McCaffrey v. Preston

154 Cal. App. 3d 422, 201 Cal. Rptr. 252, 1984 Cal. App. LEXIS 1897
CourtCalifornia Court of Appeal
DecidedApril 12, 1984
DocketCiv. 26969
StatusPublished
Cited by7 cases

This text of 154 Cal. App. 3d 422 (McCaffrey v. Preston) 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
McCaffrey v. Preston, 154 Cal. App. 3d 422, 201 Cal. Rptr. 252, 1984 Cal. App. LEXIS 1897 (Cal. Ct. App. 1984).

Opinion

Opinion

COLOGNE, J.

James T. McCaffrey, Grace McCaffrey, Burnet F. Wohlford III, Betty M. Wohlford, Edward R. Hood, Margaret A. Hood, Ciar *428 ence C. Sikes, June E. Sikes, Thomas E. Vos, Lynda M. Vos, Richard D. Malm, Mary E. Malm, Donn C. Alexander, Peggy A. Alexander and Dorothy C. Jeffers (neighbors of the respondents Stanley R. Preston and Wilma Preston) and Donald Graham, executor of the estate of the common grantor, Harry Hoffman, appeal a judgment denying them a permanent injunction against the Prestons’ operation of a residential care facility for six or fewer persons in the Rose Hill neighborhood.

The land now comprising the Rose Hill neighborhood near Escondido, California, was originally owned by Allie W. and Harry Hoffman. From 1960 to 1961 they sold three large parcels and retained a relatively small parcel for their personal residence. All of the Hoffman deeds contained a provision which, in pertinent part, states: “1. This property shall be used for single residential purposes only .... [A] breach of any of the foregoing conditions and restrictions shall cause the premises to revert to grantors, their heirs or assigns, each of whom respectively shall have the right of immediate entry upon the premises in the event of such breach.”

Kenneth C. and Helen Moore Purdy bought one of the three parcels from Hoffman, divided it into four lots and sold all four lots by deeds which omitted any restrictions or references to any restrictions. Conrad and Marion Donald bought one of these four lots and in turn divided it into two lots one of which they sold to the respondents Stanley R. and Wilma Preston. This deed did not contain any restrictions or references to any restrictions.

Hoffman continued living on his retained parcel until 1976, when he sold it without deed restrictions or references to deed restrictions to Mr. Snyder.

In February 1980, the Prestons applied for a license to operate a community care facility in their home for six or fewer elderly persons pursuant to the Community Care Facilities Act (Health & Saf. Code, 1 § 1500 et seq.). When the neighboring appellants learned of the Prestons’ intent to operate a community care facility, they protested the issuance of the license and requested notice of administrative proceedings and an opportunity to be heard. Their request was denied. Following an investigation by the San Diego County Department of Social Services, 2 the Prestons were issued a license on April 17, 1980, permitting two elderly persons.

On April 30, 1980, appellants filed the instant action. A temporary restraining order was issued on that date and a preliminary injunction was *429 issued on May 30, 1980, enjoining the Prestons from operating a residential care facility in their home.

In May or June 1980, before Hoffman became a plaintiff, Wilma Preston requested him to sign a quitclaim deed in favor of the Prestons. Hoffman declined to sign the quitclaim deed until he consulted with his attorney. Later, Wilma Preston obtained the name of Hoffman’s attorney from him and forwarded that information to her attorney who then forwarded the quitclaim deed to Hoffman’s attorney. Hoffman and his attorney later met and Hoffman executed the quitclaim deed in favor of the Prestons.

Trial commenced on October 14, 1981. The trial court found appellants could not enforce the restrictive covenant because it was a personal covenant, enforceable only through Hoffman’s reversionary interest which had been extinguished by the quitclaim deed. The court further found the Community Care Facilities Act (Act) was not unconstitutional.

On appeal, appellants assert the Act is unconstitutional because it violates equal protection and due process, the covenants were not personal, the quitclaim deed was invalid and the trial court erred in certain evidentiary rulings.

The Act (§ 1500 et seq.) was enacted in 1973. In a statement of its intent, the Legislature found there was “an urgent need to establish a coordinated and comprehensive statewide service system of quality community care for the mentally ill, developmentally and physically disabled, and socially dependent children and adults” (§ 1501, subd. (a); Stats. 1973, ch. 1203, § 4, p. 2581).

A “community care facility” includes a “residential care facility for the elderly” which is defined as a “group housing arrangement chosen voluntarily by residents who are over 62 years of age and who are provided varying levels of supportive services or care, as agreed upon at the time of admission, based upon their varying needs.” (§ 1502, subd. (a)(2).) Such a residential care facility also is within the scope of the definition of a “residential facility” which means “any family home, group care facility, or similar facility determined by the director, for 24-hour nonmedical care of persons in need of personal services, supervision, or assistance essential for sustaining the activities of daily living or for the protection of the individual.” (§ 1502, subd. (a)(1).) The Legislature expressly found “it is the policy of this state that each county and city shall permit and encourage the development of sufficient numbers and types of residential care facilities as are commensurate with local need.” (§ 1566.)

To effectuate this policy, the Legislature enacted provisions specifically proscribing local regulation in locating these residential care facilities serv *430 ing six or fewer persons. 3 It declared residential care facilities are to be treated the same as single family residences, thus negating the “business” features of any such facility which might preclude them from locating in compatible residential areas.

As section 1566.3, in pertinent part, states: “Whether or not unrelated persons are living together, a residential facility which serves six or fewer persons shall be considered a residential use of property for the purposes of this article. In addition, the residents and operators of such a facility shall be considered a family for the purposes of any law or zoning ordinance which relates to the residential use of property pursuant to this article.

“For the purpose of all local ordinances, a residential facility which serves six or fewer persons shall not be included within the definition of a boarding house, rooming house, institution or home for the care of minors, the aged, or the mentally infirm, foster care home, guest home, rest home, sanitarium, mental hygiene home, or other similar term which implies that the residential facility is a business run for profit or differs in any other way from a single family residence.
“The provisions of this section shall not be construed to forbid any city, county, or other local entity from placing restrictions on building heights, setback, lot dimensions, or placement of signs of a residential facility which serves six or fewer persons as long as such restrictions are identical to those applied to other single family residences.

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Cite This Page — Counsel Stack

Bluebook (online)
154 Cal. App. 3d 422, 201 Cal. Rptr. 252, 1984 Cal. App. LEXIS 1897, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mccaffrey-v-preston-calctapp-1984.