Houston v. Williams

200 P. 55, 53 Cal. App. 267, 1921 Cal. App. LEXIS 333
CourtCalifornia Court of Appeal
DecidedJune 17, 1921
DocketCiv. No. 2284.
StatusPublished
Cited by30 cases

This text of 200 P. 55 (Houston v. Williams) 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
Houston v. Williams, 200 P. 55, 53 Cal. App. 267, 1921 Cal. App. LEXIS 333 (Cal. Ct. App. 1921).

Opinion

BURNETT, J.

The action was for a broker’s commission for the sale of real estate and the plaintiff had judgment, from which the appeal is taken. The cause of action is set forth in identical phraseology in two counts except for the provisions of paragraph 3 in each count. Said paragraph in the first count is as follows: “That thereafter, and prior to the time limited for the expiration of said contract, plaintiff by his own efforts procured one, G. A. Lombardi, as a purchaser of said real property, at the price and .upon the terms and conditions fixed by said contract (Exhibit ‘A’). That on or about the 10th day-of January, 1920, plaintiff produced the said G. A. Lombardi before defendant herein, at and upon the said real property of defendant ; that the said G. A. Lombardi, in- the presence of plaintiff, did then and there offer to said defendant to purchase said real property at the price and upon the terms and conditions fixed by said contract (Exhibit ‘A’). That at the time of making said offer, the said G. A. Lombardi was ready, able and willing to purchase said real property at the price and upon the terms and conditions fixed by said contract (Exhibit ‘A’).”

The corresponding paragraph in the second count is substantially the same, with the addition of the following allegation: “That the defendant then and there refused, and has ever since refused to sell the said property to the said G. A. Lombardi, upon the terms and conditions and at the price fixed by said contract, (Exhibit ‘A’), or otherwise, or at all.”

The first count rests upon the theory that the broker obtained a purchaser for the property and was therefore entitled to his commission. The second count was designed, so respondent claims, to meet the requirement of the rule that *269 “when the broker in good faith finds a purchaser within the period allowed by the terms of the written contract of employment, and prior to the revocation of his authority, places the matter in such a position that success is practically certain and immediate, or has in good faith expended money and effort in seeking a purchaser, the revocation by the vendor of the broker’s -authority (by sale to another or otherwise), and the termination of his agency before the completion of the sale, against the express provisions of the contract of employment does not deprive the broker of his right to his commission, but the principal is liable therefor, if the purchaser is ready, able and willing to pay the purchase money before the expiration of the period named in the agency contract.”

The first count is probably broad enough to cover either theory of plaintiff, but the second count could obviously do no harm.

The trial judge found that all the allegations of the amended complaint were true and also, “That the said real property was sold by defendant to W. S. Ricketts of Fowler, California, but that said sale took place after plaintiff had produced before defendant one, G. F. Lombardi, as a purchaser ready, able and willing to purchase and who offered to purchase said real property in accordance with the terms and conditions, and at the price named in said contract.”

The contract of agency was as follows:

“The undersigned, G. F. Houston, hereby agrees, during the life of this agreement, to endeavor to sell or exchange the property described on the reverse side of this card.
“In consideration thereof, I hereby appoint G. F. Houston my exclusive agent to sell or exchange for me said property, and to receive deposit on the same.
“I agree to sell said property to any purchaser able and willing to purchase the same for the price and upon the terms stated on the reverse side of this card, or for any less price or different terms hereafter authorized by me.
“I agree to furnish an abstract or certificate showing merchantable title in me to date of sale, and to convey title by good and sufficient deed of grant or contract of sale. Purchaser pays for all lumber for our house, also all other materials for this price.
*270 ‘ ‘ Should G-. F. Houston, either personally or through his , agents, be instrumental in obtaining .a purchaser to whom the owner of this property shall sell or contract to sell said property during life of this agreement, or within six months after the expiration thereof, I agree to pay G. F. Houston five per cent of the selling price as commission for selling the same.
“Any deposit retained by me for failure of a purchaser to make a further payment shall be equally divided between my said agent and myself.
“This authorization is to continue for the period of 90 days.”

On the back of said contract the terms of the sale appear as follows: “40 acres, $9500. Name, C. A. Williams. Located 5 miles of Madera on State Highway Ave. Road, Sec. 4—Purchaser pays for all lumber and material for same on new house . . . Terms: $9500. How payable—1000 pr. annum. And assign contract with Frank Hope & Wife for $5000 at 7 per cent.”

[1] 1. Appellant contends that the commission contract is void by reason of the fact that plaintiff at the time said contract was executed had no license to act as a real estate broker as required by the statute for the regulation of such brokers, approved May 27, 1919 (Stats. 1919, p. 1252). Section 1 of said act provides: “It shall be unlawful for any person, copartnership or corporation to engage in the business, or act in the capacity of a real estate broker, or a real estate salesman within this state without first obtaining a license therefor.” Section 2 of said act defines a real estate broker and it is not disputed that plaintiff was such broker. Section 17 of said act makes the failure to take out a license by one engaged in the business punishable “by a fine of not to exceed two thousand dollars, or by imprisonment in the county jail or' state prison for a term not to exceed two years, or both such fine and imprisonment. ’ ’

In Wood v. Krepps, 168 Cal. 382, [L. R. A. 1915B, 851, 143 Pac. 691], the rule in such cases is stated as follows: “When the object of the statute or ordinance in requiring a license for the privilege of carrying on a certain business is. to prevent improper persons from engaging in that particular business, or is for the purpose of regulating it *271 for the protection of the public or in the interest of public morals, health, or police, the imposition of the penalty amounts to a prohibition against doing the business without a license, and a contract made by an unlicensed person in violation of the statute or ordinance is invalid.” However, it was held in that case that the ordinance in question was solely for the purpose of yielding a public revenue, and therefore contracts made in the course of the business by one who had not obtained a license were valid. The purpose of the act in question herein was decided by our supreme court in Riley v. Chambers, 181 Cal. 589, [8 A. L. R. 418, 185 Pac.

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Bluebook (online)
200 P. 55, 53 Cal. App. 267, 1921 Cal. App. LEXIS 333, Counsel Stack Legal Research, https://law.counselstack.com/opinion/houston-v-williams-calctapp-1921.