A. J. Nord v. Marvin Madison McIlroy

296 F.2d 12
CourtCourt of Appeals for the Ninth Circuit
DecidedOctober 14, 1961
Docket16984
StatusPublished
Cited by7 cases

This text of 296 F.2d 12 (A. J. Nord v. Marvin Madison McIlroy) is published on Counsel Stack Legal Research, covering Court of Appeals for the Ninth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
A. J. Nord v. Marvin Madison McIlroy, 296 F.2d 12 (9th Cir. 1961).

Opinion

ROSS, District Judge.

I. Background

In 1933, one C. R. Bell gave to the Continental National Bank of Chicago, Illinois a deed to a one-half undivided interest in certain real property situate in Kern County, California. Although there is a dispute between the parties herein as to whether the conveyance was intended to be absolute or only of a security interest, the referee has found that the deed to the bank was by way of security only. In 1946, appellee herein acquired the other undivided one-half interest in the property and from that date remained in exclusive possession of the premises. In 1956, the bank conveyed its interest by quitclaim deed to A. J. Nord, one of appellants herein.

In January, 1958, appellee filed a petition under Chapter XI of the Bankruptcy Act, 11 U.S.C.A. § 701 et seq. Appellee then filed petitions for orders to show cause, alleging that appellants claimed to own an interest in the property in question. The orders to show cause were granted, and appellants filed answers. Appellants A. J. Nord and his wife claimed an -undivided one-half interest as tenants in common with appellee, and appellant J. J. Nord asserted various liens. Hearings before the referee were held on April 8, April 25 and May 23, 1958. On April 22, 1958, however, appellee filed a document denominated a “response” to the answer of A. J, Nord and his wife. In this so-called “response” appellee asserted that the Nords held whatever in *14 terest they may have had as constructive trustees for appellee.

On August 11, 1959, the referee found that none of appellants had any right, title or interest in and to the property in question, except that J. J. Nord had a note secured by a deed of trust on said property in the sum of $6,000 plus interest. A reading of the referee’s order indicates that he held for the appellee for two basic and alternative reasons, namely, that appellants were constructive trustees for appellee and that appellee had acquired title to the disputed one-half interest by adverse possession.

On April 20, 1960, the District Court affirmed the referee’s order on the theory that appellee had obtained title by adverse possession. We have jurisdiction over the appeal from that order by virtue of 11 U.S.C.A. § 47.

II. Procedural Issues

Appellants complain that the theory of the District Court in affirming the referee, i. e., that appellee had gained title to the property to the exclusion of appellants by adverse possession, was not pleaded either in the petitions for orders to show cause or in the “response” mentioned above. We are aware of no rule relating to bankruptcy procedure, and appellants have cited none, which requires a party to specify the grounds on which he bases his claim to title to property. The Federal Rules of Civil Procedure would seem to govern a question such as the one posed here, Bankruptcy General Order 37, 11 U.S.C.A. following section 53, and, as has been stated by eminent authority, “the Federal Rules have done away with the narrow ‘theory of the pleadings’ doctrine.” 2 Moore, Federal Practice, para. 8.14, p. 1656 (2d ed., 1960). See, in this connection, Rambo v. United States, D.C.N.D.Ga. 1941, 2 F.R.D. 200, 201, where, in an action for partition of lands, the court held that as long as the plaintiffs alleged that they owned the lands in question, it was not necessary to allege how they acquired title, for “that may be shown by the evidence.” Furthermore, it cannot be contended that appellee was required to file a responsive pleading to appellants’ answers to the order to show cause. See Rule 7(a), Fed.R.Civ.Proc., 28 U.S.C.A.

We hold, then, that there is no merit to appellants’ contention that the theory of adverse possession should have been pleaded by the appellee.

Also, we find no merit to appellants’ contentions that the referee erred in certain rulings on the evidence. Quite aside from the fact that the rulings, even as an abstract matter, would seem to be proper,. they do not affect the outcome of this case in that they had no relation to the facts and principles which justify our affirmance of the judgment below. Accordingly, the alleged error, if any, did not affect the substantial rights of appellants and, therefore, is not ground for reversal. Rule 61, Fed.R.Civ.Proc.

III. Substantive Issues

A. The interest of A. J. Nord and his wife.

Inasmuch as the District Court affirmed the referee on the theory that appellee had gained title by adverse possession, we shall limit our inquiry to whether or not there was sufficient evidence to support that theory. We need not consider the referee’s alternative theory of the existence of a constructive trust.

Whether or not appellee obtained title by adverse possession must, of course, be determined with reference to California law. The parties seem to agree that California requires that the adverse possessor establish that for five years he was in actual possession of the land, that his possession was open, notorious and hostile or adverse to the title of the true owner, that he has made substantial improvements on the land, and that he has paid taxes assessed on the land. See California Code of Civil Procedure sec. 325; 2 Cal.Jur.2d, Adverse Possession, secs. 32 et seq. We do not understand appellants seriously to deny that appellee was in actual possession of the land for the requisite five year period and that *15 he made substantial improvements; nor, could they, for the record is abundant with proof that those elements were established. Therefore, we shall consider three primary questions. First, was appellee’s possession adverse to that of his cotenant? Second, were appellee’s actions of such a nature as to constitute adequate notice to his cotenant that he intended to occupy the land to the exclusion of others ? Third, did appellee pay the taxes as required by statute? We shall discuss the first two questions together, inasmuch as the evidence relevant to one is, likewise, relevant to the other.

To begin with, we cannot accept appellants’ contention that a cotenant out of possession must have actual knowledge of the intent of the cotenant in possession to hold adversely and exclusively. The California cases have clearly established the proposition that constructive notice of adverse possession is sufficient. West v. Evans, 1946, 29 Cal.2d 414, 175 P.2d 219, 221; Feliz v. Feliz, 1894, 105 Cal. 1, 38 P. 521, 522; Winterburn v. Chambers, 1891, 91 Cal. 170, 27 P. 658, 660.

The question, then, is whether there was sufficient evidence from which the District Court could conclude that appellee’s possession was adverse and that “a person, ordinarily attentive to his interests, in the position of the co-tenant, would have notice of the adverse claim -» * Oglesby v. Hollister, 1888, 76 Cal. 136, 18 P. 146, 149. These are questions of fact, Oglesby v. Hollister, supra, 18 P. at pages 148-149, and the findings by the referee which were adopted by the District Court are presumptively correct and will not be set aside unless clearly erroneous. Rule 52(a), Fed.R.Civ.Proc.; Hudson v.

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