Ryckman v. Wildwood, Inc.

641 P.2d 467, 197 Mont. 154, 1982 Mont. LEXIS 742
CourtMontana Supreme Court
DecidedFebruary 25, 1982
Docket81-001
StatusPublished
Cited by10 cases

This text of 641 P.2d 467 (Ryckman v. Wildwood, Inc.) is published on Counsel Stack Legal Research, covering Montana Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ryckman v. Wildwood, Inc., 641 P.2d 467, 197 Mont. 154, 1982 Mont. LEXIS 742 (Mo. 1982).

Opinion

MR. JUSTICE MORRISON

delivered the opinion of the Court.

Defendant appeals a judgment of the Eleventh Judicial District Court, Flathead County, entered in favor of plaintiffs for the sum of $38,930.86. We reverse and remand for a new trial.

Plaintiffs instituted this action against defendant to recover damages for breach of an agreement by defendant to pay plaintiffs for services performed in connection with real estate sales. In addition to breach of contract, plaintiffs included a claim for fraud and asked for an accounting. Defendant admitted that plaintiffs were employed to perform certain services in connection with the sale of defendant’s condominiums, but alleged that plaintiffs had been paid in full. Defendant further *157 alleged that plaintiffs’ claim was barred by the statute of frauds, section 28-2-903, MCA, and alleged that plaintiffs did not have standing to maintain an action for a broker’s commission pursuant to section 37-51-401, MCA.

Keith Gustin, acting as president of defendant, first met plaintiff, Ernest Ryckman, in November of 1975. Gustin and Ruckman met at the corporate offices of defendant in Whitefish, Montana. Ryckman advised Gustin that he was a real estate broker in Calgary, Alberta, Canada. Gustin agreed that defendant would sell a condominium unit to Ryckman and allow Ryckman a 6% discount, the same being the equivalent to a real estate commission. Ryckman inquired about an arrangement whereby he could be paid a commission for selling additional units to his Canadian friends. Gustin advised Ryckman that defendant intended to construct 16 additional condominium units on adjoining property. Questions were raised regarding Ryckman’s ability to broker condominium units in Canada and it was agreed that Ryckman, upon his return to Alberta, would discover the cost of registration in Canada. Subsequently, it was determined that it would cost approximately $25,000 to register for purposes of brokering the condominium units in Alberta. Gustin decided that this was an excessive cost. Ryckman testified that Gustin thereupon agreed to pay Ruckman a 6% fee “against the purchase price of my own unit for any prospective purchasers supplied by me who did in fact buy the unit.” Ryckman testified that Guistin assured him that this was legal under Montana law. The record does not indicate that Gustin agreed to pay a 6% real estate commission in cash.

There is support in the record to show that plaintiffs engaged in promotional activities which, either directly or indirectly, resulted in the sale of 14 condominium units. Defendant contends that some of the sales did not result from the plaintiffs’ efforts. However, the trial court found that all sales resulted from efforts by the plaintiffs and we are bound since there is “substantial credible evidence” in the record to support the finding. M.R.Civ.P., Rule 52.

On June 12,1977, Ryckman submitted a statement to Gustin setting forth the amount of claimed commissions owed by *158 defendant to plaintiff. Thereafter, Gustin advised Ryckman that he could not pay in cash and that he was willing to negotiate a settlement of the claim by offering to transfer “raw land” to the plaintiffs. Ultimately, negotiations terminated and this action was commenced.

The trial court held that the plaintiffs had standing to maintain the action, and that defendant, acting through Gustin, had committed a fraud upon the plaintiffs. Plaintiffs were awarded the full amount of damages claimed.

Dispositive issues on appeal are:

(1) Can the plaintiffs maintain this action for a 6% real estate commission or is such a claim barred by section 37-51-401, MCA?

(2) Is there “substantial credible evidence” of fraud which would support the trial court’s finding that a fraud had been committed?

(3) Is the plaintiffs’ claim barred by the statute of frauds, section 28-2-903, MCA?

(4) Do plaintiffs have an action premised upon constructive fraud?

PLAINTIFFS’ STANDING

Plaintiffs’ activities included (1) developing prospects for the purchase of defendant’s condominium units, (2) sending those persons to Whitefish, Montana, and (3) using plantiffs’ condominium unit for the purposes of entertaining prospects and showcasing defendant’s product. There is evidence in the record that plaintiffs were to be paid a 6% commission for performing these services. If no sales were made, plaintiffs were not to be paid.

Section 37-51-401, MCA, provides:

“Any person engaged in the business of or acting in the capacity of a real estate broker or real estate salesman within this state shall not be permitted to bring or maintain any action in the courts for the collection of compensation for the sale or lease or otherwise disposing of real estate without first alleging and proving that such person was a duly licensed real estate broker or real estate salesman or authorized to act as a broker under the provisions of this chapter at the time the alleged cause of action or claim arose.”

*159 We must define “real estate broker” and determine the applicability of section 37-51-401, MCA.

The term broker is defined in section 37-51-102(2), MCA, wherein it is said:

“‘broker’ includes an individual who for another or for a fee, commission, or other valuable consideration or who with the intent or expectation of receiving the same negotiates or attempts to negotiate the listing, sale, purchase, rental, exchange, or lease of real estate or of the improvements thereon or collects rents or attempts to collect rents or advertises or holds himself out as engaged in any of the foregoing activities. The term ‘broker’ also includes an individual employed by or on behalf of the owner or lessor of real estate to conduct the sale, leasing, subleasing, or other disposition thereof at a salary or for a fee, commission, or any other consideration. The term ‘broker’ also includes an individual who engages in the business of charging an advance fee or contracting for collection of a fee in connection with a contract by which he undertakes primarily to promote the sale, lease, or other disposition of real estate in this state through its listing in a publication issued primarily for this purpose or for referral of information concerning real estate to brokers, or both, and any person who aids, attempts, or offers to aid, for a fee, any person in locating or obtaining any real estate for purchase or lease.”

We hold that the activities performed by Ryckman fall within the language “attempts to negotiate the listing, sale, purchase, rental, exchange, or lease of real estate or of the improvements thereon.” The activities performed by Ryckman were typically those performed by a real estate broker in the promotion and sale of improved real estate. The clear intent of the statute is to govern such activities.

Section 37-51-401, MCA, bars a cause of action by a real estate broker seeking compensation for services performed “within the state.” Plaintiffs argue that all of their services were performed in Canada and were therefore not subject to regulation by the State of Montana. However, the record shows a different mode of operation.

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Cite This Page — Counsel Stack

Bluebook (online)
641 P.2d 467, 197 Mont. 154, 1982 Mont. LEXIS 742, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ryckman-v-wildwood-inc-mont-1982.