Lynn v. Lynn

617 A.2d 963, 1992 D.C. App. LEXIS 311, 1992 WL 364406
CourtDistrict of Columbia Court of Appeals
DecidedDecember 11, 1992
Docket89-CV-1545
StatusPublished
Cited by16 cases

This text of 617 A.2d 963 (Lynn v. Lynn) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lynn v. Lynn, 617 A.2d 963, 1992 D.C. App. LEXIS 311, 1992 WL 364406 (D.C. 1992).

Opinions

WAGNER, Associate Judge:

This appeal arises out of an action for sale of real property in lieu of partition and for an accounting pursuant to D.C.Code § 16-2901 (1989). Appellant contends that he was denied procedural due process in the proceedings in the trial court which resulted in the sale of two properties and an order approving the sale of a third. Appellant also argues that the trial court erred in rejecting his offer to purchase a third property which he made at the hearing held pursuant to an order nisi and in confirming a published offer for it.1 Some [965]*965of appellant’s claims of procedural irregularities were raised in a prior appeal which was dismissed by this court because appellant failed to comply with the court’s order to designate the record on appeal.2 Additionally, appellant did not note an appeal from some of the other orders which he seeks to challenge in this appeal. Under the circumstances, we do not reach many of the issues raised by appellant in his brief. As to the issue properly before the court, we hold that the trial court erred in confirming the sale for one of the properties in view of the offer made by appellant. Therefore, we remand the case to the trial court for further proceedings consistent with this opinion.

I

Procedural Background

The procedural history of this case is somewhat complicated, but it must be recounted in some detail for an understanding of our disposition of the case. On April 25, 1988, appellees, James and Jeffrey Lynn, a father and son, filed a complaint for the sale in lieu of partition of real property and for an accounting against appellant, Peter Lynn, who is also the son of James Lynn.3 Although represented by counsel, appellant filed an answer pro se on August 8,1988, and on August 16, 1988, his attorney filed a motion for leave to withdraw.4 In the answer, appellant alleged that the appellees had invested in his real estate business and had promised, but failed to reimburse him, for expenses associated with the business. Appellees filed a motion for partial summary judgment on August 26, 1988 seeking, inter alia, a sale in lieu of partition of three properties in which they claimed an ownership interest as tenants in common with appellant. Appellant filed a motion to dismiss the complaint, claiming that the case had been dismissed previously and not reinstated.5 By order dated October 31,1988, Judge Ronald Wertheim denied appellant’s motion to dismiss, granted appellant’s attorney leave to withdraw, and granted appellant an extension of time to and including November 18, 1988 to file an opposition to the motion for partial summary judgment.

Appellant did not file an opposition to the motion for partial summary judgment, and Judge Harriett Taylor entered an order on November 22, 1988 granting the motion as unopposed.6 The order for partial summary judgment specified the extent of each party’s interest in each of the three properties, ordered the properties to be appraised by three appraisers and appointed a trustee to sell it at private sale pursuant to Super.Ct.Civ. 308(c).7 The order also authorized the trustee to list the property for sale with a real estate broker, to manage it and collect rents, and to pay expenses subject to an accounting. No hearing was [966]*966held before entry of the order for partial summary judgment.8 Appellant noted his first appeal from that order on December 29, 1988.9 This court dismissed the appeal on July 17, 1989 because of appellant’s failure to designate the record in compliance with a prior order of the court.10

Pursuant to the order of partial summary judgment, three separate hearings were held to confirm contracts submitted and published in accordance with Rule 308(c). On September 14, 1989, an order was entered finally ratifying the sale of 115 D Street, S.E., Unit G-3, and on May 30, 1989 after a hearing, the court confirmed the sale of Unit G-4 in the same building. No appeal was taken from these orders.

On November 14, 1989, a hearing was held before Judge William Gardner on the trustee’s motion for entry of an order nisi to sell the Independence Avenue property. Prior to that time, appellant had submitted to the trustee a written contract containing a higher offer to purchase the property, which he requested the trustee to publish.11 After a hearing, the court entered the order nisi providing for publication of the original offerors’ contract. Following publication of the terms of that contract, a hearing was held before Judge Rufus King on November 27, 1989 to consider any increased offers. See Super.CtCiv.R. 308(c)(4). Appellant offered to purchase the property at an amount which would net in excess of 10% above the published contract offer, the amount of the bid required to upset the published offer. See id. Appellant testified at an evidentiary hearing during the Nisi proceedings, and the court determined that appellant’s offer was not a bona fide one as required by the rule. See id. Therefore, on November 27, 1989, Judge King entered an order finally ratifying the sale of 1216 Independence Avenue, S.E. to the original offerors.12 Appellant noted an appeal from that order on December 26, 1989.

II

The Nisi Hearing

The published offer for the Independence Avenue property was for a total purchase price of $212,000. The original offerors paid a cash deposit of $5,000, and their contract provided for an additional $5,600 to be paid at settlement to complete the down payment. Their contract was contingent upon the purchasers securing a commitment for financing the $201,400 balance within forty-five calendar days of ratification of the contract, and the purchasers agreed to make application and file documents for processing the loan within seven days. The offerors attached to their con[967]*967tract a letter from Mortgage Investment Corporation indicating that they had made an application for a loan for the transaction and that they appeared to qualify based on the information which they submitted. The letter also indicated that it was not a loan commitment and that approval of the loan was subject to verification, additional documentation, a credit report and appraisal.

At the hearing scheduled to consider the original offerors’ contract and to entertain higher offers pursuant to the order nisi, appellant offered $233,211 for the property. Appellant initially offered to make a down payment of $63,200, of which a deposit of $5,000 would be a part, with the balance to be obtained through financing of $110,000 and a credit given for his 50% ownership interest in the property at $60,000. However, appellant stated repeatedly that if his request for a credit for his interest were cause for denial of his bid, he would raise his offer by a higher cash payment.13 Appellant also provided a statement from a lending institution indicating that he had made an application for a loan and that he qualified for a loan commitment of $110,-000 based on the financial information he had provided.

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Cite This Page — Counsel Stack

Bluebook (online)
617 A.2d 963, 1992 D.C. App. LEXIS 311, 1992 WL 364406, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lynn-v-lynn-dc-1992.