Grogan-Beall v. Ferdinand Roten Galleries, Inc.

133 Cal. App. 3d 969, 184 Cal. Rptr. 411, 1982 Cal. App. LEXIS 1822
CourtCalifornia Court of Appeal
DecidedJuly 19, 1982
DocketCiv. 50515
StatusPublished
Cited by11 cases

This text of 133 Cal. App. 3d 969 (Grogan-Beall v. Ferdinand Roten Galleries, Inc.) 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
Grogan-Beall v. Ferdinand Roten Galleries, Inc., 133 Cal. App. 3d 969, 184 Cal. Rptr. 411, 1982 Cal. App. LEXIS 1822 (Cal. Ct. App. 1982).

Opinion

Opinion

SCOTT, Acting P. J.

Plaintiff-appellant Charlene Grogan-Beall brought this action as a class action against Ferdinand Roten Galleries and MacMillan, Inc., for failure to comply with the disclosure-disclaimer provisions of the California Sale of Fine Prints Act (hereafter the Act). (Civ. Code, §§ 1740-1745.) After a jury trial, judgment was entered in plaintiff’s favor; however, the court granted defendants’ motion to decertify the class. Plaintiff appeals from the order decertifying the class, 1 and from that portion of the judgment requiring tender to defendants of the print which she purchased as a condition of her recovery of treble damages for wilful violation of the Act. (Civ. Code, § 1745, subd. (b).)

The California Sale of Fine Prints Act:

Civil Code Section 1740 et seq.

The Act was passed in 1970 in an effort to enable prospective purchasers to make informed decisions as to the value of a modern print. Value varies significantly depending on the artist, the size, date and number of the edition, and whether the plate from which the print came has been rendered incapable of producing further editions. (Duffy, Disclosure Requirements in Connection with the Sale of Fine Art Prints (1973) 48 State Bar J. 528 [hereafter cited as Disclosure Requirements]; see also Notes, Art Print Legislation in California: A Critical Review (1973) 25 Stan.L.Rev. 586 [hereafter cited as Note].) The Act attempts to aid the consumer in judging a print’s uniqueness or scarcity by imposing on the print dealer the burden of disclosure or disclaimer of certain details relevant to the print’s value.

*973 The Act applies to sales of works printed after its effective date of July 1, 1971, and prohibits the offering or sale of prints, whether direct or by catalog, in violation of its provisions. More specifically, the statutory scheme provides that, “No catalog, prospectus, or circular offering fine prints for sale may be knowingly published or distributed unless it clearly and conspicuously discloses certain relevant informational detail concerning each edition of the prints so offered. And no fine print, or prints, may be knowingly offered for sale or sold by any person, at wholesale or at retail, unless a written invoice or receipt for the purchase price, or a certificate furnished to the purchaser, clearly and conspicuously discloses all of the same relevant informational detail.

“If a person offering prints by means of a publication, or a seller, disclaims knowledge as to any relevant detail, he must so state, specifically and categorically with regard to each such detail, to the end that the purchaser is enabled to judge the degree of uniqueness or scarcity of the print. Describing the edition or the print as a reproduction eliminates the need to furnish further informational detail, unless the edition or the print was allegedly published in a signed, numbered, or limited edition, or any combination thereof, in which case all of the informational detail must be furnished.

“A person purchasing a fine print from one who offers or sells it in violation of the statute may sue to recover the consideration paid for the print, with interest at the legal rate, upon tender of the print. And if a person wilfully offers or sells a fine print in violation of the statute, the purchaser may recover three times the amount of consideration paid for the print. An action must be brought within one year after discovery of the violation on which the action is based, and, in no event, more than three years after the print was sold.” (13 Cal.Jur.3d, Consumer and Borrower Protection Laws, § 53, pp. 770-771.)

The Act does not indicate who shall bear the burden of proof as to the date of printing, an element basic to jurisdiction and a difficult burden for either party (see Note, supra, at p. 598); nor does it specify when the required information must be supplied to the buyer.

The Facts

In October 1972, plaintiff purchased four unframed prints from defendant Roten Galleries at an art exhibition held on the University of California Berkeley campus. Each print was represented to be a certain *974 number of a limited edition. 2 Other than the numerical indication on the face of the print, no information regarding the print’s history or uniqueness was provided at the time of purchase, nor was there any accompanying disclaimer of relevant information.

In February 1974, plaintiff ordered another print which was represented in the Roten catalog as one of a limited edition of 50 prints. Upon receipt of the print, plaintiff noticed that it was numbered one of twenty. After inquiry made to the company president, plaintiff learned that her print was one of a series of “artist’s proofs” not disclosed in the catalog, printed to supplement the limited edition which had been sold out. 3 By letter dated February 25, 1974, she informed Roten of the Act and its requirements.

Plaintiff made two subsequent purchases from Roten, in April and October of 1974. Twenty days after the April purchase she received an incomplete certificate of authenticity; three months after the October purchase she received the corresponding certificate of information.

It was not Roten Galleries’ practice in 1972 to provide buyers with certificates bearing the statutory disclosure. Their catalogs for 1971 through 1974 did not provide the required information. 4 By October 1974 Roten did indicate on its sales tickets that certificates would be provided on request, but the information was not being routinely furnished at the time of sale.

In October 1977, plaintiff brought this action on behalf of herself and other California print buyers under California’s general class action statute, Code of Civil Procedure section 382, for redress pursuant to the Act. The class, conditionally certified over defendants’ objection, was *975 defined as all persons who, between February 1972 and February 1975, purchased from defendants a fine print which was printed after July 1, 1971, 5 and sold unframed or framed above the statutory minimum price.

Trial commenced in September 1979. Prior to submission of the case to the jury, defendants moved to decertify the class; the court deferred its decision on the motion for posttrial briefing. The jury returned a special verdict, finding that defendants nonwilfully violated the Act in connection with the sale of one print, and wilfully violated the Act in the sale of a second. After a hearing, the court then ordered decertification of the class. Final judgment was entered January 30, 1980, ordering that plaintiff recover from defendants the consideration paid for one print, plus interest ($45.15), and three times the consideration paid for the other, plus interest ($121.34). Recovery for each was conditioned upon tender by plaintiff of the print to defendants.

The Decertification Order

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Cite This Page — Counsel Stack

Bluebook (online)
133 Cal. App. 3d 969, 184 Cal. Rptr. 411, 1982 Cal. App. LEXIS 1822, Counsel Stack Legal Research, https://law.counselstack.com/opinion/grogan-beall-v-ferdinand-roten-galleries-inc-calctapp-1982.