Byrne v. Baker

221 Cal. App. 2d 1, 34 Cal. Rptr. 178, 1963 Cal. App. LEXIS 2099
CourtCalifornia Court of Appeal
DecidedOctober 8, 1963
DocketCiv. 27248
StatusPublished
Cited by10 cases

This text of 221 Cal. App. 2d 1 (Byrne v. Baker) 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
Byrne v. Baker, 221 Cal. App. 2d 1, 34 Cal. Rptr. 178, 1963 Cal. App. LEXIS 2099 (Cal. Ct. App. 1963).

Opinion

HERNDON, J.

Appellant Rufus Baker appeals from the judgment entered against him in an action in unlawful detainer. On August 21, 1961, plaintiff and respondent Martin T. Byrne filed his complaint in unlawful detainer against appellant Baker and two codefendants, Harold T. Corbett and his wife, Carol Corbett. According to the allegations of his complaint, respondent became the owner of certain real property, and the hotel building located thereon, as the result of the following circumstances:

On June 22, 1960, respondent recovered a judgment in the amount of $139,212.84 against Harold T. Corbett and others in the United States District Court. Thereafter, on July 5, 1960, a writ of execution was issued by said court and levied upon the real property in issue. In 1960, and for several years prior thereto, defendant Harold T. Corbett “was the sole record owner of the aforesaid real property.” The property was duly advertised for sale and on September 6, 1960, was sold to respondent for $25,000 (by way of credit upon the judgment above referred to). The property was not redeemed during the period allowed therefor, and, on September 12, 1961, respondent received and recorded a marshal’s deed wherein the grantor “granted, bargained and sold, ... unto [respondent] all the right, title, interest and claim which the said Harold T. Corbett, Defendant, on the day of sale aforesaid, had in and to the following-described tract or parcel of land, [description] ... To Have And To Hold, the said tract or parcel of land, together with the appurtenances thereunto belonging, unto the said [respondent] and his heirs and assigns forever. ’ ’

The complaint further alleged that on August 16 and 17, 1962, respondent served on the defendants a three-day notice to quit and deliver up possession of the property, but that defendants failed so to do and continued in possession thereof. Respondent’s prayer sought, inter alia, restitution of the property and damages of $150 per day for each day that defendants continued in possession without respondent’s permission.

*4 Appellant filed general and special demurrers upon the grounds that the complaint did not state facts sufficient to constitute a cause of action and that it could not be ascertained therefrom “what interest, if any, Harold T. Corbett, is alleged to have had in the said real property on July 5, I960.”

These demurrers were overruled on September 13, 1962, and this ruling is assigned by appellant as his initial claim of error. Although the complaint is no example of precise pleading, the allegation that “in 1960 and for several years previous, defendant Harold T. Corbett was the sole record owner of the aforesaid real property,” is a sufficient allegation, at least as against a general demurrer, that Corbett was the owner of a sufficient legal interest in the land to entitle him to possession on July 5,1960.

Apparently in connection with the ruling on the demurrer, the parties entered into a stipulation pursuant to which respondent amended his complaint to allege that appellant was “a person who asserts some claim to the real property, the subject matter of this action, derived from defendant Harold T. Corbett by virtue of two deeds, copies of which are attached hereto....”

The first of these deeds was a grant deed from Harold T. Corbett and his wife to appellant, reciting that, for a valuable consideration, the property in issue had been granted to appellant. It was dated May 24, 1960, and recorded May 27, 1960. However, in the body of the document, following the legal description, there appeared the words: “This deed is for Security Only. ”

The second of the two deeds was signed and acknowledged by Harold J. Corbett before a notary on May 28, 1960. It recited that for a “Valuable Consideration” he quitclaimed the real property to appellant. This deed, however, was not recorded until October 4,1961.

Since the record indicates that appellant made no further objection to the form of the pleading, we may assume that this amendment satisfied the objections raised by his special demurrer. On September 18, 1962, appellant filed his answer wherein, in addition to general and specific denials of the matters alleged in respondent’s complaint (for lack of information and belief), he alleged that he owned said real property by reason of the execution of the deeds above described.

When the matter came on for trial on September 25, 1962, appellant conceded that all procedural requirements of the *5 execution sale upon which respondent’s claim to possession rested had been complied with. He asserted, however, that in view of the deeds wherein he was named as the grantee and which were disclosed by respondent’s complaint, respondent had not demonstrated that he had “duly perfected” his title sufficiently to authorize him to maintain the action under the terms of section 1161a, subdivision 1, of the Code of Civil Procedure. He did not question the sufficiency or propriety of the three-day notice or its due service upon him. He admitted by his answer that he was continuing in possession in defiance thereof.

Section 1161a, subdivision 1, of the Code of Civil Procedure provides that an unlawful detainer action may be brought against one holding over and continuing in possession of real property "[w] here the property has been duly sold by virtue of an execution against him, or a person under whom he claims, and the title under the sale has been duly perfected.” It is, of course, settled law that broad questions of title may not be litigated in an unlawful detainer action. As stated in Cheney v. Trauzettel, 9 Cal.2d 158, 159-160 [69 P.2d 832]:

“The trial court properly held that in the summary proceeding in unlawful detainer the right to possession alone was involved, and the broad question of title could not be raised and litigated by cross-complaint or affirmative defense. [Citations.] It is true that where the purchaser at a trustee’s sale proceeds under section 1161a of the Code of Civil Procedure he must prove his acquisition of title by purchase at the sale; but it is only to this limited extent, as provided by the statute, that the title may be litigated in such a proceeding. [Citations.]
“... Irrespective of the merits of the defenses raised by the answer, the alleged equitable grounds of attack on plaintiff’s title have no place in the present summary proceeding, for if such issues are permissible, the proceeding entirely loses its summary character. In our opinion the plaintiff need only prove a sale in compliance with the statute and deed of trust, followed by purchase at such sale, and the defendant may raise objections only on that phase of the issue of title. Matters affecting the validity of the trust deed or primary obligation itself, or other basic defects in the plaintiff’s title are neither properly raised in this summary proceeding for possession, nor are they concluded by the judgment.” (See also Kartheiser v. Superior Court, 174 Cal.App.2d 617 [345 *6 P.2d 135] ; Cruce v. Stein, 146 Cal.App.2d 688 [304 P.2d 118]; Abrahamer

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Bluebook (online)
221 Cal. App. 2d 1, 34 Cal. Rptr. 178, 1963 Cal. App. LEXIS 2099, Counsel Stack Legal Research, https://law.counselstack.com/opinion/byrne-v-baker-calctapp-1963.