

Cohen v Kachroo 2013 NY Slip Op 30416(U) February 22, 2013 Supreme Court, New York County Docket Number: /10 Judge: Eileen A.

U.S. Bank National Association, solely in its capacity as Trustee of the HOME EQUITY ASSET TRUST (HEAT ), Plaintiff, against

Aurora Assoc., LLC v Hennen 2017 NY Slip Op 30032(U) January 6, 2017 Supreme Court, New York County Docket Number: /2015 Judge: Nancy M.

Meshman v Benyaminov 2017 NY Slip Op 30556(U) March 22, 2017 Supreme Court, New York County Docket Number: /2015 Judge: Cynthia S.

Macquarie Capital (USA) Inc. v Morrison & Foerster LLP 2016 NY Slip Op 31405(U) July 14, 2016 Supreme Court, New York County Docket Number:

Platinum Equity Advisors, LLC v SDI, Inc NY Slip Op 33993(U) July 18, 2014 Supreme Court, New York County Docket Number: /2013 Judge:

Patapova v Duncan Interiors, Inc NY Slip Op 33013(U) November 27, 2013 Sup Ct, New York County Docket Number: /2010 Judge: Joan A.

46th St. Dev., LLC v Marsh USA Inc NY Slip Op 33888(U) August 15, 2011 Supreme Court, New York County Docket Number: /2010 Judge: Eileen

Infinity Capital Mgmt. Ltd. v Sidley Austin LLP 2011 NY Slip Op 33923(U) November 15, 2011 Sup Ct, NY County Docket Number: /11 Judge: Shirley

Doral Fabrics, Inc. v Gold 2016 NY Slip Op 31772(U) September 27, 2016 Supreme Court, New York County Docket Number: /2015 Judge: Marcy

JMS AN's, LLC v Fast Food Enters., LLC 2011 NY Slip Op 33900(U) September 28, 2011 Supreme Court, New York County Docket Number: /09 Judge:

Starlite Media LLC v Pope 2014 NY Slip Op 30984(U) April 11, 2014 Supreme Court, New York County Docket Number: /2010 Judge: Eileen Bransten

U.S. Bank N.A. v Greenpoint Mtge. Funding, Inc NY Slip Op 30307(U) March 3, 2015 Supreme Court, New York County Docket Number: /2013

Manda Intl. Corp. v Yager 2015 NY Slip Op 31920(U) October 14, 2015 Supreme Court, New York County Docket Number: /13 Judge: Saliann Scarpulla

Nieborak v W54-7, LLC 2018 NY Slip Op 32132(U) July 31, 2018 Supreme Court, New York County Docket Number: /14 Judge: Nancy M.

Safka Holdings, LLC v 220 W. 57th St. Ltd Partnership 2014 NY Slip Op 31224(U) May 5, 2014 Supreme Court, New York County Docket Number: /2013

Pozner v Fox Broadcasting Co NY Slip Op 30581(U) April 2, 2018 Supreme Court, New York County Docket Number: /2017 Judge: Saliann

Morgan Joseph TriArtisan, LLC. v BHN LLC 2017 NY Slip Op 31907(U) August 31, 2017 Supreme Court, New York County Docket Number: /2014 Judge:

Doppelt v Smith 2015 NY Slip Op 31861(U) October 1, 2015 Supreme Court, New York County Docket Number: /2014 Judge: Eileen Bransten Cases

Parra v Trinity Church Corp NY Slip Op 34122(U) June 13, 2011 Sup Ct, New York County Docket Number: /08 Judge: Doris Ling-Cohan Cases

Taboola, Inc. v DML News & Entertainment, Inc NY Slip Op 33448(U) December 27, 2018 Supreme Court, New York County Docket Number: /2017

U.S. Sec. Assoc., Inc. v Cresante 2016 NY Slip Op 31886(U) October 7, 2016 Supreme Court, New York County Docket Number: /2015 Judge: Eileen A.

JSBarkats PLLC v GoCom Corp. Inc NY Slip Op 32182(U) October 26, 2016 Supreme Court, New York County Docket Number: /2015 Judge: Eileen

Legum v Russo 2014 NY Slip Op 33694(U) October 23, 2014 Supreme Court, Nassau County Docket Number: Judge: James P. McCormack Cases posted

Love v BMW of N. Am., LLC 2017 NY Slip Op 30528(U) February 21, 2017 Supreme Court, Richmond County Docket Number: /16 Judge: Kim Dollard Cases

Axa Equit. Life Ins. Co. v 200 E. 87th St. Assoc., L.P NY Slip Op 30069(U) January 4, 2019 Supreme Court, New York County Docket Number:

241 Fifth Ave. Hotel LLC v Nader & Sons LLC 2016 NY Slip Op 31755(U) September 20, 2016 Supreme Court, New York County Docket Number: /2012

Orloff v English 2016 NY Slip Op 31974(U) October 14, 2016 Supreme Court, New York County Docket Number: /15 Judge: Nancy M.

