State Ex Rel. Real Estate Examining Board v. Gerhardt

159 N.W.2d 622, 39 Wis. 2d 701, 1968 Wisc. LEXIS 1030
CourtWisconsin Supreme Court
DecidedJune 28, 1968
Docket337
StatusPublished
Cited by24 cases

This text of 159 N.W.2d 622 (State Ex Rel. Real Estate Examining Board v. Gerhardt) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Ex Rel. Real Estate Examining Board v. Gerhardt, 159 N.W.2d 622, 39 Wis. 2d 701, 1968 Wisc. LEXIS 1030 (Wis. 1968).

Opinion

Hanley, J.

The following questions are raised on this appeal:

1. Is there lack of equal protection of the laws because the classification of persons excluded by sec. 136.01 (6), Stats., is unconstitutionally arbitrary and discriminatory;

2. Is there lack of due process because secs. 136.01 (2), 136.02 and 136.08 (la), Stats., are void for vagueness;

3. Is the finding that continuation of defendant’s activities might cause injury to the public interest supported by the great weight and clear preponderance of the evidence; and

4. Is there lack of due process if the Real Estate Examining Board is granted the injunctional relief provided for by sec. 136.08 (la), Stats., under the record in this case.

1. Discrimination.

The defendant’s first argument concerning the constitutionality of the licensing requirement is that it denies him the equal protection of the law as guaranteed, at least as against state action by the fourteenth amendment to the United States Constitution. Defendant points out that the statute defining a “real estate broker” (sec. 136.01) expressly excludes receivers, trustees, administrators, executors, guardians or other persons appointed by or acting under the judgment or order of any court, public officers performing their official duties, any bank, trust company, savings and loan association and land mortgage or farm loan association when they are engaged in the *708 transaction of business within the scope of their corporate powers, and any employees of the above when engaged in the specific performance of their duties. 2 He argues that to exclude attorneys from the class of persons so exempted is so arbitrary and unreasonable as to constitute the denial of equal protection.

The court has recently pointed out the purpose of ch. 136 of the statutes:

“Ch. 136, Stats., Real Estate Brokers’ Board, is a regulatory legislative enactment, under the police power, designed, primarily, to protect the interest of the general public. The history, as set out by the early cases, reveals that prior to the enactment of these regulatory statutes unscrupulous persons dealt in the buying and selling of real estate either for themselves or others in an unethical and fraudulent manner to such an extent that regulation, for the protection of the general public, became necessary.” 3

In Business Brokers Association v. McCauley, 4 the same class of persons exempted by sec. 136.01 (6), Stats., from the class of “real estate broker” were exempted from the class of “business-opportunity broker,” to which at that time pertained regulations separate and distinct from those governing real estate brokers. As to the purpose for such exemption the court stated the following.

“. . . It appears that all persons and corporations exempted under the terms of the Business Opportunity Brokers’ Statute are regulated by some other provision of the statutes relating to their particular class. . . . Manifestly the legislative intent was to exclude those *709 businesses which were different and which were already regulated.” 5

Defendant contends that attorneys as a class are well regulated, presumably through the supervisory control by the supreme court of the practice of law in this state, by the Canons of Professional Ethics, which are adopted as the rules of practice pursuant to Rule 9 of the State Bar Rules, and by other regulations. He further argues that it would be arbitrary to assume that although they are indeed regulated, they are less trustworthy or less knowledgeable about real estate law as a class than any of the exempted groups.

We think the defendant in making his argument fails to see that in addition to being independently regulated, the exempt class is engaged in buying and selling real estate only incidentally to some other purpose. Certain of their activities might have placed them in the class of “real estate broker” were it not for the exemption, but the legislature may have considered that in view of the incidental character of their involvement in real estate transactions and in view of their fiduciary capacity, they were unlikely to deal unscrupulously or in an unethical and fraudulent manner. Here, by hypothesis, it is the defendant’s intention to hold himself out as a real estate broker primarily for his own economic benefit and not as incidental to his law practice. Without in any way reflecting upon the integrity of attorneys, we cannot say that the legislature did not have the power to make the instant classification, based as it is on the weaknesses of human nature acting in its own self-interest.

The rule is that “. . . in the exercise of its police power to require licenses, a state may make any reasonable classification which it deems necessary to the police purpose intended to be attained by the legislation. . . .” 33 Am. Jur., Licenses, p. 353, sec. 30. “. . . the legisla *710 ture may, without denial of equal protection of the laws, classify businesses and occupations for purposes of regulation, provide different rules for different classes, limit a regulation to a particular kind of business, extend to some persons privileges denied to others, or impose restrictions on some but not on others, where the classification or discrimination is based on real differences in the subject matter and where the classification or the discrimination is reasonable, and the legislation affects alike all persons pursuing the same business under the same conditions.” 16A C. J. S., Constitutional Law, pp. 338, 339, sec. 510.

The discretion of the legislature in making these classifications is great. 6 The court is not required under the law to find a proper basis of classification, but the classification made by the legislature is presumed to be valid unless the court can say no state of facts can reasonably be conceived that would sustain it. 7

Five standards for proper classification were promulgated by this court in State ex rel. Ford Hopkins Co. v. Mayor, 8 and expanded in State ex rel. Baer v. Milwaukee. 9 They are:

“‘(1) All classification must be based upon substantial distinctions which make one class really different from another.
“ '(2) The classification adopted must be germane to the purpose of the law.
“ ‘ (3) The classification must not be based upon existing circumstances only. [The following sentence was added to No. 3 by State ex rel. Risch v. Trustees: “It must not be so constituted as to preclude addition to the numbers included within a class.”]

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Bluebook (online)
159 N.W.2d 622, 39 Wis. 2d 701, 1968 Wisc. LEXIS 1030, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-real-estate-examining-board-v-gerhardt-wis-1968.