Scott v. Security Title Insurance & Guarantee Co.

72 P.2d 143, 9 Cal. 2d 606, 117 A.L.R. 1049, 1937 Cal. LEXIS 434
CourtCalifornia Supreme Court
DecidedSeptember 28, 1937
DocketL. A. 16216
StatusPublished
Cited by16 cases

This text of 72 P.2d 143 (Scott v. Security Title Insurance & Guarantee Co.) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Scott v. Security Title Insurance & Guarantee Co., 72 P.2d 143, 9 Cal. 2d 606, 117 A.L.R. 1049, 1937 Cal. LEXIS 434 (Cal. 1937).

Opinion

NOURSB, J., pro tem.

The above entitled cause was transferred to this court after decision by the District Court of Appeal of the Fourth Appellate District, and upon further consideration of the issue involved therein we adopt the opinion of that court written by Mr. Justice Marks, reading as follows:

“This is an appeal from a judgment entered after a demurrer to the complaint was sustained without leave to amend. Plaintiffs also attempt to appeal from the order sustaining the demurrer which is not appealable. (Sec. 963, Code Civ. Proc.)
“The material allegations of the complaint may be thus summarized:
“That on March 22, 1928, L. T. Edwards and his wife were the owners of real property in Imperial county which they sold to T. E. and Jessie A. Topham; that Mr. and Mrs. Topham executed to G. C. Lord their promissory note' for $5,000, dated March 13, 1928, due on or before three years, with interest at seven per cent per annum, payable semiannually. As security for the payment of the principal and interest on the note and taxes on the property, Mr. and Mrs. Topham executed a trust deed on the real property with defendant named as trustee and G. C. Lord as beneficiary. At the time of the execution of the deed of trust defendant in writing accepted the terms and conditions of said trust deed and the trust therein imposed and accepted all of the terms and conditions set forth and contained in said deed of trust and, among other things, agreed that upon the existence of any default in the terms and conditions of said promissory note, and/or trust deed, and upon instructions of said beneficiary or the successor in interest of said beneficiary G. C. Lord, the said defendant would duly and properly and in the manner provided in said trust deed and according to law sell and cause to be sold said real property to the highest and best bidder and that having once been instructed to so sell and exhaust said property as security, that the said defendant company would do and perform all things necessary *609 to be done in conjunction therewith to cause a legal sale of the same to be made and had and to the highest and best bidder, with reasonable diligence and to do and perform all things necessary to make and cause the legal sale of the same to be had in accordance with the terms of said deed of trust and as provided by law. ’ About April 24, 1928, Topham and wife sold the real propert) to plaintiffs subject to the deed of trust and debt which they assumed and agreed to pay. About February 15, 1929, plaintiffs sold the property to Margaret M. King subject to the deed of trust and debt which she did not assume and agree to pay. Subsequently Margaret M. King sold the property to others than plaintiffs. On February 11, 1930, there existed a default in the payments to be made on the promissory note and Edwards duly executed and caused to be recorded a declaration of such default. On September 17, 1930, Edwards executed and recorded a second declaration of default in which he declared the full amount of principal and interest due and payable because of default in interest payments. Both declarations of default were prepared and caused to be recorded at the instance and request of Edwards. Immediately after the recordation of the second declaration of default Edwards authorized and directed defendant to sell the property in the manner provided by law and as soon as could be lawfully accomplished. Defendant published notice of sale of the property, and on February 7, 1931, offered it for sale and received bids the highest of which was $5,001 offered by Edwards. All bids were rejected and on March 24, 1931, defendant instituted an action in the superior court of Imperial county to determine the validity of the purported sale. That court held that there had been no sale for the reason that defendant had failed to post, or cause to be posted, any notice of sale on the property. In April, 1932, defendant again caused the property to be offered for sale and on April 11, the property was sold to Frank Wilson for $200. Immediately thereafter Edwards demanded payment of the deficiency from Topham and wife and they demanded payment from plaintiffs who paid the deficiency amounting to $5,973 on May 4, 1932. Had the property been sold on February 7, 1931, it would have brought a sufficient amount to have paid all sums unpaid on the note secured by the deed of trust and plaintiffs would not have been com *610 pelled to pay any deficiency. Between February 7, 1931, when the property was first offered for sale, and April 11, 1932, when it was sold, ‘the value of said property decreased and diminished and taxes accumulated upon said property so that the said property was worth only a nominal sum’. That by reason of the failure of ‘ defendant to comply with the terms and conditions of the trust which it accepted at the time of making said deed of trust, these plaintiffs have been damaged to the amount and extent of the deficiency they were required to pay and did pay’. Demand was made by plaintiffs on defendant for the deficiency, and upon the refusal of defendant to repay plaintiffs this action was brought to recover the amount paid by them.
“The complaint was filed June 15, 1934, more than three years after the property was first offered for sale. Defendant demurred generally and also on the ground that the cause of action was barred by the statute of limitations.
“Plaintiffs state that their cause of action is based on breach of the contract of defendant to sell the property in the manner provided by law, pointing out that it did not post on the property a notice of the first sale. They urge that this constituted such a negligent breach of its contractual duty as would give them a cause of action for the damages suffered by them, namely, the amount of the deficiency. They rely upon the following authorities as supporting their theory: Meath v. Porter, 9 Heisk. (56 Tenn.) 224; Lowell v. North, 4 Minn. 32 (Gil. 15); Sherwood v. Saxton, 63 Mo. 78, and Melick v. Voorhees, 24 N. J. Eq. 305.
“In the case of Meath v. Porter, supra, action was brought to vacate a trustee’s foreclosure sale under the power in a mortgage which sale was made in the absence and without the knowledge of the mortgagor who tendered the amount of the debt. The sale was set aside because the court felt that it was tainted with fraud.
“It appears in the ease of Lowell v. North, supra, that a trustee had sold property, for a sum much less than its reasonable market value, at a trustee’s sale held without having given the required notice of sale. Suit was brought to recover a deficiency and the judgment in favor of the creditor was reversed on appeal, the Supreme Court of Minnesota remarking that the price bid was less than the property should have been sold for had the sale been ‘ made fairly and in good faith’.
*611 “The case of Sherwood v. Saxton, supra, involved what amounted to fraud and collusion on the part of the trustee in selling incumbered property. At the sale the trustee accepted a

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Bluebook (online)
72 P.2d 143, 9 Cal. 2d 606, 117 A.L.R. 1049, 1937 Cal. LEXIS 434, Counsel Stack Legal Research, https://law.counselstack.com/opinion/scott-v-security-title-insurance-guarantee-co-cal-1937.