Abrams v. Daugherty

212 P. 942, 60 Cal. App. 297, 1922 Cal. App. LEXIS 9
CourtCalifornia Court of Appeal
DecidedDecember 28, 1922
DocketCiv. No. 4423.
StatusPublished
Cited by24 cases

This text of 212 P. 942 (Abrams v. Daugherty) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Abrams v. Daugherty, 212 P. 942, 60 Cal. App. 297, 1922 Cal. App. LEXIS 9 (Cal. Ct. App. 1922).

Opinion

NOURSE, J.

This is a proceeding in certiorari to review the action of the respondent as commissioner of corporations of the state of California in temporarily suspending the certificate authorizing petitioner to act as a broker under the provisions of the Corporate Securities Act of 1917. (Stats. 1917, p. 673.) The respondent has filed a return, which, in addition to a large amount of extraneous and immaterial matter, contains a copy of a notice to the petitioner to show cause why his certificate should not be revoked, a transcript of certain evidence taken before the commissioner in response to said notice, and a copy of the order of suspension. The notice of hearing' was mailed to the petitioner herein and was in the words and figures following: “You are hereby notified to appear at this office at 2:30 P. M., on Friday, September 29, 1922, to show cause why your broker’s certificate should not be revoked.” At the time set an attorney appeared for the petitioner and at his request the hearing was continued until the folowing day. At that time, the attorney again being present, testimony was taken by the deputy commissioner of a witness who claimed that he had purchased stock of the Coast Tire & Rubber Co. upon representations made by selling agents of the petitioner herein that said stock would soon increase *299 in value and that a dividend thereon would soon be paid. This witness further testified that he had been for some time prior thereto a stockholder in the Coast Tire & Rubber Co., had received several reports of the financial condition from the officers of the company, had visited its plant, and that he did not believe everything that the salesman had stated to him, but doubted their representations that the stock would increase in value and that a dividend would soon be paid. He also testified that the agents represented to him that if he became dissatisfied with his purchase the petitioner herein would sell his stock at market and that he had requested the petitioner to do so, but had been unable to obtain from the petitioner any satisfactory reply as to whether such sale would be made. Upon this evidence the commissioner executed the order temporarily suspending the petitioner’s certificate to act as a broker. This order was made on October 3, 1922, and, it is alleged, is still outstanding.

Respondent concedes that the only grounds upon which he may revoke a license or certificate issued under the act are those contained in section 6 of the act. That is to say, before the commissioner could justify a revocation of the license it was necessary that he should find that the petitioner: (a) was of bad business repute; (b) had violated some provision of the act; or (e) had engaged or was about to engage in a fraudulent transaction. It is also conceded that this court may examine the evidence taken by the commissioner in order to ascertain whether the commissioner exceeded his authority in making the order.

The commissioner did not make any finding of any nature, but from an examination of the evidence it is apparent that his action was based upon the ground designated “c” above, because no competent evidence was produced to support either grounds “a” or “b.” An attempt was made to have the witness testify as to the business reputation of the petitioner, but the witness disqualified himself from giving such testimony. Treating the case then as one in which the broker was charged as having engaged in or being about to engage in a fraudulent transaction, it is necessary to consider whether the petitioner was accorded the due process of law to which he was entitled before an order of revocation could be made.