Matrisciano v Metropolitan Transp. Auth NY Slip Op 33435(U) December 24, 2014 Supreme Court, New York County Docket Number: /2014 Judge:

Foscarini, Inc. v Greenestreet Leasehold Partnership 2017 NY Slip Op 31493(U) July 13, 2017 Supreme Court, New York County Docket Number: /2015

FC Bruckner Assoc., L.P. v Fireman's Fund Ins. Co NY Slip Op 30848(U) April 18, 2013 Supreme Court, New York County Docket Number: /10

Goldberg v HSBC Securities (USA), Inc NY Slip Op 30481(U) February 28, 2014 Sup Ct, New York County Docket Number: /13 Judge: Saliann

Tillage Commodities Fund, L.P. v SS&C Tech., Inc NY Slip Op 32586(U) December 22, 2016 Supreme Court, New York County Docket Number:

Jin Hai Liu v Forever Beauty Day Spa Inc NY Slip Op 32701(U) October 11, 2018 Supreme Court, New York County Docket Number: /2017 Judge:

Zegelstein v Faust 2017 NY Slip Op 31257(U) June 9, 2017 Supreme Court, New York County Docket Number: /2014 Judge: Anil C. Singh Cases posted

Rosenberg v Hedlund 2016 NY Slip Op 30201(U) February 4, 2016 Supreme Court, New York County Docket Number: /2015 Judge: Eileen A.

Barbizon (2007) Group Ltd. v Barbizon/63 Condominium 2016 NY Slip Op 31973(U) October 17, 2016 Supreme Court, New York County Docket Number:

Board of Mgrs. of the Baxter St. Condominium v Baxter St. Dev. Co. LLC 2013 NY Slip Op 30209(U) January 30, 2013 Sup Ct, New York County Docket

Chamalu Mgt. Inc. v Waterbridge Cap., LLC 2013 NY Slip Op 32951(U) November 18, 2013 Supreme Court, New York County Docket Number: /2013 Judge:

Saxon Tech., LLC v Wesley Clover Solutions-N. Am., Inc NY Slip Op 30002(U) January 2, 2014 Supreme Court, New York County Docket Number:

Reed v Yankowitz 2014 NY Slip Op 32843(U) October 29, 2014 Sup Ct, Kings County Docket Number: /2013 Judge: David I. Schmidt Cases posted with

Rothman v RNK Capital, LLC 2015 NY Slip Op 31640(U) August 26, 2015 Supreme Court, New York County Docket Number: /15 Judge: Barbara Jaffe

Platinum Rapid Funding Group Ltd. v VIP Limousine Servs., Inc NY Slip Op 31591(U) June 8, 2016 Supreme Court, Nassau County Docket Number:

Nelson v Patterson 2010 NY Slip Op 31799(U) July 12, 2010 Sup Ct, NY County Docket Number: /09 Judge: Joan A. Madden Republished from New York

IDT Corp. v Tyco Group, S.A.R.L NY Slip Op 31981(U) October 17, 2016 Supreme Court, New York County Docket Number: /15 Judge: Saliann

Konig v Chanin 2011 NY Slip Op 33951(U) August 5, 2011 Sup Ct, NY County Docket Number: /09 Judge: Shirley Werner Kornreich Cases posted with a

Benedetto v Mercer 2012 NY Slip Op 33347(U) July 30, 2012 Supreme Court, New York County Docket Number: /2012 Judge: Ellen M.

Meister Seelig & Fein, LLP v Hornick 2013 NY Slip Op 31325(U) June 19, 2013 Sup Ct, New York County Docket Number: /2012 Judge: Carol R.

Federal Hous. Fin. Agency v UBS Real Estate Sec., Inc NY Slip Op 31458(U) July 27, 2016 Supreme Court, New York County Docket Number: /12

Dukuly v Harlem Ctr., LLC 2010 NY Slip Op 32433(U) August 11, 2010 Sup Ct, NY County Docket Number: /08 Judge: Barbara Jaffe Republished from

Beys v MMM Group, LLC 2016 NY Slip Op 30619(U) April 11, 2016 Supreme Court, New York County Docket Number: Judge: George J.

Astor Place, LLC v NYC Venetian Plaster Inc NY Slip Op 31801(U) September 28, 2016 Supreme Court, New York County Docket Number: /15

Carlyle, LLC v Quik Park 1633 Garage LLC 2016 NY Slip Op 32476(U) December 15, 2016 Supreme Court, New York County Docket Number: /15 Judge:

Kolanu Partners LLP v Sparaggis 2016 NY Slip Op 30987(U) May 31, 2016 Supreme Court, New York County Docket Number: /13 Judge: Shlomo S.

