Bice v. Stevens

325 P.2d 244, 160 Cal. App. 2d 222, 1958 Cal. App. LEXIS 2113
CourtCalifornia Court of Appeal
DecidedMay 7, 1958
DocketCiv. 22567
StatusPublished
Cited by40 cases

This text of 325 P.2d 244 (Bice v. Stevens) 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
Bice v. Stevens, 325 P.2d 244, 160 Cal. App. 2d 222, 1958 Cal. App. LEXIS 2113 (Cal. Ct. App. 1958).

Opinion

VALLEE, J.

Plaintiffs have appealed from two orders denying their motions made under section 473 of the Code of Civil Procedure: one motion for an order setting aside a judgment of dismissal with prejudice as to one defendant and for other relief, the other motion for an order setting aside in part and amending the judgment of dismissal.

The action was commenced on November 9, 1949, by plaintiffs for damages for fraud in the exchange of real properties. The cause went to trial; defendants’ objections to the introduction of evidence were sustained; and judgment for defendants entered. On plaintiffs’ appeal the judgment was reversed as to all defendants except a bank. (Bice v. Stevens, 136 Cal.App.2d 368 [289 P.2d 95].)

William F. Thompson, one of the defendants, died prior to the reversal. His estate was in probate in the Superior Court of the City and County of San Francisco. Homer A. Thompson was the duly appointed administrator of the estate. Mr. Emory Morris of San Francisco was one of the attorneys for the administrator. The administrator had not been substituted as a defendant in place of the deceased.

The cause was again set for trial for May 7, 1956, in Department A. When it was called, Mr. Poppler, attorney for plaintiffs, answered “Ready” and stated he was dismissing with prejudice as to “defendant William F. Thompson and his heirs and administrator.” Thereupon the court dismissed the action as to “William F. Thompson and administrators” and transferred the cause for trial to Department D.

In Department D, at the suggestion of the court, plaintiffs amended the complaint to allege damages of $58,200. The remaining defendants then moved for permission to amend their answers to plead a defense of retraxit. The motions *225 were granted and the trial was reset for September 24, 1956. The answers were amended accordingly.

On June 22, 1956, plaintiffs filed a motion for an order setting aside the judgment of dismissal with prejudice and for a further order permitting plaintiffs to proceed against the remaining defendants; in the alternative, to amend the motion for dismissal with prejudice to exclude acceptance of any consideration for the dismissal. The grounds of the motion were that the motion for dismissal with prejudice was made by mistake, inadvertence, excusable neglect, and without authority from the plaintiffs. The motion was denied on July 26, 1956. The court then granted motions of defendants for trial on the special defenses of retraxit and reset the cause for trial for January 7, 1957.

On September 13, 1956, plaintiffs filed a second motion for an order setting aside in part and amending the judgment of dismissal so that the words “with prejudice” were stricken therefrom and the words “without prejudice” substituted therefor. The grounds of the motion were mistake, mistake of law, surprise, inadvertence, excusable neglect, and want of any authority from plaintiffs. This motion was denied on October 18, 1956.

On December 12, 1956, plaintiffs filed a single document in which they appealed from the order of July 26, 1956, denying their first motion, and from the order of October 18, 1956, denying their second motion.

The order of July 26, 1956, denying the first motion was appealable. (3 Witkin, California Procedure, 2172, § 26.) The appeal from that order was not filed within 60 days from the date of entry of the order. This court is without jurisdiction of that appeal and it must be dismissed. (Rules on Appeal, rule 2.)

Defendants assert the order of October 18, 1956, denying the second motion is not appealable because that motion, they say, is substantially a repetition of the first motion to vacate and is based on grounds which were in existence and considered by the trial court in ruling on the first motion.

The former general rule permitted only one motion under section 473 of the Code of Civil Procedure, and once the court ruled on such motion its power with respect to the judgment ceased. The basis for the rule was that to permit a renewal after a previous denial would result in uncertainty as to the status of the judgment; that if a trial court could vacate one denial, why not a second, a third, ad infinitum? It was said *226 that in the interests of expeditious handling of litigation there should be a definite limitation on the power of the trial court to set aside its own orders. (See cases collected 30 Cal.L.Rev. 74.) However, the rule fell with Harth v. Ten Eyck, 16 Cal.2d 829 [108 P.2d 675], in which the court held, on facts similar to those at bar, that where the trial court considered a second motion under section 473 to set aside a dismissal with prejudice as to one defendant as a renewal of the motion to set aside its previous order of denial, the order granting the second motion was tantamount to permission to renew the motion to set aside, and it was appealable. (Also see Harth v. Ten Eyck, 12 Cal.2d 709 [87 P.2d 693]; Imperial Beverage Co. v. Superior Court, 24 Cal.2d 627, 634 [150 P.2d 881]; Beyerbach v. Juno Oil Co., 42 Cal.2d 11, 29 [265 P.2d 1]; Hover v. MacKenzie, 122 Cal.App.2d 852, 857 [266 P.2d 60]; Stephens v. Baker & Baker Roofing Co., 130 Cal.App.2d 765, 773 [280 P.2d 39]; Dahlin v. Moon, 141 Cal.App.2d 1, 4 [296 P.2d 344].) We hold the order of October 18, 1956, denying the second motion is appealable.

The question is: Did the court abuse its discretion in denying the second motion? This motion was supported by affidavits of plaintiffs. The parties stipulated that the affidavits and depositions of plaintiffs and their attorneys filed in connection with the first motion could be used and introduced in evidence and considered by the court in ruling on the second motion. The entire file, together with all affidavits and depositions, was received in evidence at the hearing.

The trial was originally set for May 7, 1956. On April 13, 1956, Mr. Morris wrote Mr. Poppler, one of plaintiffs’ then attorneys, that he was unable to obtain any information concerning the litigation; that the net estate of the decedent Thompson was nominal; that there were two alternatives facing the administrator: either the estate used up its assets in defending the action or to request a covenant not to sue from plaintiffs; and that the action could not go to trial until the administrator had been substituted. On May 4 Mr. Morris, not having heard from Mr. Poppler, telephoned him and arranged to meet him on May 5.

On May 5 Mr. Morris met with Mr. Poppler. Mr.

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Bluebook (online)
325 P.2d 244, 160 Cal. App. 2d 222, 1958 Cal. App. LEXIS 2113, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bice-v-stevens-calctapp-1958.