Cyphers v. Allyn

118 A.2d 318, 142 Conn. 699, 1955 Conn. LEXIS 226
CourtSupreme Court of Connecticut
DecidedNovember 8, 1955
StatusPublished
Cited by54 cases

This text of 118 A.2d 318 (Cyphers v. Allyn) is published on Counsel Stack Legal Research, covering Supreme Court of Connecticut primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cyphers v. Allyn, 118 A.2d 318, 142 Conn. 699, 1955 Conn. LEXIS 226 (Colo. 1955).

Opinion

Baldwin, J.

In this action against the defendant insurance commissioner seeking a declaratory judg *701 ment, the plaintiff has attacked the constitutionality of legislation which requires the licensing of real estate brokers and salesmen. The case has been reserved for the advice of this court upon questions set forth in the stipulation for reservation. 1

Effective July 1, 1953, the General Assembly enacted “An Act concerning the Supervision, Regulation and Licensing of Real Estate Salesmen and Brokers.” Public Acts 1953, No. 410; Cum. Sup. 1953, 1783c-1803c. This legislation requires that anyperson who desires to engage in the business of “real *702 estate broker” or “real estate salesman,” as those terms are defined in the act, shall obtain a license from the insurance commissioner. Cum. Sup. 1953, § 1785c. This license shall issue upon proof of the good reputation of the applicant for honesty, truthfulness and fair dealing, the satisfactory completion, on the part of those not actually engaged in the real estate business on July 1, 1953, of a personal written examination as to competency, and the payment of a fee. §§ 1788c, 1786c. The licenses are reneAvable annually upon the payment of an additional fee. §§ 1788c, 1790c. Prerequisite to the issuance of a license is the posting by the applicant of a bond with the commissioner in the amount of $2500 for a broker’s license and $1000 for a salesman’s license. § 1789c. The only bond which the commissioner is empowered to accept is a so-called surety company bond.

On the date this legislation became effective, and for some time prior thereto, the plaintiff was a real estate broker. Under protest, and reserving his right to attack the constitutionality of the act, he made application for a license, posted the necessary surety company bond and was granted a license. He took this course in order to continue his business as a broker without subjecting himself to the penalties of the act. In his brief, he anticipates a claim that he cannot seek and obtain a license under the act and at the same time attack its constitutionality. Whether there is a valid reason for refusing to entertain this action for a declaratory judgment need not be analyzed. The reservation presents questions of such public interest Avith respect to real estate brokers and agents that, in our discretion, we have decided to pass upon them. Ruppert v. Liquor Control Commission, 138 Conn. 669, 673, 88 A.2d 388.

*703 The plaintiff challenges the constitutionality of this legislation upon a number of specified grounds. These can be stated in summary as coming within the due process provision of § 1 of the fourteenth amendment to the federal constitution and 1 and 12 of article first of the constitution of this state. We have held that these provisions of the federal and state constitutions have the same meaning and impose similar constitutional limitations. State ex rel. Higgins v. Civil Service Commission, 139 Conn. 102, 105, 90 A.2d 862; State ex rel. Brush v. Sixth Taxing District, 104 Conn. 192, 195, 132 A. 561. Statutes in other states requiring a license to engage in the business of real estate broker or salesman have generally been held not to be violative of the equal protection and due process clauses of the federal constitution. They have been sustained as a lawful exercise of the police power of the state in the interest of the public welfare. Roman v. Lobe, 243 N.Y. 51, 54, 152 N.E. 461; State v. Polakow’s Realty Experts, Inc., 243 Ala. 441, 448, 10 So. 2d 461; note, 39 A.L.R.2d 606, 608; 12 C.J.S. 14, § 8; 8 Am. Jur. 994, § 8. We conclude that the licensing of real estate brokers and salesmen is within the legitimate exercise of the police power when done in a reasonable manner.

The plaintiff’s attack upon the constitutionality of the provision requiring that a surety company bond be filed before a license can be issued presents the question upon which the decision of the case hinges. The plaintiff claims that this provision is an illegal delegation of power, to be exercised at the whim or caprice of a corporation which is beyond the control of the law. If every surety company permitted to transact business in this state should refuse, for any reason, to issue a bond, the applicant could not obtain a license. For these reasons, the *704 plaintiff asserts that the provision is arbitrary and unreasonable and, consequently, illegal. When the Connecticut statute was enacted, thirty-eight states and the District of Columbia had legislation requiring the licensing of real estate brokers and salesmen. Semenow, Questions & Answers on Real Estate (2d Ed.) p. 265. In sixteen of these the posting of a bond was prerequisite to licensure. 2 Id., pp. 476-481. The licensing provisions furnish supervision and regulation of the real estate business and make possible the elimination of the incompetent and unscrupulous agent. The bond provides a means of financial satisfaction for the damage sustained by the victim of the dishonest operator, who frequently has no tangible assets. This is cogent reasoning. It is sufficient to justify as a proper exercise of the police power of the state the requirement that a bond be posted. A majority of the states wherein the statutes make the filing of a bond a prerequisite to licensure require a bond with corporate surety. 3 The decisive question in the case at bar is whether the *705 bond provision of onr statute is unconstitutional, and if it is, whether it nullifies the entire statute.

Nearly the precise question which we have to answer was decided under the Kentucky statute. That statute permitted the applicant to deposit either cash in the amount of the bond or a corporate surety bond. The claim was that the exclusion of sureties other than corporate was discriminatory and illegal. The Court of Appeals of that state said: “The argument is that there is no reasonable basis for requiring a corporate surety and not permitting individual sureties. We think there is a reasonable basis for the requirement. A bond with corporate surety is in the nature of an insurance contract, and the liability of the compensated surety on such a bond is controlled by some different considerations than in the case of a gratuitous or voluntary individual surety. Young Men’s Christian Association’s Assignee v. Indemnity Ins. Co., 244 Ky. 473, 51 S.W.2d 463; 44 C.J.S., Insurance, § 13, page 477. We think the legislature was justified in requiring the kind of surety that would furnish the greatest protection to the public.” Sims v. Reeves, 261 S.W.2d 812, 814 (Ky.); see also McDonald v. Oklahoma Real Estate Commission, 268 P.2d 263, 264 (Okla.).

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Bluebook (online)
118 A.2d 318, 142 Conn. 699, 1955 Conn. LEXIS 226, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cyphers-v-allyn-conn-1955.