Power Air Conditioning Corp. v Batirest 229 LLC 2017 NY Slip Op 30750(U) April 13, 2017 Supreme Court, New York County Docket Number: /2016

Gene Kaufman Architect, P.C. v Gallery at Chelsea, LLC 2005 NY Slip Op 30531(U) July 25, 2005 Supreme Court, New York County Docket Number: /05

Mack-Cali Realty Corp. v NGM Ins. Co NY Slip Op 33719(U) January 16, 2013 Sup Ct, Westchester County Docket Number: 50233/2012 Judge: Sam D.

Shipyard Quarters Marina, LLC v New Hampshire Ins. Co NY Slip Op 30903(U) May 17, 2016 Supreme Court, New York County Docket Number:

International Union of Bricklayers & Allied Craftworkers v Bank of New York Mellon 2014 NY Slip Op 30177(U) January 17, 2014 Supreme Court, New York

Broadway W. Enters., Ltd. v Doral Money, Inc NY Slip Op 32912(U) November 12, 2013 Supreme Court, New York County Docket Number: /2011

Love-Evans v Goodman Mgt. Co., Inc NY Slip Op 31085(U) April 14, 2014 Sup Ct, Bronx County Docket Number: /09 Judge: Jr., Kenneth L.

Transit Funding Assoc. LLC v Capital One Equip. Fin. Corp NY Slip Op 32631(U) December 14, 2017 Supreme Court, New York County Docket Number:

Granfeld II, LLC v Kohl's Dept. Stores, Inc NY Slip Op 34273(U) October 26, 2011 Supreme Court, Suffolk County Docket Number: Judge:

LSF6 Mercury Reo Invs., LLC v JL Appraisal Serv NY Slip Op 33206(U) January 17, 2013 Supreme Court, New York County Docket Number: /12

Analisa Salon Ltd. v Elide Prop. LLC 2011 NY Slip Op 34125(U) July 22, 2011 Sup Ct, Westchester County Docket Number: 7582/05 Judge: Orazio R.

Board of Mgrs. of 111 Hudson St. Condominium v 111 Hudson St., LLC 2015 NY Slip Op 31452(U) July 28, 2015 Supreme Court, New York County Docket

Michael Alan Group, Inc. v Rawspace Group, Inc NY Slip Op 30055(U) January 3, 2019 Supreme Court, New York County Docket Number: /2017

Direct Capital Corp. v Popular Brokerage Corp NY Slip Op 31440(U) July 30, 2015 Supreme Court, New York County Docket Number: /2014

MDW Funding LLC v Darden Media Group, LLC 2017 NY Slip Op 30878(U) April 28, 2017 Supreme Court, New York County Docket Number: /2015 Judge:

Lobel Chem. Corp. v Petitto 2016 NY Slip Op 30273(U) February 16, 2016 Supreme Court, New York County Docket Number: /14 Judge: Kelly A.

Home Equity Asset Trust (Heat ) v DLJ Mtge. Capital, Inc NY Slip Op 50001(U) Decided on January 3, 2014

American Express Travel Related Servs. Co., Inc. v Munilla Constr. Mgt., LLC 2018 NY Slip Op 33264(U) December 13, 2018 Supreme Court, New York

Saleh v Ali 2015 NY Slip Op 31418(U) July 28, 2015 Supreme Court, New York County Docket Number: /2015 Judge: Arthur F. Engoron Cases posted

Emigrant Bank v Greene 2015 NY Slip Op 31343(U) February 24, 2015 Supreme Court, Queens County Docket Number: /2014 Judge: Allan B.

Rosenberg v Hedlund 2016 NY Slip Op 30191(U) February 3, 2016 Supreme Court, New York County Docket Number: /2015 Judge: Eileen A.

Mejer v Met Life 2012 NY Slip Op 33288(U) January 13, 2012 Sup Ct, NY County Docket Number: /11 Judge: Emily Jane Goodman Cases posted with a

Kaufman v Tratner, Molloy & Goodstein, LLP 2018 NY Slip Op 33121(U) November 26, 2018 Supreme Court, Kings County Docket Number: /17 Judge:

Nucci v Nucci 2012 NY Slip Op 31931(U) July 11, 2012 Supreme Court, Suffolk County Docket Number: 44836/2010 Judge: Joseph Farneti Republished from

Corning Credit Union v Spencer 2017 NY Slip Op 30014(U) January 6, 2017 Supreme Court, Steuben County Docket Number: CV Judge: Marianne

Tassan v Pugatch & Nikolis 2014 NY Slip Op 33441(U) December 29, 2014 Supreme Court, Suffolk County Docket Number: 30031/2012 Judge: William B.

