Stromer v. City of Yuba City

225 Cal. App. 2d 286, 37 Cal. Rptr. 240, 1964 Cal. App. LEXIS 1375
CourtCalifornia Court of Appeal
DecidedMarch 3, 1964
DocketCiv. 10598
StatusPublished
Cited by9 cases

This text of 225 Cal. App. 2d 286 (Stromer v. City of Yuba City) 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
Stromer v. City of Yuba City, 225 Cal. App. 2d 286, 37 Cal. Rptr. 240, 1964 Cal. App. LEXIS 1375 (Cal. Ct. App. 1964).

Opinion

PIERCE, P. J.

Plaintiff refused to amend after an order sustaining a general demurrer to his complaint and appeals from the judgment of dismissal following such refusal.

The sole question presented is: Does a plaintiff real estate broker claiming damages for a commission lost from the canceled sale of an orchard, said cancellation having occurred because defendant negligently cut prune trees, belong to a class to which such defendant owes a duty of care ? Both on binding precedent and reason we are compelled to answer this question in the negative.

The essential allegations of the complaint are: that plaintiff and two others owned real property (a prune orchard) near the defendant city's sewage ponds; that plaintiff, who is also a licensed real estate broker, was employed by his coowners to find a purchaser for said orchard. He did so and the deal had reached agreement with escrow instructions given by both sellers and buyers to a title insurance company containing all of the terms and conditions of the sale. Before the deal was closed, however, defendant city “did unlawfully and wrongfully enter upon said real property and did wrongfully destroy over 100 prune trees on said real property and damaged said real property.” The buyer, as a result, canceled said agreement, causing plaintiff to lose his agreed- *288 upon real estate commission in the sum of $12,375. A second count pleads more specifically that destruction of the trees was caused by the negligent operations of a bulldozer by defendant city and its defendant employee.

Plaintiff’s brief, recognizing that his right is predicated upon the law of torts and the principle “that no person has the right to destroy the business or trade of another or interfere with the contractual relations of another ... ” then frankly states: “The problem in the present instance is whether appellant has successfully alleged the elements necessary to a cause of action. One of the elements that the courts have required is that the defendant had knowledge of the existence of the contract and intended to induce a breach thereof. (Imperial Ice Co. v. Rossier, 18 Cal.2d 33, 37 [112 P.2d 831].) In the present case appellant does not allege that the defendants had knowledge of his contract with the property owners. Appellant urges this court to find that the requirement of knowledge of the existence of the contract be eliminated in a situation such as the present one. ’ ’

The California Supreme Court as recently as 1960 in Fifield Manor v. Finston, 54 Cal.2d 632 [7 Cal.Rptr. 377, 354 P.2d 1073, 78 A.L.R.2d 813], has refused to allow recovery under such circumstances. In that case plaintiff had a life-care contract with one Ross, obligating plaintiff to furnish him with medical care. Ross suffered personal injuries due to defendant’s negligence (and later died); plaintiff’s outlay for medical care was $6,250, which it sought to recover from defendant. The Supreme Court (per Justice Dooling), denying recovery, recognized a rule of liability for an intentional interference with a contract, but stated (on p. 636) : “. . . [T]he courts have quite consistently refused to recognize a cause of action based on negligent, as opposed to intentional, conduct which interferes with the performance of a contract between third parties or renders its performance more expensive or burdensome.”

The rule has been criticized. Justice Dooling’s opinion in Fifield Manor cites Prosser on Torts (2d ed.) pages 723, 729, 732-733. That author states (on p. 733): “ [I]t seems . . . likely that the courts are deliberately refusing to protect any contract against negligence, influenced by fear of an undue burden upon freedom of action, the relative severity of the penalty which may be imposed upon mere negligence, the possibility of collusive claims and increased litigation, and the difficulty of apportioning damages. ”

*289 And Dean Prosser then observes: “If this is true, the question may at least be raised whether such a policy is not too narrow, and whether, as in the somewhat analogous case of the liability of the contractor himself to third parties, the law may not be expected to move in the future in the direction of recovery by those whose damages are foreseeable by the actor.

“There is actually, however, very little looking even vaguely in this direction.”

Plaintiff argues that Fifield Manor can be distinguished. He states: “There was [here] no negligent interference with the contract relation.” Plaintiff’s meaning is unclear to us. Alleged interference by the city with the broker’s contractual right to a commission is clearly pleaded. There is, however, a circumstance in Fifield Manor, not present here, which made the result reached unquestionably a more equitable one. There the tortfeasor would have been liable to Boss’s estate for these medical expenses (see Civ. Code, § 956, then in effect, now in Prob. Code, § 573) and to have permitted Fifield Manor to recover would have been to make the tortfeasor liable for double damages. (1 Harper & James, The Law of Torts, § 6.10, p. 506.)

The Fifield Manor decision, however, did not rest upon this inequity. It broadly states the rule that there is no liability for a negligent interference with the performance of contracts between third persons. We are bound by that decision. “It is not for us to inquire what the law ought to be when the Supreme Court has emphatically informed us what the law is.” (Orange County Water Dist. v. City of Riverside, 173 Cal.App.2d 137, 165 [343 P.2d 450].)

We are, moreover, far from being convinced that, in actions of the type before us, the policy rule should be changed. Although a denial of liability for tortious interference with contractual rights is sometimes placed upon the ground that the injury is too “remote,” or “indirect,” “terms commonly used to denote lack of proximate causation” (see 23 Cal.L.Rev. p. 421), the question really to be answered is one of legal duty. In extending or refusing to extend the doctrine of negligent interference courts are really exercising their task of delimiting a duty of care, a task which frequently arises in accidents involving some unusual relationship between plaintiff and defendant. This is a matter of a fixing of the law’s policy. Criteria, rather than rules, have emerged as guidelines in the determination of the *290 existence of the duty of care (without which no tort liability exists) in recent California Supreme Court cases (Richards v. Stanley, 43 Cal.2d 60, 63 [271 P.2d 23]; Biakanja v. Irving, 49 Cal.2d 647 [320 P.2d 16, 65 A.L.R. 1358]; Amaya v. Home Ice, Fuel & Supply Co., 59 Cal.2d 295 [29 Cal.Rptr.

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Bluebook (online)
225 Cal. App. 2d 286, 37 Cal. Rptr. 240, 1964 Cal. App. LEXIS 1375, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stromer-v-city-of-yuba-city-calctapp-1964.