Rosen v. Rozan

179 F. Supp. 829, 1959 U.S. Dist. LEXIS 2451
CourtDistrict Court, D. Montana
DecidedDecember 17, 1959
DocketCiv. A. No. 245
StatusPublished
Cited by7 cases

This text of 179 F. Supp. 829 (Rosen v. Rozan) is published on Counsel Stack Legal Research, covering District Court, D. Montana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rosen v. Rozan, 179 F. Supp. 829, 1959 U.S. Dist. LEXIS 2451 (D. Mont. 1959).

Opinion

JAMESON, District Judge.

Plaintiffs instituted an action in state court to quiet title to undivided fractions of minerals in lands in Fallon County, Montana. The complaint contains six causes of action. Each cause of action alleges, “That each and all of the plaintiffs above named are tenants in common to the lands and estates hereinafter described.” In each cause of action it is alleged that the particular plaintiff “is the owner in fee simple of an undivided (specifying the percentage) interest in all oil, gas and other minerals in, under and to” the lands.

Leonard Rosen, trustee, one of the plaintiffs, and defendant are residents and citizens of California. The other plaintiffs are residents and citizens of other states.

Defendant removed to federal court, and plaintiffs seek to remand on the grounds, among others, (1) that there is no diversity of citizenship between all of the plaintiffs and the defendant, and (2) there is no separate and independent controversy or cause of action between Leonard Rosen, trustee, and defendant.

Defendant contends that the controversies between the other plaintiffs and the defendant are separate and independent from the controversy between Leonard Rosen, trustee, and the defendant, within the meaning of 28 U.S. C.A. § 1441(c), which reads:

“Whenever a separate and independent claim or cause of action, which would be removable if sued upon alone, is joined with one or more otherwise non-removable claims or causes of action, the entire case may be removed and the district court may determine all issues therein, or, in its discretion, may remand all matters not otherwise within its original jurisdiction. June 25, 1948, c. 646, 62 Stat. 937.” 1

In determining whether an action involves “a separate and independent claim or cause of action”, the allegations of plaintiffs’ complaint ordinarily are controlling.2 The complaint alleges [831]*831that the plaintiffs are tenants in common in the ownership of certain minerals, specifying the percentage owned by each co-tenant. The total of the percentages specified in the six causes of action is 155/320ths. An affidavit of counsel for the plaintiff in support of the motion to remand recites that on June 15, 1954, M. M. Rozan conveyed 160/320ths interest in the minerals to the plaintiff Eugene D. Rosen; that thereafter by separate mineral deeds Eugene D. Rosen conveyed portions to the various plaintiffs, except the plaintiff Norma R. Rosen, and to one J. Robert Iovino, who thereafter conveyed that portion to Norma R. Rosen; that each of the plaintiffs has retained ownership of an undivided portion of the minerals so conveyed; and that the acquisition of the mineral interests by the plaintiffs was through the same transaction or series of transactions.3

Local law governs with respect to the plaintiffs’ substantive rights.4 Under the Montana law, “An interest in common is one owned by several persons, not in joint ownership or partnership.” R.C.M.1947, § 67-312. “Every interest created in favor of several persons in their own right, including husband and wife, is an interest in common, unless acquired by them in partnership, for partnership purposes, or unless declared in its creation to be a joint interest, * * *.” R.C.M.1947, § 67-313.

In considering the rights of tenants in common in Rodda v. Best, 1923, 68 Mont. 205, 218, 217 P. 669, 673, the Supreme Court of Montana said: “Tenants in common are equally entitled to the use, benefit, and possession of the common property and may exercise acts of ownership in regard thereto, the limitation being that they are bound to so exercise their rights in the property as not to interfere with the rights of their cotenants. (38 Cyc. 17.)” And in Na-deau v. Texas Company, 1937, 104 Mont. 558, 567, 69 P.2d 586, 591, 111 A.L.R. 874, the court said: “A cotenant, in prosecuting or defending actions concerning the common property, may treat the same as his own as against everyone except his cotenant.” (Citing cases) 5

Section 93-2818, R.C.M.1947, provides that two or more persons claiming an estate or interest in lands under a common source of title, whether holding as tenants in common, joint tenants, or in severalty, may unite in an action against any person claiming an adverse interest or estate therein.

The leading case construing 28 U.S. C.A. § 1441(c) is American Fire & Casualty Co. v. Finn, 1950, 341 U.S. 6, 71 S.Ct. 534, 95 L.Ed. 702. Finn, a citizen of Texas, brought an action to recov[832]*832er for a loss by fire, naming as defendants two foreign insurance companies and one Reiss, a resident agent of both companies in Texas. Plaintiff alleged that one of the insurance companies was liable under a policy of insurance it had issued, or, in the alternative, that the other insurance company was liable under its policy. As a third alternative she sued all three defendants, alleging that all of them were liable “for ‘anything that results in the defeat of her recovery on either one of said policies.’ ” In holding that there was a single wrong and that the cause should have been remanded, the Court said in part:

“A separable controversy is no longer an adequate ground for removal unless it also constitutes a separate and independent claim or cause of action. Compare Barney v. Latham, 103 U.S. 205, 212, 26 L.Ed. 514, with the revised § 1441. Congress has authorized removal now under § 1441(c) only when there is a separate and independent claim or cause of action. Of course, ‘separate cause of action’ restricts removal more than ‘separable controversy.’ In a suit covering multiple parties or issues based on a single claim, there may be only one cause of action and yet be separable controversies. The addition of the word ‘independent’ gives emphasis to congressional intention to require more complete disassociation between the federally cognizable proceedings and those cognizable only in state courts before allowing removal.
******
“The past history of removal of ‘separable’ controversies, the effort of Congress to create a surer test, and the intention of Congress to restrict the right of- removal leads us to the conclusion that separate and independent causes of action are not stated. The facts in each portion of the complaint involve Reiss, the damage comes from a single incident. The allegations in which Reiss is a defendant involve substantially the same facts and transactions as do the allegations in the first portion of the complaint against the foreign insurance companies. It cannot be said that there are separate and independent claims for relief as § 1441(c) requires. Therefore, we conclude there was no right to removal.” 341 U.S. at pages 11, 12, and 16, 71 S.Ct. at pages 538, 539, 541.6

Delany v. Stautberg, 1953, D.C.S.D. Tex., 112 F.Supp. 654,-656, was an action to recover title and possession of lands in Texas. Plaintiffs alleged that they were the owners in fee and entitled to possession and that the defendants wrongfully entered upon the property and dispossessed plaintiffs. In following American Fire & Casualty Company v.

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Bluebook (online)
179 F. Supp. 829, 1959 U.S. Dist. LEXIS 2451, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rosen-v-rozan-mtd-1959.