U.S. Bank Natl. Assoc. v Countrywide Home Loans, Inc NY Slip Op 30882(U) February 13, 2014 Sup Ct, New York County Docket Number: /2011

Audubon Tenants Assoc. v Audubon Realty, LLC 2017 NY Slip Op 31739(U) August 15, 2017 Supreme Court, New York County Docket Number:

Ovsyannikov v Monkey Broker, LLC 2011 NY Slip Op 33909(U) August 12, 2011 Supreme Court, New York County Docket Number: /2010 Judge: Eileen

Little Cherry, LLC v Two Bridges Hous. Dev. Fund Co NY Slip Op 30435(U) March 17, 2016 Supreme Court, New York County Docket Number:

Lai v Gartlan 2010 NY Slip Op 32013(U) July 8, 2010 Supreme Court, New York County Docket Number: /02 Judge: Charles E. Ramos Republished from

Minuto v Longo 2013 NY Slip Op 31683(U) July 25, 2013 Supreme Court, New York County Docket Number: /09 Judge: Cynthia S. Kern Republished from

Excel Assoc. v Debi Perfect Spa, Inc NY Slip Op 30890(U) May 26, 2015 Supreme Court, New York County Docket Number: /2014 Judge: Eileen

Petitioner Physicians' Reciprocal Insurers ("PRI") in the above-captioned proceeding.

NRT N.Y., LLC v Morin 2014 NY Slip Op 31261(U) May 14, 2014 Supreme Court, New York County Docket Number: /2013 Judge: Eileen A.

Rhodes v Presidential Towers Residence, Inc NY Slip Op 33445(U) November 20, 2018 Supreme Court, New York County Docket Number: /2017

Southern Advanced Materials, LLC v Abrams 2019 NY Slip Op 30041(U) January 4, 2019 Supreme Court, New York County Docket Number: /2015 Judge:

Kahlon v Creative Pool and Spa Inc NY Slip Op 30075(U) January 6, 2014 Sup Ct, New York County Docket Number: /12 Judge: Paul Wooten

Amsterdam Assoc. LLC v Alianza LLC 2014 NY Slip Op 30156(U) January 15, 2014 Supreme Court, New York County Docket Number: /2013 Judge:

Strujan v Tepperman & Tepperman, LLC NY Slip Op 30211(U) January 28, 2011 Sup Ct, New York County Docket Number: /2010 Judge: Jane S.

Schon Family Found. v Brinkley Capital Ltd NY Slip Op 33027(U) November 27, 2018 Supreme Court, New York County Docket Number: /2015

Transcription:

ICP Asset Mgt. LLC v Triaxx Prime CDO 2006-1 Ltd. 2016 NY Slip Op 31241(U) June 23, 2016 Supreme Court, New York County Docket Number: 653202/2014 Judge: Eileen Bransten Cases posted with a "30000" identifier, i.e., 2013 NY Slip Op 30001(U), are republished from various state and local government websites. These include the New York State Unified Court System's E-Courts Service, and the Bronx County Clerk's office. This opinion is uncorrected and not selected for official publication.

[* 1] SUPREME COURT OF THE STATE OF NEW YORK COUNTY OF NEW YORK: PART 3 - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -X ICP ASSET MANAGEMENT LLC, INSTITUTIONAL CREDIT PARTNERS, LLC, and THOMAS C. PRIORE, Plaintiffs, -against- TRIAXX PRIME CDO 2006-1 LTD., TRIAXX PRIME CDO 2006-02 LTD. AND TRIAXX PRIME CDO 2007-1 LTD., Index No. 653202/2014 Motion Seq. No. 004 Motion Date: 2/18/2016 Defendants. - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -X BRANSTEN, J.: Plaintiffs ICP Asset Management LLC ("ICP"), Institutional Credit Partners, LLC ("ICP HoldCo") and Thomas C. Priore bring this action to recover legal fees and costs incurred in defending the actions entitled Securities and Exchange Commission v. ICP Asset Management, et al., No. 10-CV-4791 (S.D.N.Y.) ("the SEC Action") and AIG Financial Products Corp. v. ICP Asset Management, et al., Index No. 651117/2011 (Sup. Ct. N.Y. Cnty.) ("the AIG Action"). Plaintiffs' claims are based upon indemnification provisions of three Collateral Management Agreements ("CMAs") between ICP and defendants Triaxx Prime CDO 2006-1 Ltd., Triaxx Prime CDO 2006-2 Ltd. and Triaxx Prime CDO 2007-1 Ltd. (collectively, "the Funds"), dated September 7, 2007, December 14, 2006 and March 29, 2008. Pursuant to the CMAs, ICP agreed to provide certain collateral management services to each of the Funds, and each of the Funds agreed to indemnify and hold plaintiffs harmless and to reimburse them for all their reasonable 2 of 17

