Perkins v. Thorpe

676 P.2d 52, 106 Idaho 138, 1984 Ida. App. LEXIS 420
CourtIdaho Court of Appeals
DecidedJanuary 31, 1984
Docket13953
StatusPublished
Cited by11 cases

This text of 676 P.2d 52 (Perkins v. Thorpe) is published on Counsel Stack Legal Research, covering Idaho Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Perkins v. Thorpe, 676 P.2d 52, 106 Idaho 138, 1984 Ida. App. LEXIS 420 (Idaho Ct. App. 1984).

Opinion

BURNETT, Judge.

In this case we review a summary judgment entered against a claim that a real estate broker breached his fiduciary duty to a client. The litigation began as an action by the broker, Charles Perkins, against the client, Betty Thorpe, to collect a commission for selling her farm. Thorpe counterclaimed, alleging that Perkins— through one of his salesmen — had breached a fiduciary duty by negligently misadvising Thorpe on the value of her property and by failing to inform her that the brokerage also was representing the buyers of her property in a separate but related transaction. The district court entered summary judgment in favor of the broker on his complaint, dismissing Thorpe’s counterclaim. Thorpe has appealed. We vacate the summary judgment and remand the cause.

Thorpe challenges the summary judgment on a procedural ground that it granted relief beyond that sought in the broker’s motion, and upon the substantive ground that it disregarded genuine issues of fact. Because the substantive question is dispositive, we need not tarry over the procedural question. The substantive basis for the summary judgment was stated orally by the district judge as follows:

As I read the answer in this case, the so-called counterclaim is merely a re-allegation of what has been labeled as a second defense in the answer. And, of course, it is fundamental on a motion for summary judgment that the responding party cannot rely upon pleadings in the file. As I recall, there is nothing in the file other than the bare allegations contained in the second defense and reiterated in the counterclaim relative to this so-called breach of fiduciary relationship or fraudulent conduct. And in the absence of affidavits and the absence of depositions specifically showing that, which is a matter which must be specifically shown, I have to say that there is no genuine issue of material fact raised by the second defense and, consequently, the counterclaim too.

The summary judgment, when entered, was accompanied by no further statement of the judge’s reasoning. Thus, the judge’s oral remarks frame a twofold issue: first, whether the record does, in fact, contain sworn averments in support of Thorpe’s claim; and, second, whether such averments are sufficient to raise a genuine issue concerning a breach of fiduciary duty.

I

Contrary to the district judge’s observation, the record prior to summary judgment contained sworn affidavits by Thorpe, one of her relatives, and a real estate appraiser. It also included affidavits by the broker and his salesman. 1 In an appeal from a summary judgment, we construe the record in the light most favorable to the party opposing the motion. *140 E.g., Keller v. Holiday Inns, Inc., 105 Idaho 649, 671 P.2d 1112 (Ct.App.1983). In this case, we construe the record and inferences from that record favorably to Thorpe.

Viewed in best light for Thorpe, the record shows that she owned a 600 acre farm in Lincoln County, Idaho. During the fall of 1976, she was experiencing financial difficulties. In October, although there was no listing agreement on the property, the broker’s salesman showed the farm to potential buyers. The salesman returned to the farm later with an earnest money agreement signed by the buyers, offering to purchase the property for $273,000. Thorpe asked the salesman if that was a fair price. He said it was and urged her to accept the offer. Thorpe’s cousin was present during the conversation and recalled the salesman saying that the $273,-000 offer “was high considering the rundown condition of the ranch.” However, Thorpe rejected the offer at that time because it provided for her to carry a balance unsecured by any mortgage on her property-

Later that same day, the salesman again returned — this time with a modified earnest money agreement providing for such a mortgage. After reinquiring as to whether $273,000 was a good price, and getting the same answer, Thorpe accepted the offer. Concurrently, she also signed an exclusive listing agreement on the property, agreeing to pay the broker a commission if he found a ready, willing and able buyer on terms conforming to the earnest money agreement or if she sold the property herself during the period covered by the listing agreement. According to Thorpe’s cousin, the salesman did not inform Thorpe that he was also representing the buyers in a separate transaction where they were selling other property. The salesman's affidavit says he did make such a disclosure. In any event, it is undisputed that such dual representation did exist and that Thorpe’s sale was made contingent upon the buyers’ sale of the other property.

The salesman subsequently informed Thorpe that her sale was progressing toward a closing and that the buyers had obtained financing. However, after several weeks had elapsed, one of the buyers visited Thorpe at her home and told her that they had not sold their other property and would be unable to consummate the purchase of her farm. Having no other potential buyer, and having not done any fall work on the farm because she anticipa- . ted closing the sale, Thorpe became desperate. She feared that she would lose the property for failure to make payments owed to an institutional lender. She offered to sell the farm to the same buyers at a reduced price and on more favorable terms. The buyers accepted this new offer, purchasing the farm for $265,000. Later, in 1977, an independent appraiser valued the property at $392,000.

Although the foregoing sequence of events is disputed in important respects by the broker, it is clear that the record contains more than bare allegations in pleadings deemed inadequate by the district judge. Thorpe has made a particularized factual showing. It is not for us, on appeal from á summary judgment, to weigh the evidence. E.g., Salmon Rivers Sportsman Camps, Inc. v. Cessna Aircraft Co., 97 Idaho 348, 544 P.2d 306 (1975). Rather, our task is to determine whether the showing made by Thorpe, if believed, is sufficient to raise a genuine issue concerning breach of fiduciary duty. We turn now to that question.

II

It is well established in Idaho case law that a real estate broker, as an agent, owes a fiduciary duty to the principal, his client. E.g., Rogers v. Hendrix, 92 Idaho 141, 438 P.2d 653 (1968); McShane v. Quillin, 47 Idaho 542, 277 P. 554 (1929). Recently, in Mallory v. Watt, 100 Idaho 119, 594 P.2d 629 (1979), the Idaho Supreme Court stated that because of this fiduciary duty, an agent must make “a full, fair, and timely disclosure to his principal of all facts within the agent’s knowledge *141 which are, or may be, material to the transaction and which might affect the principal’s rights and interests or influence his actions.” 100 Idaho at 122, 594 P.2d at 632.

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Bluebook (online)
676 P.2d 52, 106 Idaho 138, 1984 Ida. App. LEXIS 420, Counsel Stack Legal Research, https://law.counselstack.com/opinion/perkins-v-thorpe-idahoctapp-1984.