Berman v. Hall

340 A.2d 251, 275 Md. 434, 1975 Md. LEXIS 976
CourtCourt of Appeals of Maryland
DecidedJuly 7, 1975
Docket[No. 212, September Term, 1974.]
StatusPublished
Cited by17 cases

This text of 340 A.2d 251 (Berman v. Hall) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Berman v. Hall, 340 A.2d 251, 275 Md. 434, 1975 Md. LEXIS 976 (Md. 1975).

Opinion

*435 Eldridge, J.,

delivered the opinion of the Court.

This is an action by a real estate broker for a commission from the sellers under a contract for the sale of real estate, although the contract was never consummated. The sellers’ demurrer to the broker’s amended declaration was sustained by the Circuit Court for Wicomico County (Pollitt, J.), and the broker appeals. The pertinent facts, as alleged in the broker’s amended declaration, are as follows.

The sellers, Avery W. Hall and Nathaniel R. Wootten owned certain real property in Ocean City, Maryland. On January 26, 1972, they entered into a contract to sell the property for $1,800,000.00 to International-Industrial Developers, Ltd. The clauses of the contract relevant to the present controversy are:

“AGENCY: the Seller recognizes George Berman as the Agent negotiating this Contract and agrees to pay Five percent (5%) of the sale price commission for services rendered, same to be due and payable upon the settlement of this Contract. The entire deposit shall be held by ... [the purchaser’s attorney], until settlement hereunder is made and the party making settlement is hereby authorized and directed to deduct the aforesaid commission from the proceeds of the sale and pay same to said Agent. If the sale is not closed because of the Purchasers default the commission shall be one-half (V2) the amount of the deposit.
“The Agent hereby agrees to the within commission provisions but assumes no responsibility for the condition of the property or for the performance of the Contract by any or all parties hereto.” (Emphasis supplied.)

Settlement was scheduled for August 16,1972.

At the time of settlement, the purchaser’s attorney raised certain title objections; the sellers agreed to clear the title objections; and settlement was postponed. However, instead" of settlement later taking place, the sellers and the *436 purchaser on November 11, 1972, executed a “mutual release,” releasing “each other from any and all obligations arising out of the Contract” of January 26, 1972.

It does not appear from the facts set forth in the broker’s declaration and amended declaration whether the sellers had, as of November 11, 1972, cleared the title objections or why they entered into the “mutual release.” There were no allegations that the purchaser was at fault, and the purchaser’s attorney did not turn over the deposit money to the sellers. During the oral argument before us the broker’s attorney conceded that there was no default by the purchaser. The broker was not a party to the “mutual release.”

The broker, asserting that his right to a commission from the sellers “irrevocably attached pursuant to the terms of the original Contract of Sale,” and that the sellers, by entering into the “mutual release” agreement with the purchaser, violated their duty to the broker under the January 26, 1972, sale contract, brought this action for a $90,000 commission, based on 5% of the contract price. 1 The circuit court first sustained the sellers’ demurrer to the declaration with leave to amend, and later sustained a demurrer to the amended declaration without leave to amend. The court held that under the allegations, the broker would only be entitled to a commission if the sale had been consummated or if the purchaser had defaulted, and that neither event occurred in this case. Reliance was placed upon this Court’s decisions in Snider Bros., Inc. v. Heft, 271 Md. 409, 317 A. 2d 848 (1974); Prince George’s Club v. Carr, 235 Md. 591, 202 A. 2d 354 (1964); and Chasanow v. Willcox, 220 Md. 171, 151 A. 2d 748 (1959). We agree with Judge Pollitt’s decision for the circuit court, and therefore we affirm.

The broker, arguing that he became entitled to his full commission upon the execution of the sale contract, relies *437 upon Maryland Code (1974), § 14-105 of the Real Property Article, which provides:

“In the absence of special agreement to the contrary, if a real estate broker employed to sell, buy, lease, or otherwise negotiate an estate, or a mortgage or loan secured by the property, procures in good faith a purchaser, vendor, lessor, lessee, mortgagor, mortgagee, borrower, or lender, as the case may be, and the person procured is accepted by the employer and enters into a valid, binding, and enforceable written contract, in terms acceptable to the employer, of a sale, purchase, lease, mortgage, loan, or other contract, as the case may be, and the contract is accepted by the employer and signed by him, the broker is deemed to have earned the customary or agreed commission. He has earned the commission regardless of whether or not the contract entered into is performed, unless the performance of the contract is prevented, hindered, or delayed by any act of the broker.” (Emphasis supplied.) 2

As this Court has pointed out on many occasions, the above-quoted statute “was passed to settle the question so often raised, as to when, in the absence of a special agreement, the broker was entitled to commissions.” Brown v. Hogan, 138 Md. 257, 268-269, 113 A. 756 (1921). And see Eastern Associates v. Sarubin, 274 Md. 378, 395, 336 A. 2d 765, 774 (1975); Wyand v. Patterson Agency, 271 Md. 617, 623, 319 A. 2d 308 (1974); Snider Bros., Inc. v. Heft, supra, 271 Md. at 416; Ricker v. Abrams, 263 Md. 509, 517, 283 A. 2d 583 (1971); Sanders v. Devereux, 231 Md. 224, 231, 189 A. 2d 604 (1963); Schapiro v. Chapin, 159 Md. 418, 424-425, 151 A. 44 (1930). However, as the language of the statute makes clear, where the parties enter into an agreement specifying a different time when the right to a brokerage commission accrues, the agreement and not the statute is controlling. *438 “The issue then becomes the parties’ intent under that agreement.” Snider Bros., Inc. v. Heft, supra, 271 Md. at 416. See also Chas. H. Steffey, Inc. v. Derr, 275 Md. 121, 338 A. 2d 262 (1975); Cohen v. Duclos, 272 Md. 41, 45-46, 321 A. 2d 145 (1974); Wyand v. Patterson Agency, supra, 271 Md. at 623-624; W. C. Pinkard & Co. v. Castlewood, 271 Md. 598, 601, 319 A. 2d 123 (1974); Prince George’s Club v. Carr, supra, 235 Md. at 603; Chasanow v. Willcox, supra, 220 Md. at 176; Goss v. Hill, 219 Md. 304, 307-308, 149 A. 2d 10, 69 A.L.R.2d 1239 (1959).

In the subject case, the broker argues that the language of the January 26, 1972, contract concerning the broker’s entitlement to a commission did not create a “special agreement to the contrary” within the meaning of § 14-105 of the Real Property Article, and that under § 14-105 the broker was entitled to a commission upon the signing of the sale contract.

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Bluebook (online)
340 A.2d 251, 275 Md. 434, 1975 Md. LEXIS 976, Counsel Stack Legal Research, https://law.counselstack.com/opinion/berman-v-hall-md-1975.