[* 2] Page 2of16 legal fees and expenses incurred in any pending or threatened litigation arising out of any actions or omissions incurred in providing services under the CMAs. In the motion currently before the Court, plaintiffs move to dismiss defendants' affirmative defenses and counterclaims. For the reasons set forth below, plaintiffs motion is granted, and the affirmative defenses and counterclaims are dismissed. I. Back1:round Defendants interposed five counterclaims with their amended answer - counterclaims against ICP and Priore for breach of contract (first counterclaim), fraud (second counterclaim), and breach of fiduciary duty (fourth counterclaim); a counterclaim against ICP HoldCo for aiding and abetting fraud (third counterclaim); and, a counterclaim against ICP for indemnification (fifth counterclaim). Defendants allege that plaintiffs engaged in a "continuous scheme to abuse, mismanage and defraud the Triaxx Funds in order to benefit themselves and their favored clients." (Counterclaims 1 13.) In support of this allegation, defendants cite to four specific transactions - ( 1) in June 2007, plaintiffs "rebooked" purchases of securities "earmarked for defendants" (id. 1 21 ); (2) in August 2007, plaintiffs caused defendants to enter into "unapproved" forward purchase agreements at "back-dated" prices (id. 124); (3) in June 2008, plaintiffs committed defendants to forward purchase certain bonds and then "replaced those positions with cheaper bonds bought from ICP's affiliated broker- 3 of 17

[* 3] Page 3of16 dealer" (id. ir 25); and, (4) on August 5, 2008, plaintiffs caused Triaxx 2 to purchase a bond issue at $75 per share from an ICP "favored client," after Triaxx 2's Trustee had rejected the same bond issue at a lower price because it "failed to meet the Fund's investment criteria, which prohibited purchases of bonds priced below $75. Id. ir 22. In addition, defendants allege that one transaction "occurred on October 28, 2008," id. if 19, but provide no detail as to the nature of that transaction. As a result of these transactions, defendants assert that the Triaxx Funds "incurred millions of dollars in damages and lost profits in an amount to be determined at trial," including fees or expenses incurred in connection with the AIG and SEC Actions, and "millions of dollars in damages due to [plaintiffs] causing the Triaxx Funds to purchase bonds at inflated, above-market prices.'' Id. iii! 43, 51, 57. II. Discussion A. Defendants ' Counterclaims 1. Breach of Contract (First Counterclaim) Plaintiffs first contend that defendants' breach of contract counterclaim is timebarred. The Court agrees. Pursuant to CPLR 213(2), defendants' claim for breach of contract is subject to a six-year statute of limitations, which begins to run when a cause of action accrues. Hahn Auto. Warehouse, Inc. v. Am. Zurich Ins. Co., 18 N.Y.3d 765, 770 (2012). In contract 4 of 17

[* 4] JCP Asset Mgmt. v Triaxx Index No. 653202/2014 Page 4of16 actions, "a claim generally accrues at the time of the breach," and claims are deemed interposed when served. Id.; CPLR 203( d) ("A defense or counterclaim is interposed when a pleading containing it is served."). The original counterclaims were served on July 16, 2015, and the amended counterclaims were served on August 25, 2015. Defendants allege breaches that occurred more than six years earlier, in June 2007, August 2007, June 2008, and in or about August 5, 2008 - more than six years before the counterclaims were interposed. Morever, even by the time the original complaint was filed on October 22, 2014, the statute of limitations had already run on the counterclaims. Although defendants also claim that a "transaction" occurred on October 28, 2008, within six years of the commencement of the action, the counterclaims do not give any clue as to the facts of that transaction, how it arose, or why it is actionable. a. Continuous Violation Doctrine Defendants concede that the breach of contract counterclaim is subject to a sixyear statute of limitations and do not dispute that the breaches that they allege occurred more than six years before they interposed their counterclaims. Nevertheless, defendants try to save their breach of contract counterclaim by claiming that the transactions constitute a "continuous course of breaching conduct," such that a single transaction, 5 of 17

[* 5] Page 5of16 allegedly occurring within the six-year period on October 28, 2008, tolls the statute of limitations on the earlier claims. However, the counterclaims here do not allege a continuing breach, but rather are a series of discrete breaches. See Meruk v. City of New York, 223 N.Y. 271, 276 (1918) (stating that a continuous breach is "where a defendant unlawfully produces some condition which is not necessarily of a permanent character and which results in intermittent and recurring injuries to another"); see also Jensen v. Gen. Elec. Co., 82 N.Y.2d 77, 85 (1993) (detailing the origins and application of the continuing wrong doctrine); 1050 Tenants Corp. v. Lapidus, 289 A.D.2d 145, 147 (1st Dep't 2001). The "continuing violation doctrine" does not apply where, as here, "plaintiffs suffered discrete, actionable harms each time they paid too much or received too little on a... transaction." In re LIBOR-Based Fin. Instruments Antitrust Litig., 2015 WL 6243526, at* 136 (S.D.N.Y. 2015). Like defendants here, the plaintiffs in the LIBOR litigation alleged a series of discrete breaches, each of which was separately actionable. Here, defendants claim that there was a "year long" series of "Funding CDO" trades that began in February 2008 and ended on October 28, 2008. (Counterclaims iii! 17-18.) However, each of these trades, other than the single trade which closed on October 28, 2008, are time-barred precisely because, according to defendants, "each time they paid too much or received too little on a... transaction." LIBOR, 2015 WL 6243526at*136. 6 of 17

