State of California v. Superior Court

93 Cal. Rptr. 2d 276, 78 Cal. App. 4th 1019, 2000 Daily Journal DAR 2281, 2000 Cal. Daily Op. Serv. 1704, 2000 Cal. App. LEXIS 152
CourtCalifornia Court of Appeal
DecidedMarch 1, 2000
DocketE025472
StatusPublished
Cited by23 cases

This text of 93 Cal. Rptr. 2d 276 (State of California v. Superior Court) 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
State of California v. Superior Court, 93 Cal. Rptr. 2d 276, 78 Cal. App. 4th 1019, 2000 Daily Journal DAR 2281, 2000 Cal. Daily Op. Serv. 1704, 2000 Cal. App. LEXIS 152 (Cal. Ct. App. 2000).

Opinion

*1022 Opinion

McKINSTER, J.

In this matter we are asked to determine whether or not the State of California (hereinafter State or petitioner) owns all of the groundwater present under the surface of the State. We conclude that it does, but that its “ownership” is not necessarily such as to trigger an “owned property” exclusion in a policy of liability insurance. Accordingly, we set aside the trial court’s ruling that the “owned property” exclusion applies, and remand for further proceedings on the question.

This action has its genesis in the State’s maintenance and/or operation of a toxic waste facility commonly known as the Stringfellow Acid Pits. In related litigation, the State has been found liable for massive damages related to environmental cleanup costs. In the hope of covering these enormous expenses, the State has turned to real parties in interest, the issuers of various insurance policies arguably covering the State’s liability. Real parties in interest have balked. In the instant litigation, the State seeks declaratory relief with respect to the insurers’ duties to defend and indemnify it in the related actions, and also seeks damages based on a number of versions of breach of the implied covenant of good faith and fair dealing.

Due to the complexity of the matter, the litigation has been divided into four parts. The first part, or phase I, involved “policy prove-up issues.” That phase is not involved here. In phase II, the court was to address the “legal interpretation of key provisions of the policies, separate from the application of the facts of this claim.” Phase III would consider the application of the facts of this case to the policies, and phase IV, if necessary, would address, inter alia, issues of bad faith and damages. It is phase II with which we are concerned here.

To be more specific, the particular policy provisions in question in this petition are what are customarily referred to as “owned property exclusions.” By means of such exclusions, the insurer notifies the insured that the insurer will not pay for loss or damage to property owned by the insured. 1 By way of example, a policy of automobile liability insurance will commonly contain such an exclusion, which means that if the insured’s own car is damaged, the insurer will not pay. If, in contrast, the owner also procures collision and comprehensive coverage, these coverages will apply to the insured’s own vehicle and no “owned property” exclusion is appropriate.

*1023 In 1998, after hearing, the trial court proposed to issue an order in phase II which would have found that the “owned property” exclusion did not apply because the groundwater, claimed to have been contaminated due to the operation of the Stringfellow Acid Pits, did not belong to the State. However, before the court finalized this tentative ruling, real parties in interest sought leave to present additional argument and authorities on the issue, and a new round of hearings and briefing took place. In short, real parties in interest this time convinced the trial court that the “owned property” exclusion was not ambiguous and did apply. 2 It is this ruling that the State assigns as error. 3

Discussion

We will first consider the statutory and other authorities which tend to lead to a conclusion that the State does own the groundwater. We will then move to those authorities which might produce a contrary result. Finally, we will deal with the effect of recent pronouncements by our Supreme Court that, taken on their face, appear to dispose of the question.

The State Owns the Groundwater

Several statutes, one in the Water Code and two in the Civil Code, support ■ the ruling of the trial court and the argument of real parties in interest. First, Water Code section 102, enacted in 1943, provides that “All water within the State is the property of the people of the State, but the right to the use of water may be acquired by appropriation in the manner provided by law.” Civil Code sections 669 and 670 together provide that “All property has an owner’’ and “[t]he State is the owner . . . of all property of which there is no other owner.” Thus, runs the argument proposed by real parties in interest, the People of the State own the groundwater involved in this case under the Water Code; furthermore, even without this provision, the State must be held to be the owner by default, as individuals cannot own such water.

The latter part of the proposition is certainly correct, as there is no private ownership of ground or flowing water—a subject to which we will return. Furthermore, the language of the Water Code provision appears to be plain and unequivocal.

However, the matter is not as simple as it seems at first blush. The State responds to this apparently conclusive authority by arguing that the Civil *1024 Code concept of ownership does not apply to groundwater and that the Water Code provision quoted above does not establish a proprietary interest, but expresses more of a philosophical view. Authorities of substantial weight support this position.

The State Does Not Own the Groundwater

The first point to make is that modem water law focuses on the concept of water rights rather than water ownership. (1 Waters and Water Rights (1991 ed.) § 4.01, p. 65.) 4 Most notably in the western states, water rights, in turn, are frequently tied to water use. Most commonly, a condition to the right to use 5 is that the use be beneficial. Such an approach was essential for the economic and social development of regions where the natural rainfall was either unreliable or routinely inadequate to support the fertility and profitable agriculture otherwise promised by the climate and the soil. (See Katz v. Walkinshaw (1902) 141 Cal. 116, 124-127 [74 P. 766], for a discussion of the conditions that prompted the reasonable or beneficial use doctrine.)

This state initially recognized both riparian and appropriative rights with respect to both surface water and groundwater. (Lux v. Haggin (1886) 69 Cal. 255 [10 P. 674], passim; Katz v. Walkinshaw, supra, 141 Cal. at p. 150.) Although the Supreme Court held in Herminghaus v. Southern California Edison Co. (1926) 200 Cal. 81, 105 [252 P. 607] that a riparian owner was entitled to the entire flow as against an appropriator, without regard to reasonableness, two years later this was qualified by the predecessor to section 2 of article X of the California Constitution.

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93 Cal. Rptr. 2d 276, 78 Cal. App. 4th 1019, 2000 Daily Journal DAR 2281, 2000 Cal. Daily Op. Serv. 1704, 2000 Cal. App. LEXIS 152, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-of-california-v-superior-court-calctapp-2000.