Ngan Tang Nguyen v. Scott

206 Cal. App. 3d 725, 253 Cal. Rptr. 800, 1988 Cal. App. LEXIS 1174
CourtCalifornia Court of Appeal
DecidedDecember 16, 1988
DocketA039292
StatusPublished
Cited by16 cases

This text of 206 Cal. App. 3d 725 (Ngan Tang Nguyen v. Scott) 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
Ngan Tang Nguyen v. Scott, 206 Cal. App. 3d 725, 253 Cal. Rptr. 800, 1988 Cal. App. LEXIS 1174 (Cal. Ct. App. 1988).

Opinion

Opinion

NEWSOM, Acting P. J.

Ngan Tang Nguyen and Ngoc Tho Thi Vu Nguyen (hereafter appellants) appeal from a judgment of dismissal entered on an order sustaining a demurrer to their second amended complaint. The grievance stated in this amended complaint arose in the course of the litigation. The appellants originally filed on August 19, 1986, a complaint against Barclays Bank of California as trustee for California Dental Guild (hereafter Barclays) praying for partition of certain real property. Barclays filed a *729 cross-complaint that similarly prayed for partition and sale of the property and moved for a judgment on the pleading. Shortly thereafter, John L. Scott, an individual, filed a notice on October 1, 1986, that he had acquired Barclays’ interest in the property with authority to pursue the cross-complaint in its name. In response, appellants filed an answer to the cross-complaint containing “supplemental allegations modifying and partially rescinding complaint herein” and opposed the motion for judgment on the pleading. The court first denied the motion for judgment on the pleading as untimely since a cross-defendant had not yet filed an answer. Barclays and John L. Scott renewed the motion alleging that the cross-defendant had actually consented to entry of default against it. The court then granted the motion for judgment on the pleading subject to appellants’ right to amend the complaint within 30 days.

On January 20, 1987, appellants filed a first amended complaint stating the causes of action involved in this appeal. The complaint named as additional defendants John L. Scott, J. & P. Scott, Inc., Terry John O’Brien (an officer of J. & P. Scott, Inc.), Joseph Monck, and Raymond Love (both employees of Barclays). The first cause of action claimed $127,000 in damages from John L. Scott. The second cause of action sought to require John L. Scott and J. & P. Scott, Inc., as constructive trustees, to convey a one-half interest in the property to appellants for a purchase price of $325,000. The third cause of action alleged a conspiracy among all the defendants and prayed for general damages of $127,000 and punitive damages of $10 million. Defendants again demurred to the complaint, and appellants moved for leave to file further amendments. Granting appellants’ motion to amend the complaint, the court took the demurrer off calendar.

On April 1, 1987, appellants filed the second amended complaint at issue here. Later, they dismissed the complaint without prejudice against Bar-clays, Joseph Monck, and Raymond Love. The remaining defendants, John L. Scott, J. & P. Scott, Inc., and Terry John O’Brien, once again demurred. On May 21, 1987, the court sustained the demurrer without leave to amend.

In reviewing the sufficiency of the complaint against the general demurrer, “[a]ll allegations are taken as true even though their proof appears unlikely . . . .” (Stanson v. Brown (1975) 49 Cal.App.3d 812, 814 [122 Cal.Rptr. 862]; Buckaloo v. Johnson (1975) 14 Cal.3d 815, 828 [122 Cal.Rptr. 745, 537 P.2d 865].) “‘[T]he complaint must be liberally construed with a view to attaining substantial justice among the parties.’ ” (Glaire v. La Lanne-Paris Health Spa, Inc. (1974) 12 Cal.3d 915, 918 [117 Cal.Rptr. 541, 528 P.2d 357].) The court is “not limited to plaintiffs’ theory of recovery in testing the sufficiency of their complaint against a demurrer, but instead must determine if the factual allegations of the complaint are *730 adequate to state a cause of action under any legal theory.” (Barquis v. Merchants Collection Assn. (1972) 7 Cal.3d 94, 103 [101 Cal.Rptr. 745, 496 P.2d 817].) “Mistaken labels and confusion of legal theory are not fatal; if appellant’s complaint states a cause of action on any theory, he is entitled to introduce evidence thereon.” (Porten v. University of San Francisco (1976) 64 Cal.App.3d 825, 833 [134 Cal.Rptr. 839].)

As alleged in the complaint, in 1976 appellant Ngan Tang Nguyen and Phu Loc Truong (hereafter Truong) each purchased an undivided one-half interest in an 18-unit apartment building located at 1865 Bush Street in San Francisco. Ngan Tang Nguyen acted as the managing owner of the apartment. Before the commencement of this litigation, he placed his interest in the names of himself and his wife, Ngoc Tho Thi Vu Nguyen.

John L. Scott (hereafter Scott) is a licensed real estate broker and the sole shareholder of J. & P. Scott, Inc., a California corporation (hereafter Scott, Inc.). In 1983, Scott, Inc., entered into an agreement, termed a “Service Contract,” with California Canadian Bank as trustee for the California Dental Guild. The agreement contemplated that from time to time the bank would request Scott, Inc., to offer investments in promissory notes secured by a deed of trust on real property. Scott, Inc., would guarantee payments on the notes but would earn a potential profit by paying the bank a lower rate of interest than that which was actually payable on the note. In 1985, Barclays Bank of California acquired the California Canadian Bank and assumed the Service Contract.

During 1985, appellants’ cotenant, Truong, encumbered his one-half interest in the property as security for a loan and then defaulted on loan payments. To avert foreclosure, on January 6, 1986, he obtained a $285,000 loan from Scott, Inc., secured by a second deed of trust. Scott, Inc., sold the note to Barclays for the loan balance at an interest rate 2.25 percent below that payable by Truong. When Truong immediately defaulted on the new loan, Barclays gave Scott a power of attorney to pursue creditor’s remedies against Truong. Acting under the power of attorney, Scott filed a complaint for specific performance of the rents and profits clause of the Truong note and initiated nonjudicial foreclosure proceedings on the deed of trust. At a foreclosure sale on August 19, 1986, Barclays acquired Truong’s one-half interest in the property for a bid of $320,530.95.

During the foreclosure proceedings, appellants negotiated with Truong to acquire his one-half interest in the property, but the period of redemption expired before they could conclude a deal. Scott refused to delay foreclosure or otherwise accommodate them.

*731 Following the foreclosure, appellants again tried to purchase the property by negotiating with Scott who represented Barclays under the power of attorney. The complaint recites that Scott “sought to extort a high price” for the property. On September 9, 1986, appellants nevertheless submitted an offer to Scott’s counsel to purchase the property for $330,000. On September 16, 1986, Scott’s attorney refused the offer in writing. As directed by his power of attorney, Scott made some efforts to sell the property to a third party, and purporting to act on behalf of appellants as well as Barclays, he secured at least one offer to purchase the property.

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Bluebook (online)
206 Cal. App. 3d 725, 253 Cal. Rptr. 800, 1988 Cal. App. LEXIS 1174, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ngan-tang-nguyen-v-scott-calctapp-1988.