[* 6] Page 6of16 Defendants also separately allege four transactions concerning '"rebooked" purchases, "unapproved forward purchase agreements," and other trades which allegedly occurred in June 2007, August 2007, June 2008, and on August 5, 2008. (Counterclaims iii! 21, 22, 24, 25.) These four transactions clearly fall outside the limitations period, and are barred, as are each of the "Funding CDO" claims, other than the single trade which was closed on the October 28, 2008 transaction. Further, even if the transactions constituted a "continuous" breach of contract, defendants could not claim contract damages except for those wrongful transactions occurring within the six-year limitation period. Under the "theory of continuous accrual," "a plaintiff may recover for a harm committed within the limitations period, even though the plaintiff cannot recover for similar harms committed outside the limitations period." LIBOR, 2015 WL 6243526at*135. "A defendant that manipulated LIBOR in 2008 is not immune simply because it also manipulated LIB OR in 2007 or 2006." Id. at * 137. At the same time, however, "the fact that a plaintiff suffered injury within the limitations period does not salvage a claim that a defendant committed a misrepresentation or omission... before the limitations period" Id. Thus, even under the "theory of continuous accrual," defendants are barred from recovering for any harms alleged to have occurred prior to the six-year limitations period. Parlato v. Equitable Life Assur. Soc 'y of U.S., 299 A.D.2d 108, 114 (1st Dep't 2002) (holding recovery on fraud limited to transaction's six-year limitations period); see also General Precision v. Ametek, Inc., 20 7 of 17

[* 7] Page 7of16 N.Y.2d 898, 899 (1967) (deeming alleged damages for "continued breach" barred "for the period prior to six years before the commencement of the action"). Again, the only transaction to have occurred within six years of the commencement of this action supposedly occurred on October 28, 2008. Nevertheless defendants do not allege a single fact about that transaction showing that it is actionable, or why it should relate back to the filing of the original complaint. More specifically, defendants fail to identify in their counterclaims any information concerning the October 2008 transaction, including the asset which was the subject of the transaction, the price at which such asset was purchased, the price at which it was sold, which of the defendants, if any, engaged in the transaction, or the identity of the alleged counterparty. Defendants make only conclusory assertions that the "October 28, 2008 transaction" was one of "dozens" of trades at "prices higher than selling out in the market." (Defs.' Br. at 10.) Nonetheless, defendants assert that additional detail is ' 1 present in the materials filed by the SEC in their lawsuit for securities fraud against plaintiffs," id. at 11, and in the unsworn Rule 56.1 Statement submitted by the SEC in its unsuccessful motion for summary judgment. However, this reference to additional detail outside the record does not salvage defendants' claim. Under New York law, counsel's unsupported statement about SEC materials and the Rule 56.1 statement are both insufficient to cure defendants' pleading deficiencies. See Mamdouh v. Leger, 34 Misc. 3d 1212[A] at *3 (Sup. Ct. Kings Cnty. 2011) ("unswom [letter has] no probative value and will not be considered to 8 of 17

[* 8] Page 8of16 remedy an[y] deficiencies in the complainf'); see also Riverside S. Planning Corp. v. CRP/Extell Riverside, L.P., 60 A.D.3d 61, 68 (1st Dep't 2008), aff'd 13 N.YJd 398 (2009) ("unsupported statements by counsel are not entitled to any weight whatsoever on a CPLR 3211 motion"). Accordingly, any claim upon which the October 2008 transaction is supposedly based must be dismissed, as well. b. Equitable Estoppel Defendants also seek to avoid the statute of limitations by making the conclusory assertion that "concealment prevents the Triaxx Funds from discovery that ICP and Priore have breached the CMAs." (Counterclaims~ 42.) However, a claim of equitable estoppel based on "concealment" requires particularized allegations of misrepresentation for the specific purpose of inducing defendants not to litigate and reliance by the defendants in failing to prosecute. Rains v. Metro. Transp. Auth., 120 A.D.2d 509, 509 (2d Dep't 1986). Moreover, equitable estoppel is only "triggered by some conduct on the part of the defendant after the initial wrongdoing," and "the later fraudulent misrepresentation must be for the purpose of concealing the former" conduct. Ross v. Louise Wise Servs., Inc., 8 N.Y.3d 478, 491 (2007). The "same wrongful act" cannot be "the basis of both the estoppel argument and the underlying claims." Kaufman v. Cohen, 307 A.D.2d 113, 122 (1st Dep't 2003). 9 of 17

