Mutual Bldg. & Loan Ass'n of Long Beach v. Corum

30 P.2d 509, 220 Cal. 282, 1934 Cal. LEXIS 533
CourtCalifornia Supreme Court
DecidedMarch 1, 1934
DocketDocket No. S.F. 14953.
StatusPublished
Cited by16 cases

This text of 30 P.2d 509 (Mutual Bldg. & Loan Ass'n of Long Beach v. Corum) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mutual Bldg. & Loan Ass'n of Long Beach v. Corum, 30 P.2d 509, 220 Cal. 282, 1934 Cal. LEXIS 533 (Cal. 1934).

Opinion

CURTIS, J.

This is an appeal by the defendants, upon the judgment-roll and a bill of exceptions, from the final judgment in favor of the plaintiff, in an action at law to recover a deficiency judgment in the sum of $28,474.83, claimed to be the balance due the plaintiff on a promissory note executed by the defendants, after crediting upon the note the proceeds of a sale by the trustees under a trust deed given as security for the payment .of the note. The note, which was for $65,000, was executed by the defendants on November 21, 1925, to the “Mutual Building and Loan Association of San Jose and College Park”, as payee. The deed of trust securing the note was executed concurrently with the note by the appellant, Augusta Corum, as trustor, to the *285 trustees therein named, and named as beneficiary, “California Mutual Building and Loan Association”. The name of the corporation named as payee in the promissory note had previously, on November 29, 1924, been changed by a decree of the Superior Court of Santa Clara County to “California Mutual Building and Loan Association”. On February 2, 1927, the note -was indorsed by the California Mutual Building and Loan Association to plaintiff. On April 4, 1930, the property described in said trust deed was sold by substituted trustees to plaintiff for $50,000, and there being a claimed deficiency of $28,474.83, plaintiff commenced this action for said amount. The defendant Corum filed an answer and cross-complaint. By the cross-complaint she sought to set aside and vacate the sale upon the ground that said sale was illegal and void. A demurrer to the cross-complaint was sustained, and upon the refusal of cross-complainant to amend, judgment was rendered for the plaintiff as to the cross-complaint. On September 28, 1931, plaintiff served upon defendants’ attorneys a memorandum to set the cause for trial, as required by rule I of the rules adopted by the Judicial Council of California regulating the business of the superior court, and filed the same with an affidavit of service with the clerk of the court. On December 31, 1931, defendant Corum served and filed a written demand for a jury trial. On January 4, 1932, the date when the cause came before the presiding judge for the purpose of fixing a definite date for the trial of the ease, defendant Corum demanded in open court a jury trial of the case, she having previously deposited the necessary jury fees. The demand was denied, and the cause was set for January 28, 1932, for trial without a jury. The trial came on for hearing on said date before the court without a jury, and judgment was entered in favor of plaintiff.

Appellant claims that the denial to her of a jury trial constituted reversible error. She contends that she did not waive her right to a jury trial because she had complied strictly with the requirements of section 631 of the Code of Civil Procedure which specifies the manner in which a jury trial may be waived by a party. Respondent contends that appellant waived her right to a jury trial by noncompliance with rule I of the rules adopted by the Judicial Council of California regulating the business of the superior court *286 (hereinafter referred to as rule I). It is respondent’s position that although rule I does not prescribe a waiver for noncompliance therewith, said rule was enacted by the Judicial Council to clarify and make more definite the provisions of subdivision 4 of section 631 of the Code of Civil Procedure, which does prescribe a waiver for failure to comply with its provisions, and that a noncompliance with rule I is ipso facto a noncompliance with subdivision 4 of section 631 of the Code of Civil Procedure. In other words, it is respondent’s theory that rule I is consistent with and in conformity with said section 631, that the requirements are identical and the time specified in each for the making of a demand for a jury trial is the same. Appellant’s position is that rule I prescribes other and different requirements than does section 631 of the Code of Civil Procedure, and that the time specified in said code section as the proper time to make a demand for a jury trial is different from and subsequent to the time specified in rule I, and that a demand made at the time specified in section 631 of the Code of Civil Procedure, effectively preserves a litigant’s right to a jury trial, irrespective of whether such litigant has failed to fulfill the requirements of rule I. Appellant concedes that perhaps a compliance with rule I may be sufficient to prevent a waiver of the right to a jury trial, but points out that under her theory the question of whether it does or does not is not here involved, but merely the question of whether her demand satisfactorily fulfilled the requirements prescribed by section 631 of the Code of Civil Procedure.

