Rich v. State Board of Optometry

235 Cal. App. 2d 591
CourtCalifornia Court of Appeal
DecidedJuly 7, 1965
DocketCiv. 21797; Civ. 21961
StatusPublished
Cited by134 cases

This text of 235 Cal. App. 2d 591 (Rich v. State Board of Optometry) 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
Rich v. State Board of Optometry, 235 Cal. App. 2d 591 (Cal. Ct. App. 1965).

Opinion

MOLINARI, J.

— These two separate cases present a major common issue and will therefore be considered together. In *595 each the State Board of Optometry and its members 1 appeal from the judgment commanding the Board to issue a branch office license to petitioners therein. 2

Procedural Background

All three petitioners are optometrists duly licensed by the State of California. Prior to October 1, 1959 Oakley and Layne, whose principal office for the practice of optometry was located in Oakland, maintained a number of branch offices and held branch office licenses issued by the Board authorizing them to practice optometry at each of these branch office locations. Similarly, Rich, who maintained his principal place of business in San Francisco, operated 10 branch offices and possessed a corresponding number of branch office licenses.

On February 26, 1962 Oakley and Layne filed with the Board an application for a license for a branch office at 238 Hillsdale Mall, Hillsdale Shopping Center, San Mateo. The purpose of the filing of this application was to transfer to the Hillsdale Shopping Center their branch office which was located at 205 Bast Fourth Avenue in San Mateo. On January 25, 1963 Rich filed with the Board an application for transfer of his branch office license from 4 Geary Street in San Francisco to new premises located at 246-248 Powell Street, San Francisco. Upon a statement of issues filed by the Board praying that a hearing be held thereon and that the respective applications be denied, hearings were had before a hearing officer of the Office of Administrative Procedure. The hearing officer in each case recommended that the applications be denied and the respective decisions of the hearing officer were adopted as the decision of the Board.

On December 4, 1962, and June 12, 1963, respectively, Oakley and Layne and Rich filed their respective petitions for issuance of peremptory writs of mandate. To the alternative writ of mandate which was issued in the Oakley and Layne case, the Board filed a return by way of demurrer in addition to its return by way of answer. The demurrer, which was *596 based on the timeliness of the proceedings, was overruled by the trial court. When the alternative writs came on for hearing before the superior court, the respective matters were, by stipulation of the parties, submitted upon the record of the proceedings before the Board. The trial court subsequently entered its respective judgments granting the peremptory writs of mandate, and also ordering that the appeal of the judgments would not act as a stay of execution in either case.

The Issue

The crux of this litigation involves the meaning and effect of a statutory change made to section 3077 of the Business and Professions Code 3 in 1959. Section 3077, which was enacted in 1955, set up the requirement that after January 1, 1957, an optometrist must obtain a branch office license from the Board for each branch office which he operated. (§ 3077, subd. (f).) The statute as originally enacted, however, contained no restriction on the number of branch offices or branch office licenses available to an optometrist. 4 Accordingly, although from 1957 the Board took the position that branch office licenses were not transferable and made this position clearly known to its licentiates, 5 it was possible for an optometrist to relocate his branch office simply by surrendering the license which he possessed for the branch office to be relocated and making proper application for a new license to be issued at the new location. (See 34 Ops. Cal. Atty. Gen. 278.)

In 1959, section 3077 was amended so as to restrict the number of branch offices available to an optometrist by providing that “On or after October 1, 1959, no more than one branch office license shall be issued to any optometrist or to any two or more optometrists, jointly.” (§ 3077, subd. (f).) 6 *597 A so-called “grandfather clause” was, however, incorporated into subdivision (i) so as to make said subdivision read, in its entirety, as follows: “Nothing in this chapter shall limit or authorize the board to limit the number of branch offices which are in operation on October 1, 1959 and which conform to the provisions of this chapter, nor prevent an optometrist from acquiring any branch office or offices of his parent. The sale after October 1, 1959 of any branch office shall terminate the privilege of operating such branch office and no new branch office license shall be issued in place of the license issued for such branch office, unless the branch office is the only one operated by the optometrist or two or more optometrists jointly. Nothing in this chapter shall prevent an optometrist from owning, maintaining or operating more than one branch office if he is in personal attendance at each of his offices fifty percent (50%) of the time during which such office is open for the practice of optometry.” (§ 3077, subd. (i).)

In the light of the 1959 statutory changes, the major issue presented is whether petitioners are entitled to relocate the branch offices which are the subject of their respective applications. While both the Board and petitioners state the issue in terms of the right of petitioners to transfer their respective branch office licenses from one branch office to another, we are of the opinion that the basic problem is made more understandable, and that a solution is more easily reached, if the issue is phrased in the language of subdivision (i) of section 3077, that is, in terms of whether the Board has the authority to prevent petitioners from relocating their branch offices and continuing to operate such relocated branch offices. If, on the one hand, we conclude that it has no such authority, then it follows that petitioners are entitled to branch office licenses for their relocated branch offices and that the Board must provide a means by which petitioners can obtain valid and effective branch office licenses — either by allowing petitioners to transfer their present licenses or by issuing new branch office licenses to them. On the other hand, if we conclude that petitioners, by relocating their branch offices, have lost the protection of subdivision (i) of section 3077, then it would follow that under the remaining provisions of this statute, petitioners would not be entitled to maintain their relocated branch offices, nor, of course, would they be entitled either to obtain new branch office licenses or to achieve the transfer of their existing licenses. By refraining *598 the issue in this manner, we put the emphasis on that aspect of the conflict which concerns the basic right of petitioners to relocate their branch offices, rather than on the procedural aspect of how this right, if it exists, is to be achieved. Such an approach to the problem does not in any way result in an alteration of the basic issues which these appeals present.

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Bluebook (online)
235 Cal. App. 2d 591, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rich-v-state-board-of-optometry-calctapp-1965.