[* 9] Page 9of16 Defendants allege no particularized allegations of misrepresentation for the purpose of inducing defendants not to litigate, much less any culpable conduct subsequent to any alleged "initial wrongdoing." Defendants also do not allege facts stating that plaintiffs' purported misrepresentations caused defendants "to refrain from filing suit" before the limitations period expired. Ross, 8 N.Y.3d at 492; see also Green v. Albert, l 99 A.D.2d 465, 467 (2d Dep't 1993) ("plaintiff admittedly realized that he would have to litigate the matter... approximately five or six months prior to the expiration of the Statute of Limitations," such that the defendant's "conduct cannot be relied upon to establish estoppel"). Indeed, defendants were on notice to proceed with their claims from both the SEC Action, which was filed in 2010, and the AIG Action, which was filed in 2011. See Counterclaims ilil 29, 31; see also Nichols v. Curtis, 104 A.D.3d 526, 528 (1st Dep't 2013) (rejecting estoppel argument where "the complaint admits that plaintiff realized by November 2003 that defendants' representation of her had fallen below the skill and knowledge commonly required of members of the legal profession"). Thus, defendants had more than sufficient notice to proceed if they so desired. Consequently, they may not argue that they were misled into not bringing suit in a timely fashion. Accordingly, the first counterclaim for breach of contract must be dismissed. 10 of 17

[* 10] ICP Asset Mgmt. v Triaxx Index No. 653202/2014 Page 10of16 2. Fraud (Second Counterclaim) Like their first counterclaim for breach of contract, defendants' second counterclaim for fraud also must be dismissed on statute of limitations grounds. "A cause of action sounding in fraud must be commenced within 6 years from the date of the fraudulent act or 2 years from the date the party discovered the fraud or could, with due diligence, have discovered it." Ghandour v. Shearson Lehman Bros., 213 A.D.2d 304, 305 (1st Dep't 1995); CPLR 213(8). Each of the allegedly fraudulent transactions - which are identical to the transactions that form the basis for the breach of contract claim - occurred more than six years before the counterclaims were interposed, or the action commenced. Accordingly, defendants' counterclaim for fraud must be dismissed as time-barred. Defendants' fraud counterclaim must also be dismissed because it duplicates defendants' contract claim. See Caniglia v. Chicago Tribune-NY. News Syndicate, Inc., 204 A.D.2d 233, 234 (1st Dep't 1994) ("[I]t is well settled that a cause of action for fraud does not arise, where, as here, the only fraud alleged merely relates to a contracting party's alleged intent to breach a contractual obligation"); Callas v. Eisenberg, 192 A.D.2d 349, 350 (1st Dep't 1993) (dismissing fraud claims where the "damage is recoverable under the other causes of action alleged"). "To plead a viable cause of action for fraud arising out of a contractual relationship, the plaintiff must allege a breach of 11 of 17

[* 11] Page 11of16 duty which is collateral or extraneous to the contract between the parties." Krantz v. Chateau Stores of Canada Ltd., 256 A.D.2d 186, 187 (1st Dep't 1998). Since the fraud counterclaim is based entirely on the alleged breach of contract and defendants fail to allege a legal duty collateral to their duty to perform under the contract, the fraud claim separately merits dismissal for failure to state a claim. 3. Aiding and Abetting Fraud (Third Counterclaim) In the third counterclaim, defendants assert that ICP HoldCo aided and abetted the fraud committed against the Funds. Defendants' aiding and abetting claim also must be dismissed as time-barred. The statute of limitations for a claim of aiding and abetting fraud is six years. Solow v. Tanger, 258 A.D.2d 323, 323 (1st Dep't 1999); CPLR 213(8). The alleged misrepresentations supporting the underlying fraud claim all occurred more than six years prior to the interposition of the counterclaims on July 16, 2015, or the amended counterclaims on August 25, 2015. To the extent that defendants claim that the counterclaims should relate back to the date of the filing of the complaint, defendants have failed to allege any specific misrepresentation that occurred within six years of the commencement of the action on October 22, 2014. Accordingly, for the same reasons 12 of 17

[* 12] Page 12of16 defendants' underlying fraud claim must be dismissed as time-barred, the claim for aiding and abetting fraud must be dismissed as time-barred as well. 4. Breach of Fiduciary Duty (Fourth Counterclaim) Defendants counterclaim for breach of fiduciary duty also merits dismissal on statute of limitations grounds. The applicable limitations period here is three years because the breach of fiduciary duty claim is purely monetary in nature. See Counterclaims if 61 ("As a result of [the allege breach of fiduciary duty], the Triaxx Funds have incurred millions of dollars in damages and lost profits"). Where, as here, "[t]he remedy sought is purely monetary in nature, courts construe the suit as alleging 'injury to property' within the meaning of CPLR 214(4), which has a three-year limitations period." IDT Corp. v. Morgan Stanley Dean Witter & Co., 12 N.Y.3d 132, 139 (2009). This claim accrued on August 5, 2008 -the last date on which any of the specific transactions referred to in the amended counterclaims occurred. Accordingly, the claim was timely no later than August 5, 2011, long before this action commenced, and long before the claim was interposed on July 16, 2015. Although defendants argue in opposition that the six-year statute of limitations applies here because the breach of fiduciary duty is premised on fraud, that argument fails, as the six-year statute of limitations also has expired. 13 of 17

