Speck v. Anderson

318 N.W.2d 339, 1982 S.D. LEXIS 297
CourtSouth Dakota Supreme Court
DecidedApril 21, 1982
Docket13054
StatusPublished
Cited by25 cases

This text of 318 N.W.2d 339 (Speck v. Anderson) is published on Counsel Stack Legal Research, covering South Dakota Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Speck v. Anderson, 318 N.W.2d 339, 1982 S.D. LEXIS 297 (S.D. 1982).

Opinion

WOLLMAN Chief Justice (on reassignment).

This is an action for specific performance of an option agreement to purchase certain real estate. The trial court granted appellee’s motion for summary judgment. 1 We reverse and remand.

Appellants, Donald and Joan Speck (Specks), operate a farming and ranching operation in Buffalo County, South Dakota. George Anderson (appellee) is the only son of Howard and Wilma Anderson. As a young man, appellee left home and moved to California.

As he grew older and his wife’s health began to deteriorate, Howard Anderson became less interested in actively farming his 800 acres of grass and farm land. Accordingly, in 1972 he began renting this land to the Specks.

On December 8, 1976, Howard Anderson signed an agreement that gave the Specks until March 1, 1981, to exercise the right to purchase the 800 acres at $100 per acre.

Howard Anderson died testate on February 8, 1977. By the terms of his will, the land covered by the option was left to ap-pellee. The final decree of distribution was entered on June 19,1978. Wilma Anderson died on September 25, 1978. No claims were ever filed against either estate regarding the land covered by the option. It was not until October 31, 1978, that the option was filed for record in the office of the Buffalo County Register of Deeds.

On January 11, 1979, the Specks gave notice of acceptance of the option and made tender of the purchase price in full to appel-lee as successor in interest to Howard Anderson. Appellee refused to accept the tender and refused to deliver a deed to the Specks, whereupon the Specks commenced this action praying for specific performance of the option or, in the alternative, for $40,000 in compensation for services rendered in increasing the value of the land.

The first question raised by this appeal is whether the Specks were obligated to file a claim against the estate of Howard Anderson pursuant to SDCL 30-21-17 in order to preserve their right to enforce the option. SDCL 30-21-17 provides:

The time expressed in the notice to creditors for filing claims shall be two months after the first publication.
All claims arising upon contract whether the same be due, not due, or contingent, shall be filed within the time limited in the notice, and any claim not so filed is forever barred.

In Olsen v. First National Bank, 76 S.D. 605, 613, 83 N.W.2d 842, 847 (1957), this court held that the term “claims,” as used in SDCL 30-21-17, refers only to “debts or demands which are collectible from an estate by virtue of having been claims against the decedent in his lifetime.” See also Hirning v. Kurle, 54 S.D. 334, 223 N.W. 212 (1929). The purpose of the claims statute is to insure a timely arrangement for full or pro rata payment of claims during the course of administration. Olson v. Altemus, 77 S.D. 429, 93 N.W.2d 7 (1958); Fish v. De Laray, 8 S.D. 320, 66 N.W. 465 (1896).

In Estate of Randall v. McKibben, 191 N.W.2d 693 (Iowa 1971), the Supreme Court of Iowa held that a claim to recover specific property is not the type of claim that must be filed against a decedent’s estate.

Likewise, in Johnson v. Johnson, 87 Colo. 207, 286 P. 109 (1930), in holding that the *341 holder of an option to purchase corporate stock was not required to file a claim against the estate of the optionor, the Supreme Court of Colorado stated:

Defendant’s counsel contend that, as the plaintiff’s demand was not filed with the county court, it is barred by the statute of nonclaim, C.L. § 5331. So far as his rights against the defendant are concerned, it was not necessary for the plaintiff to assert his rights in the probate proceeding. He had an option — a right to purchase — that he did not exercise during the time the estate was being administered. He could have exercised his option while the estate was being administered, in which event he could have enforced the contract against the executor, assuming of course, that he exercised his option while it was still in force ... but he was not obliged to proceed in that way, and he chose not to do so.

286 P. at 111 (citation omitted).

In Newberger v. Rifkind, 28 Cal.App.3d 1070, 104 Cal.Rptr. 663 (1972), the plaintiffs sought to exercise stock options three years after the optionor’s death. The court, interpreting a statutory provision similar to SDCL 30-21-17, noted that the word “claim” refers to debts or demands that might have been enforced against the decedent during the decedent’s lifetime. The court then held that since the cause of action arose three years following the op-tionor’s death, the plaintiffs were not required to file a claim with the probate court.

In rejecting the contention that the vendee of a contract to convey real estate was obligated to file a claim against the estate of the deceased vendor, the Supreme Court of Wyoming made an extensive review of the case law on the issue in reaching its conclusion that such filing was unnecessary:

Counsel for appellant seem to contend that it was necessary for the plaintiff to file a claim with the administratrix of the estate of [the vendor] in connection with the contract here in question. The contention is not well taken. ... In Mix v. Yoakum, 200 Cal. 681, 254 P. 557, 558, the court said: “There is a clear distinction between the cause of action of one who claims specific property held and claimed by the estate adversely to the claimant and a cause of action founded upon a claim against the estate. In the one case the claimant is in no sense a creditor of the estate, and in the other he occupies the position of a creditor.” In the case of In re Bailey’s Estate, 42 Cal.App.2d 509, 109 P.2d 356, 357, the court after quoting from Mix v. Yoakum, supra, stated: “One who claims as his own specific property held by an estate cannot be called a creditor of the estate. [In re] Estate of Dutard, 147 Cal. 253, 81 P. 519; Newport v. Hatton, 195 Cal. 132, 231 P. 987. In an action against the executor of an estate to recover specific real property as the owner thereof it is not necessary to file a claim. Cohn v. Cohn, 100 Cal.App. 746, 281 P. 504.” To the same effect are In re Bank’s Estate, 80 Mont. 159, 260 P. 128; Johnson v. Johnson, 87 Colo. 207, 286 P.

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Cite This Page — Counsel Stack

Bluebook (online)
318 N.W.2d 339, 1982 S.D. LEXIS 297, Counsel Stack Legal Research, https://law.counselstack.com/opinion/speck-v-anderson-sd-1982.