There can be no doubt that the defendant failed to comply with rule I. In fact, it is expressly conceded that she did not. Rule I provides that, “For the purpose of setting a civil cause for trial, there shall be filed by a party to the cause a memorandum which shall state that the cause is at issue, and which shall set forth the number and title of the cause, the nature of the cause, the time estimated for the trial thereof, whether a jury trial is demanded, and the respective names, addresses, and telephone numbers of the attorneys for the respective parties. Prior to the filing thereof, a copy of said memorandum shall be served upon the attorneys for all parties, and unless admission of service is indorsed upon the memorandum filed, the same shall be accompanied by an affidavit showing such service. No cause *287 shall he set for trial unless the memorandum herein mentioned shall have been served and filed; provided, however, in the event the cause shall be set upon stipulation, the latter shall be accompanied by a corresponding memorandum. In case a jury trial is not demanded by the party filing such memorandum, any other party to the cause desiring a jury trial shall have five (5) days, after service of such memorandum, within which to file and serve his written demand for a trial by jury. ’ ’ Subdivision 4 of section 631 of the Code of Civil Procedure, provides that a trial by jury may be waived by a party “by failing to announce that a jury is required, at the time the cause is first set upon the trial calendar if it be set upon notice or stipulation, or within five days after notice of setting if it be set without notice or stipulation.”

The controversy therefore resolves itself into a question of the proper interpretation of subdivision 4 of section 631 of the Code of Civil Procedure. Just what does the language, “at the time the cause is first set upon the trial calendar” mean? Does it mean, as respondent contends, at the time the memorandum to set the cause for trial is first filed with the clerk of the court as required by rule I? Or does it mean, as contended by appellant, at the precise time the case first comes before the judge to be set for trial at a definite, fixed future date?

We are of the opinion that the language used in section 631 of the Code of Civil Procedure, “at the time the cause is first set upon the trial calendar” is synonymous with the words, “at the time the ease is set for trial”.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Citizens Bank v. Gaskins
Court of Appeals of Kansas, 2025
Kelley v. JPMorgan Chase Bank NA (In re Kelley)
545 B.R. 1 (N.D. California, 2016)
Foster v. Kansas Department of Revenue
130 P.3d 560 (Supreme Court of Kansas, 2006)
Waites v. St. Louis County
484 S.W.2d 245 (Supreme Court of Missouri, 1972)
Oakes v. McCarthy Co.
267 Cal. App. 2d 231 (California Court of Appeal, 1968)
De Castro v. Rowe
223 Cal. App. 2d 547 (California Court of Appeal, 1963)
City of Redondo Beach v. Kumnick
216 Cal. App. 2d 830 (California Court of Appeal, 1963)
Schmidt v. Townsend
229 P.2d 488 (California Court of Appeal, 1951)
Cloud v. Market Street Railway Co.
168 P.2d 191 (California Court of Appeal, 1946)
Stobbs v. Coloneus
95 P.2d 183 (California Court of Appeal, 1939)
Mutual Building & Loan Ass'n v. Corum
60 P.2d 316 (California Court of Appeal, 1936)
Bank of America National Trust & Savings Ass'n v. Gandolfo
43 P.2d 341 (California Court of Appeal, 1935)
Hitch v. Superior Court
38 P.2d 190 (California Court of Appeal, 1934)

Cite This Page — Counsel Stack

Bluebook (online)
30 P.2d 509, 220 Cal. 282, 1934 Cal. LEXIS 533, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mutual-bldg-loan-assn-of-long-beach-v-corum-cal-1934.