Hayter v. Fulmor

152 P.2d 746, 66 Cal. App. 2d 554, 1944 Cal. App. LEXIS 1218
CourtCalifornia Court of Appeal
DecidedOctober 30, 1944
DocketCiv. 7078
StatusPublished
Cited by8 cases

This text of 152 P.2d 746 (Hayter v. Fulmor) 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
Hayter v. Fulmor, 152 P.2d 746, 66 Cal. App. 2d 554, 1944 Cal. App. LEXIS 1218 (Cal. Ct. App. 1944).

Opinion

THOMPSON, J.

The plaintiff has appealed from a judgment against him in an action for damages resulting from alleged fraud of the respondent, which was rendered pursuant to an order sustaining a demurrer to the complaint, without leave to amend the pleading.

The problem to be determined on this appeal is whether the court abused its descretion in refusing to permit the plaintiff to amend his complaint. The question is, does the amended complaint attempt to allege, although it is imperfectly worded, a valid cause of action for damages growing out of fraud with relation to defendant’s duty to disclose the fact that she did not own certain real property in Alaska, for the sale of which, by written contract, she agreed to pay plaintiff stipulated commissions? The written agreement, which is attached to the amended complaint and made a part thereof, declares that the defendant executed to plaintiff a “general power of attorney, ’ ’ authorizing him to sell and convey title to the Alaska land described therein. The amended complaint fails to allege that plaintiff is a real estate broker or that he holds a license, as such, pursuant to the provisions of the California Real Estate Act. (Stats. 1919, p. 1252, and amendments; DBering’s Gen. Laws of 1937, p. 30, Act 112.) The trial court held that the contract to sell real property in Alaska was therefore void and that the action for fraud necessarily fails because it was based on that void contract.

*557 The written contract for sale of Alaska land was executed by the parties November 18, 1940, in Humboldt County, California. In neither the contract nor the amended complaint does it appear that the plaintiff was a real estate broker in California or elsewhere. The contract alleges that defendant is the owner of the land described, which is situated at Seldovia, Alaska, and stipulates to pay plaintiff 50 per cent of the net proceeds of sale of either of two designated portions of said land, which payment shall include “any moneys advanced” by plaintiff on account of said sale. It then agrees to pay plaintiff 10 per cent of the net proceeds of sale of the remaining portion of the property. It also asserts that plaintiff is the holder of a general power of attorney authorizing him to sell and transfer title to said real estate, in the following language:

“In order to expedite the sale of the property belonging to the party of the first part she has executed to the party of the second part a general power of attorney under which he will have the right to execute all necessary papers and deeds in connection with the transfer of said property.” (Italics added.)

The amended complaint alleges, in effect, that the defendant falsely represented to plaintiff that she held title to the property designated therein, at Seldovia, Alaska, knowing that she did not own the same, and thereby induced him to enter into the written agreement, marked Exhibit “A” and made a part of the pleading, and to expend the sum of $2,535 in attempting to sell the property, and to suffer further damages in the sum of $10,000 on that account. The plaintiff alleges that he did expend said sum of $2,535 of his own money in reliance upon said false representation of ownership of the property by the defendant. The prayer asks for damages in the aggregate sum of $12,535. It is not a suit to recover commissions as a real estate broker, or otherwise. The complaint is not a model form of a pleading for damages for fraud, and it may be subject to special demurrer for failure to allege the particular purposes for which said sum of $2,535 was expended. The briefs disclose the fact that plaintiff did spend his own money in a fruitless journey to Alaska, where he discovered, for the first time, that defendant did not own the property. That fact does not appear in the pleading. The court sustained a general and special demurrer to the complaint, speei *558 fically denying plaintiff the right to amend the pleading. Pursuant to that order a judgment was subsequently rendered against plaintiff as previously stated. From that judgment this appeal was perfected.

We are of the opinion the court abused its discretion in refusing to permit plaintiff to amend his complaint. It is not claimed on appeal that plaintiff holds a valid license in California as a real estate broker, or that he held such license “at the time the alleged cause of action [for fraud] arose.” If he did hold a valid license at the time when the cause of action arose, and that fact is material, which we do not concede, he should be permitted to amend his complaint and so allege. Section 20 of the Real Estate Act provides in part that:

“No person, . . . engaged in the business or acting in the capacity of a real estate broker . . . shall bring or maintain any action in the courts of this state for the collection of compensation for the performance of any of the acts mentioned in section two hereof without alleging and proving that such person . . . was a duly licensed real estate broker or real estate salesman at the time the alleged cause of action arose.” (Italics added.)

In the case of Houston v. Williams, 53 Cal.App. 267 . [200 P. 55], it was held that it was not necessary to allege that the person seeking to recover commissions as a real estate broker held a license “at the time he entered into said contract.” On the contrary it would be sufficient if he alleged that he held the license at the time the cause of action arose. It is, however, necessary in a suit for broker’s commissions to allege and prove that the broker held a valid license at the time the action arose. This is true even though a contract, upon which the action is founded, is for the sale of real property situated in another state or territory. It is the general rule of contracts that the lex loci contractus, or law of the place where the agreement is made, determines the nature, validity and construction of the instrument, unless it appears therefrom that it is to be performed in another state. (Roos v. Jensen, 30 Cal.App.2d Supp. 773 [78 P.2d 476]; 6 Cal.Jur. 359, § 215; Civ. Code, § 1646; Tillman v. Gibson, 44 Ga.App. 440 [161 S.E. 630].) In the case of McGillivray v. Cronrath, 48 Idaho 97 [279 P. 613], it was held that it was not necessary to allege or prove that the broker who resided in and was licensed in the State of Washington, where the contract to sell *559 real property was made, was also licensed in Idaho, although the property was situated in the last mentioned state.

It is not material in this case whether the plaintiff held a real estate broker’s license in either California or Alaska. The contract to sell and convey the land was made in Humboldt County, California, and the law of this state therefore ordinarily controls, as we have previously stated. For the same reason, it is not necessary to determine whether the former rule that the law of a sister state is presumed to be the same as the law of California, in the absence of a pleading to the contrary (Cavallaro v. Texas & Pac. Ry.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Amarel v. Connell
202 Cal. App. 3d 137 (California Court of Appeal, 1988)
People v. Stevens
269 Cal. App. 2d 470 (California Court of Appeal, 1969)
Foster v. House Beautiful Homes, Inc.
281 P.2d 116 (Arizona Supreme Court, 1955)
Steiner v. Rowley
221 P.2d 9 (California Supreme Court, 1950)
Hardy v. Musicraft Records, Inc.
209 P.2d 839 (California Court of Appeal, 1949)
Hayter v. Fulmor
206 P.2d 1101 (California Court of Appeal, 1949)
Speegle v. Board of Fire Underwriters
172 P.2d 867 (California Supreme Court, 1946)

Cite This Page — Counsel Stack

Bluebook (online)
152 P.2d 746, 66 Cal. App. 2d 554, 1944 Cal. App. LEXIS 1218, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hayter-v-fulmor-calctapp-1944.