Marble v. Clein

347 P.2d 830, 55 Wash. 2d 315, 1959 Wash. LEXIS 519
CourtWashington Supreme Court
DecidedDecember 24, 1959
Docket35063
StatusPublished
Cited by32 cases

This text of 347 P.2d 830 (Marble v. Clein) is published on Counsel Stack Legal Research, covering Washington Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Marble v. Clein, 347 P.2d 830, 55 Wash. 2d 315, 1959 Wash. LEXIS 519 (Wash. 1959).

Opinion

Foster, J.

Plaintiff Marble appeals from a final judgment of dismissal after a demurrer to his complaint had been sustained.

The complaint alleged that respondents requested appellant to secure a buyer for them for their shares of corporate stock. Respondents agreed to pay appellant a commission if he secured a purchaser. Appellant did secure such a purchaser to whom the sale was made but respondents refused to pay, whereupon appellant sued to recover his compensation. Respondents’ demurrer to the complaint was sustained. Appellant did not amend, and now appeals from a judgment of dismissal.

The sole issue is the scope of the securities act (RCW 21-.04). If the statute applies, appellant cannot prevail because he violated the statute, and a contract to do an illegal act cannot be enforced. On the other hand, if the act does not apply, no obstacle to appellant’s recovery exists.

Appellant contends that he was not regularly engaged in the business of dealing in securities, and that this was a single, isolated act unconnected with his regular occupation. He further claims that the complaint does not allege any facts from which an inference can be drawn that such dealings were a regular practice with him.

The pertinent sections of the act are:

“The word ‘broker’ includes every person or company, other than an agent, engaging in the business of selling, offering for sale, negotiating for the sale of, soliciting subscriptions for, or otherwise dealing in securities issued by others; or underwriting any issue of securities, or of purchasing such securities with the purpose of reselling or offering them for sale to the public for a commission or at a profit . . . ” RCW 21.04.010(5).
“No person or company shall act as an agent or broker until such person or company shall have applied for and obtained from the director of licenses a certificate authorizing such company so to act. ...” RCW 21.04.090.
*317 “Every person who shall violate, or knowingly aid or abet the violation, of any provisions of this chapter, and every person who fails to perform any act which it is made his duty to perform herein, shall be guilty of a gross misdemeanor.” RCW 21.04.220.

Certain acts are prohibited, the violation of which is designated a gross misdemeanor, and the statute, clearly penal in nature, must be strictly construed. Johnson v. Rutherford, 32 Wn. (2d) 194, 200 P. (2d) 977; Salisbury v. Alskog, 144 Wash. 88, 256 Pac. 1030; Mangaoang v. Boyd, 205 F. (2d) 553, cert. den. 346 U. S. 876, 98 L. Ed. 384, 74 S. Ct. 129.

This court, in holding that a statute entitled “ ‘An act punishing bank officers for receiving deposits knowing the bank to be insolvent’ ” did not apply to private bankers, stated:

“. . . It is a familiar rule of satutory construction . . . that a criminal statute will not be extended beyond its plain terms by construction or implication. ...” State v. Youngbluth, 60 Wash. 383, 111 Pac. 240.

Such is the controlling rule here.

A further guide for the construction of this statute is its relation to previous existing law. In the case of In re Tyler’s Estate, 140 Wash. 679, 250 Pac. 456, 51 A. L. R. 1088, this court quoted with approval the following statement:

“ ‘No statute enters a field which was before entirely unoccupied. It either affirms, modifies, or repeals some portion of the previously existing law. In order, therefore, to form a corréct estimate of its scope and effect it is necessary to nave a thorough understanding of the laws, both common and statutory, which heretofore were applicable to the same subject. Whether the statute affirms the rule of the common law on the same point, or whether it supplements it, supersedes it, or annuls it, the legislative enactment must be construed with reference to the common law; for in this way alone is it possible to reach a just appreciation of its purpose and effect. Again, the common law must be allowed to stand unaltered as far as is consistent with the reasonable interpretation of the new law.’ . . .
a t
“ ‘Statutes are likewise to be construed in reference to the common law; for it must not be presumed that the legisla *318 ture intended to make any innovation upon the common law, further than the case absolutely required.’ ...”

This statute is in derogation of the common law, which permitted brokers and dealers to practice their profession and collect for services rendered without exacting a license. Accord: State v. Silberberg (Ohio), 128 N. E. (2d) 675, reversed on other grounds 130 N. E. (2d) 244, affirmed 166 Ohio St. 101, 139 N. E. (2d) 342.

This statute must, for such reason also, be strictly construed and limited to its plain intent and scope. Post v. Fischer, 191 Wash. 577, 71 P. (2d) 659; Grammer v. Skagit Valley Lbr. Co., 162 Wash. 677, 299 Pac. 376; Kuehn v. Faulkner, 136 Wash. 676, 241 Pac. 290, 45 A. L. R. 571.

However, meaning must be given to all words and the clearly expressed intent, although the statute cannot be extended beyond its plain terms.

The act prohibits a person from acting as a “broker” without having first obtained a license, and provides a penalty for violation. “Broker” is defined as including every person or corporation, other than agent, “engaging in the business” of dealing in securities. Appellant was not engaged in the business of dealing in securities, but, on the contrary, the complaint alleges appellant was involved in but an isolated transaction. In the absence of any language bringing a single transaction within the statutory prohibition, the act cannot be so extended. To do so would be to imply a legislative intention where none is expressed, to deny settled rules of construction, and to disregard the decisional law. This we will not do.

This court, in defining the scope of the auto transportation act (RCW 81.68), held in Strickler v. Schaaf, 199 Wash. 372, 91 P. (2d) 1007, 123 A. L. R. 226:

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Bluebook (online)
347 P.2d 830, 55 Wash. 2d 315, 1959 Wash. LEXIS 519, Counsel Stack Legal Research, https://law.counselstack.com/opinion/marble-v-clein-wash-1959.