[* 13] Page 13of16 Finally, Defendants' counterclaim for breach of fiduciary duty must also be dismissed because it is "duplicative of the breach of contract claim, since the claims are premised upon the same facts and seek identical damages." Chowaiki & Co. Fine Art Ltd. v. Lacher, 115 A.D.3d 600, 600 (1st Dep't 2014). Defendants concede that the CMAs control the parties' relationship and assert that the C:MAs are the basis for the parties' fiduciary relationship. See Defs.' Br. at 21-22. 5. Indemnification (Fifth Counterclaim) Defendants' fifth counterclaim for indemnification is asserted only as against ICP. However, this claim must be dismissed because the contract language does not support the indemnification claim. Indemnification provisions in contracts are to be "strictly construed to avoid reading into [them] a duty which the parties did not intend to be assumed." Hooper Assoc., Ltd. v. AGS Computers, 74 N.Y.2d 487, 491 (1989). Pursuant to section lo(c) of the CMAs, to allege indemnification, defendants must allege that their costs were "incurred in investigating, preparing, pursuing or defending" claims or actions or investigations arising from the Collateral Manager's misconduct, and that they gave "written notice" of their claims. Defendants conclusorily claim that their damages are "attorneys' fees arising from the SEC and AIG actions," Counterclaims~ 64, but utterly fail to allege any facts showing that the damages were "incurred in investigating, preparing, pursuing or defending" the AIG or SEC Actions. Defendants 14 of 17

[* 14] Page 14of16 also do not allege that they provided written notice of their claims. Indeed, none of the defendants alleges that they were even parties to the SEC Action, and only defendant TRIAXX CDO 2007-1 could assert that it was a party to the AIG action. Accordingly, defendants do not state a claim for indemnification under section 10 (c) of the CMAs. B. 'Affirmative Defenses Defendants' first affirmative defense - that the complaint fails to state a claim - was decided in favor of plaintiffs in this Court's June 22, 2015 Order. This Order, which was not appealed, denied defendants' motion to dismiss the complaint and held that plaintiffs stated a cause of action. Where, as here, a legal issue was necessarily resolved on the merits in a prior decision, the courfs decision on that issue becomes the law of the case, precluding further litigation of that issue. See Thompson v. Cooper, 24 A.D.3d 203, 205 (1st Dep't 2005). Accordingly, the first affirmative defense is barred. Defendants' second through fifth affirmative defenses must also be dismissed because they are entirely conclusory. Pursuant to CPLR 321 l(b), "[a] party may move for judgment dismissing one or more defenses, on the ground that a defense is not stated or has no merit." Defenses that plead conclusions of law without supporting facts are insufficient. See, e.g., Robbins v. Growney, 229 A.D.2d 356, 358 (1st Dep't 1996) (holding that trial court should have dismissed conclusory affirmative defense since "bare legal conclusions are insufficient"). 15 of 17

[* 15] Page 15of16 Defendants' affirmative defenses consist of nothing more than the name of the affirmative defenses - "failure to state a claim," Hpublic policy against reimbursement for disgorgement," "doctrine of unclean hands," ''material breaches," and "set off." Defendants allege no facts demonstrating the applicability of such defenses. Although defendants argue that they have provided "sufficient notice," it is well settled that affirmative defenses that are "the mere titles of such defenses [are] not sufficiently particular to give the court and parties notice of the grounds for the defenses as required by CPLR 3013." Bel Paese Sale Co. v. Macri, 99 A.D.2d 740, 741 (1st Dep't 1984); see also 170 W. Vil!. Assoc. v. G & E Realty, Inc., 56 A.D.3d 372, 372-73 (1st Dep't 2008). Accordingly, these boilerplate and conclusory affirmative defenses must be stricken. See Kronish Lieb Weiner & Hellman LLP v. Tahari, Ltd., 35 A.D.3d 317, 319 (1st Dep't 2006) ("Defendant's affirmative defenses of waiver,!aches, unclean hands, unconscionability and negligence per se were all properly dismissed as, inter alia, conclusory"); Herbert Paul, P.C. v. Coleman, 236 A.D.2d 268, 269 (1st Dep't 1997) ("Defendant's affirmative defenses... were properly dismissed as insufficiently pleaded and factually unsupported"). merit. The Court has considered the remaining arguments and deems them to be without 16 of 17

[* 16] ICP Asset Mgmt. v Triaxx Index No. 653202/2014 Page 16of16 III. Conclusion Accordingly, it is ORDERED that plaintiffs' motion to dismiss defendants' counterclaims and affirmative defenses is granted, and the counterclaims and affirmative defenses and counterclaims are hereby dismissed; and it is further ORDERED that counsel for the parties are directed to appear for a status conference in Room 442, 60 Centre Street, on August 23, 2016. Dated: New York, New York June?-J, 2016 c ~ \ () f\.--._ --- 1 ~ ""~ ~ { C:,. Hon. Eileen Bransten, J.S.C. 17 of 17