*300 The statute is silent upon the matter of the procedure to be. followed in cases of this kind except that it does require the commissioner to find the broker guilty of one of the three designated causes. In Bannerman v. Boyle, 160 Cal. 197, 205 [116 Pac. 732], the supreme court, in considering the provisions of the San Francisco charter authorizing the mayor to remove certain officers “for cause,” held that, in the absence of clear statutory authority, such power of removal could not be exercised until “notice has been given to the officer of the charges made against him and he has been given an opportunity to be heard in his defense. ’ ’ The charter did not fix any mode of procedure and did not specify any grounds for removal. It merely authorized the mayor to remove “for cause” and the court held (p. 206) that “the words ‘for cause,’ without more, imply good cause, the existence of some fact which would constitute a reasonable cause for the removal.” To the same effect is Welch v. Ware, 161 Cal. 641 [119 Pac. 1089], where the court had under consideration the provisions of section 4149b of the Political Code, which authorized the removal of a fish and game warden “for intemperance, neglect of duty, or other good and sufficient reasons.” It was argued that the language “good and sufficient reasons” authorized the board of supervisors to remove the warden summarily and without charges filed or a hearing thereon; but the court held that the case was controlled by Bcmnermcm v. Boyle, supra, and that there was no essential difference between the code section and the provisions of the charter authorizing a removal “for cause.” It was said that “under such provision of the code the respondent could only be legally removed after an opportunity to be heard on charges preferred against him.” In these cases, as in the statute under consideration, there was no provision for a notice and hearing before the action was taken. In this respect the statute differs from the Medical Practice Act (Stats. 1913, p. 722, sec. 14, amended 1921, p. 1009), the Real Estate Brokers’ Act (Stats. 1919, p. 1252, see. 12), and similar acts which specifically require the filing of formal charges and a hearing thereon before a license can be revoked. But the silence of the statute in this respect is of no importance if the right to act as a broker is a property right of which the holder may not be deprived without due process of law.

*301 In Hewitt v. Board of Medical Examiners, 148 Cal. 590 592 [113 Am. St. Rep. 315, 7 Ann. Cas. 750, 3 L. R. A. (N. S.) 896, 84 Pac. 39], the supreme court say: “The right to practice medicine is, like the right to practice any other profession, a valuable property right, in which, under the constitution and laws of the state, one is entitled to be protected and secured.” In Suckow v. Alderson, 182 Cal. 247, 249 [187 Pac. 965, 966], in referring to this principle, the court say: ‘ ‘ The fourteenth amendment to the constitution of the United States provides that no person .shall be deprived of life, liberty, or property, without due process of law. Article I, section 1, of the constitution of California, provides that all men have certain inalienable rights, among them being those of enjoying liberty and possessing and protecting property, and section 13 thereof provides that no person shall be deprived of life, liberty, or property, without due process of law. The deprivation of such right without due process of law would be a violation of these provisions.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Hughes v. Board of Architectural Examiners
952 P.2d 641 (California Court of Appeal, 1998)
Valenzuela v. Board of Civil Service Commissioners
40 Cal. App. 3d 557 (California Court of Appeal, 1974)
Stewart v. County of San Mateo
246 Cal. App. 2d 273 (California Court of Appeal, 1966)
Poultrymen's Service Corp. v. Brown
185 A.2d 706 (New Jersey Superior Court App Division, 1962)
Anderson v. Alexander
230 P.2d 770 (Oregon Supreme Court, 1951)
Trans-Oceanic Oil Corp. v. City of Santa Barbara
194 P.2d 148 (California Court of Appeal, 1948)
Shapiro v. Equitable Life Assurance Society
172 P.2d 725 (California Court of Appeal, 1946)
La Prade v. Department of Water & Power
162 P.2d 13 (California Supreme Court, 1945)
Steen v. Board of Civil Service Commissioners
160 P.2d 816 (California Supreme Court, 1945)
Gilchrist v. Bierring
14 N.W.2d 724 (Supreme Court of Iowa, 1944)
State Ex Rel. Hammond v. Maxfield
132 P.2d 660 (Utah Supreme Court, 1942)
Higgins v. License Commissioners of Quincy
31 N.E.2d 526 (Massachusetts Supreme Judicial Court, 1941)
State Ex Rel. Nagle v. Sullivan
40 P.2d 995 (Montana Supreme Court, 1935)
Wolfe v. Severns
293 P. 156 (California Court of Appeal, 1930)
Hill v. Badeljy
290 P. 637 (California Court of Appeal, 1930)
Bank of United States v. Foreman
283 P. 874 (California Court of Appeal, 1929)
Noll v. Baida
259 P. 433 (California Supreme Court, 1927)
Knights of Ku Klux Klan, Inc. v. Francis
249 P. 539 (California Court of Appeal, 1926)
Angelopulos v. Bottorff
245 P. 447 (California Court of Appeal, 1926)

Cite This Page — Counsel Stack

Bluebook (online)
212 P. 942, 60 Cal. App. 297, 1922 Cal. App. LEXIS 9, Counsel Stack Legal Research, https://law.counselstack.com/opinion/abrams-v-daugherty-calctapp-1922.