Smith v. Howard

322 P.2d 1034, 158 Cal. App. 2d 343, 1958 Cal. App. LEXIS 2374
CourtCalifornia Court of Appeal
DecidedMarch 12, 1958
DocketCiv. 22742
StatusPublished
Cited by7 cases

This text of 322 P.2d 1034 (Smith v. Howard) 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
Smith v. Howard, 322 P.2d 1034, 158 Cal. App. 2d 343, 1958 Cal. App. LEXIS 2374 (Cal. Ct. App. 1958).

Opinion

FOX, P. J.

This is an action for damages in three counts. The plaintiffs are: (1) a prospective purchaser of real property—Bernard Smith; and (2) a real estate broker—Vincent Reeves. There are several defendants, the principal of whom is Jack Howard, a real estate broker.

The first cause of action is stated by both plaintiffs. This cause of action claims damages arising from the breach of an alleged agency relationship between plaintiffs and defendant Howard, and damages arising out of a conspiracy among all defendants.

The second action is stated only by plaintiff Smith. It repeats the allegations of the first action and claims damages arising from defendant Howard’s negligent performance of his duties as agent.

The third cause of action is stated only by plaintiff Reeves. It repeats the allegations of the first action and claims that Reeves was deprived of a real estate commission because of the acts of defendants.

At the trial the court (sitting without a jury) directed the order of proof to the question of the agency relationship between defendant Jack Howard and plaintiffs. The court did not hear the complete evidence on any other question. After hearing the evidence on the agency question, the court ruled in favor of defendants. The court concluded that having found for defendants on this one issue, it would be unnecessary to find on any other issue. Accordingly, the court rendered judgment for defendants. Both plaintiffs have appealed.

The following is a brief summary of the facts in this case: On January 26, 1955, Jack Howard told several real estate brokers that he had received a call from defendant W. Ross Campbell Company informing him that certain property was being offered for sale at a price of $35,000 with $5,000 down subject to a first trust deed of $12,000 and a second trust deed for the balance. The next morning Jack Howard also told his mother about the property and she said she might be interested in buying it. Later that day (January 27) Reeves and Smith met Jack Howard at the property and Howard showed them through the house. Reeves described Howard as the broker *346 representing the W. Ross Campbell Company, who told him about the house. Thereafter, all three left the house and stood in the street, at which time Reeves told Howard that he thought Smith would take the house. Reeves then told Howard „to go to his (Howard’s) home, which was two doors away, and wait while he (Reeves) spoke to Smith and wrote up the deal. About 15 minutes later Reeves came to Howard with a deposit receipt naming Reeves as broker, and a check for $1,000 to the order of the Vincent Reeves Company. Howard then called the Campbell Company and told defendant Wyatt, who was his contact at that office, that he had an offer on the basis that Wyatt had suggested to him the previous day. He read Wyatt the terms stated on the deposit receipt and told Wyatt he would bring the offer to the office.

A discussion occurred between Reeves and Howard about commission and Howard stated he would attempt to negotiate a commission division of 40 percent to the W. Ross Campbell Company, 40 percent to Reeves, and 20 percent to Howard, which he stated he was willing to accept because he felt he had the smallest part in the deal.

Later Jack Howard spoke with his mother and she said she wanted to buy the property. He told her about his dealings with Reeves and Smith and said he had a duty to perform and had to deliver their offer. He said she could go ahead and make an offer if she wished but he could have nothing to do with it. Thereafter he took the check and deposit receipt to Mr. Wyatt, arriving at about 2:30 p.m. on the afternoon of January 27, and told him that Mr. Smith had a house for sale and could raise additional cash for a higher down payment “if it was important to the deal.” Wyatt then told Jack Howard that Mrs. Howard had telephoned and made an offer on the property. Howard returned home and later told Reeves that another offer had been made, but did not disclose that the offer was from his mother because of the embarrassing position he was in as go-between for Reeves’ client. Howard gave the deposit receipt and check back to Reeves, explaining that Wyatt had told him to hold the check and the offer since the owner had not accepted either offer. Howard told Reeves that there was nothing he could do, but Reeves could call Wyatt himself. Thereafter Reeves kept in contact with the W. Ross Campbell Company. It does not appear that Reeves ever made any statement to Wyatt that he could make a better offer or that Smith would pay more cash down.

Mrs. Richardson, the owner of the property, testified that *347 she told the W. Ross Campbell Company that she wanted to sell the property, but did not sign any papers nor state any terms nor execute any agency agreement. She merely set a price of $35,000. She was then called concerning an offer of $5,000 down with a first trust deed of $12,000 and a second trust deed of $18,000. She refused because she was not interested in taking a second trust deed in any event. She was later called concerning Mrs. Howard’s offer and was interested because no second trust deed was involved and the security offered was excellent, even though the cash down payment was less. Mrs. Richardson testified that she would rather have income than cash down, but she would never accept a second trust deed. When she came to the W. Ross Campbell Company office on January 31, she discussed only the offer by Mrs. Howard because she was still not interested in the other one, which involved a second trust deed. She accepted the Howard offer and signed the escrow papers that same day.

Plaintiffs’ principal contention on this appeal is that the evidence established as a matter of law that defendant Jack Howard was their agent or subagent. This contention is without merit since there is ample evidence in the record to support the contrary conclusion of the trial court. The difference between a middleman and an agent is explained in King v. Reed. 24 Cal.App. 229 [141 P. 41]. The court there stated at page 235 (quoting from Langford v. Issenhuth, 28 S.D. 451 [134 N.W. 889]): “A middleman is a broker whose duties are limited by his contract to finding and procuring a purchaser able, willing and ready to accept his client’s terms or to effect a transaction with his client in any terms satisfactory to both, the term ‘middleman’ being merely descriptive of the nature of the contract of employment, he being in no fiduciary relation to his principal nor under any obligation not to receive compensation from the opposite party to the transaction, while a broker [who is an agent], in addition to the duties of ‘middleman, ’ is employed to use discretionary authority for the benefit of his employer and to act for his best interests. ...” (See also Carothers v. Caine, 38 Cal.App. 71, 74 [175 P. 478].)

In Anderson v. Thacher, 76 Cal.App.2d 50 [172 P.2d 533], the court stated (p. 67): “A broker acts as middleman when his duty is simply to bring together two or more people who desire to exchange their property and whose entire duty is performed when he has brought the respective parties together.

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Bluebook (online)
322 P.2d 1034, 158 Cal. App. 2d 343, 1958 Cal. App. LEXIS 2374, Counsel Stack Legal Research, https://law.counselstack.com/opinion/smith-v-howard-calctapp-1958.