Loftis v. LaSalle

1967 OK 172, 434 P.2d 221, 1967 Okla. LEXIS 513
CourtSupreme Court of Oklahoma
DecidedSeptember 12, 1967
Docket41232
StatusPublished
Cited by8 cases

This text of 1967 OK 172 (Loftis v. LaSalle) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Loftis v. LaSalle, 1967 OK 172, 434 P.2d 221, 1967 Okla. LEXIS 513 (Okla. 1967).

Opinion

HODGES, Justice.

This is an action by the plaintiff, C. Robert LaSalle, a real estate broker, to recover a realtor’s commission from the defendant, Ellon M. Loftis, for the sale of land pursuant to an exclusive listing contract. The defendant appeals from a jury verdict in favor of plaintiff.

Plaintiff alleged in his petition that he was engaged in the business of a real estate broker in Ada, Oklahoma, at all times pertinent to his action against the defendant; that defendant employed and authorized him to sell a specific tract of her land for $75,000.00 and agreed to pay him a commission of 5% of the sale price, or $3,-750.00, therefor; that his employment was by exclusive listing contract executed by plaintiff and defendant granting him the right to sell the land for 60 days from November 1, 1962; that he had duly performed his obligations under the contract by advertising the real estate, soliciting prospective purchasers and procuring a purchaser, Max J. Wilson, who was able, ready and willing to buy and pay for the real estate on the terms stated in the contract; that defendant failed, neglected and refused to close said sale during the period of the listing with him but, instead, deferred the closing of the sale until after expiration of the period of plaintiff’s listing; that subsequent to the expiration of the exclusive listing, defendant closed the sale with the said Max J. Wilson; that his efforts and communications with Wilson were the procuring cause of the sale to Wilson; and that his commission is due and owing but that defendant wrongfully refused to pay the same.

The alleged errors assigned by defendant upon which she seeks reversal of this cause are (1) that the action was not prosecuted *224 by the real estate parties in interest, (2) that the verdict and judgment are not sustained by sufficient evidence and are contrary to law, (3) that the trial court erred in refusing to strike certain portions of plaintiff’s petition, (4) that the trial court erred in instructing the jury, and (5) that the trial court erred in overruling defendant’s demurrer to plaintiff’s evidence and in rendering judgment for the reason that plaintiff failed to plead and prove compliance with 59 O.S.1961, § 831 et seq., the Real Estate License Act.

Defendant’s first assignment of error, founded upon an alleged defect of parties, appears to be that some of the testimony of plaintiff’s witness, Jenks, being uncon-troverted and, therefore, conclusive, establishes that he was a joint adventurer or partner with plaintiff in the contract, and, as such, was one of two real parties in interest necessary for complete litigation of all claims, against defendant on the brokerage contract.

We find no argument with the cases cited by defendant in support of this proposition, and we are in complete agreement with the logic which supports the statutory requirement, 12 O.S.1961, § 221, that actions must be prosecuted by real parties in interest, i. e., that any defendant is entitled to be sued only by those having complaint against him and when he is sued to final judgment on a claim, he should thereafter be free from further suit thereon. We do, however, find neither the cases cited nor the logic therefor to be in any wise applicable to this case.

Defendant relies in chief upon Jenks' testimony which is, in effect, that he shared commissions with LaSalle on the basis of 50% of his (Jenks’) sales; that he did not share in sales by the agency of insurance; that he did not share the cost of the office; that real estate was handled as a separate business from insurance; that defendant’s account was in the office, as there was a file on each account; that if this suit is successful, he receives one-half; that he will share one-half the expense of the lawsuit out of the lawsuit; that he will bear one-half the expense of the lawsuit if it is unsuccessful; that both he and Mr. LaSalle decided to bring the lawsuit; that he is one-half owner and made part of the decision to file the lawsuit; and that Mr. LaSalle is one-half owner and made part of the decision to file the lawsuit.

Defendant’s reliance upon the above portion of the testimony of Jenks fails to consider his other testimony regarding his relationship with the plaintiff. He testified that he worked for the plaintiff and that he worked as a “real estate saleman”.

Disposition of this proposition is easily made by reference to the definitions contained in the Real Estate License Act, supra, upon which defendant relies in another assignment for reversal.

59 O.S.1961, § 832, defines “real estate broker” as follows:

“The term ‘real estate broker’ within the meaning of this Act, shall include all persons, associations and corporations, foreign and domestic, who for a fee, commission, or other valuable consideration, or who with the intention or expectation of receiving or collecting the same, lists, sells, purchases, exchanges, rents or leases any real estate, or the improvements thereon, including options, or who negotiates or attempts to negotiate any such activity; or who advertises or holds himself, itself or themselves out as engaged in such activities.”

59 O.S.1961, § 833, defines “real estate salesman”, as follows:

“The term ‘real estate salesman’ shall mean and include any person employed or engaged by or on behalf of a real estate broker to do or to deal in any act, acts, or transactions set out, or comprehended by the definition of a real estate broker in Section 2 of this Act for compensation or otherwise.” (Emphasis supplied.) Section 832 of this title.

An examination of the statutory definitions, above, leaves the reader with the inescapable understanding that while a “broker” can engage in all facets of the *225 real estate business, the “salesman” can conduct such business only as an agent, servant or employee of a “broker”.

Defendant’s efforts in this connection to infer that Jenks was a member of the La-Salle Agency are completely thwarted by Jenks’ description of his relationship with plaintiff as a “real estate salesman” when considered with 59 O.S.1961, § 835, in pertinent part as follows:

“ * * * Every member of a copartnership actively engaged in the real estate brokerage business shall obtain a license as a real estate broker” (Emphasis supplied.)

Reading of Jenks’ testimony as a whole reveals that it was not his position that because he expected to share in the recovery and expenses of the lawsuit he had an enforceable interest in the contract, and a simple application of the rules of agency makes it clear that even such an expectation by an agent does not create a privity of contract between the agent and the principal’s customer. Jenks’ assertion of “ownership” in the lawsuit against defendant in these circumstances can logically be interpreted as nothing more than an expression of his understanding of his rights in the commission when and if it is paid, either with or without litigation by his employer, but it is an expression of legal conclusion at best, and is not binding on the court.

The cases cited by defendant to support this assignment of error are readily distinguishable on the facts.

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Bluebook (online)
1967 OK 172, 434 P.2d 221, 1967 Okla. LEXIS 513, Counsel Stack Legal Research, https://law.counselstack.com/opinion/loftis-v-lasalle-okla-1967.