Opinion
AARON, J.—
I.
INTRODUCTION
The case involves a dispute over the ownership of certain real property (the Property) between appellant Scott Walters (Scott), as the administrator of the estate of his father, Randy Walters (Randy), and Randy’s former girlfriend, respondent Valerie A. Boosinger. A 2003 deed named Randy and Boosinger as owners in joint tenancy of the Property. Upon Randy’s death in 2013,
Boosinger claimed sole ownership of the Property as the surviving joint tenant.
Scott brought a quiet title claim premised on the theory that the grant deed was void
ah initio.
We reject Scott’s claim on appeal that such a claim may be brought “at any time.” We conclude that the claim is subject to a statute of limitation and that Scott has failed to demonstrate that the trial court erred in concluding that his quiet title cause of action is time-barred.
Scott also contends that he properly stated a claim for quiet title premised on the alternative theory that Randy and Boosinger severed their joint tenancy in the Property prior to Randy’s death. We conclude that Scott failed to sufficiently allege facts demonstrating such severance and that he has not demonstrated that he could amend his complaint to properly allege a severance of the joint tenancy. Accordingly, we conclude that Scott has not properly stated a quiet title claim pursuant to this alternative theory.
II.
FACTUAL AND PROCEDURAL BACKGROUND
A.
Proceedings related to Randy’s original
complaint
Randy filed the original complaint in this action against Boosinger in April 2013. In his complaint, Randy brought a single cause of action for partition. Randy alleged that he owned a 66.7 percent interest in the Property and that Boosinger owned a 33.3 percent interest. Randy requested that the court require Boosinger to purchase Randy’s interest in the Property or conduct a forced sale of the Property in order to liquidate Randy’s interest.
After Boosinger filed her initial answer to the complaint, Randy died. The trial court thereafter granted Scott’s motion to be substituted into the case as the named plaintiff.
Boosinger filed an amended answer and a cross-complaint. In her cross-complaint, Boosinger alleged that the parties owned the Property as joint tenants pursuant to a February 2003 deed, and that upon Randy’s death, the Property passed to Boosinger through her right of survivorship. Boosinger also filed a motion for judgment on the pleadings. In a supporting brief,
Boosinger argued that because Randy and Boosinger owned the Property as joint tenants, the Property automatically transferred to Boosinger pursuant to her right of survivorship upon Randy’s death. Accordingly, Boosinger contended that Scott had no ownership interest in the Property upon which to bring a partition claim. Boosinger also requested that the court take judicial notice of the 2003 grant deed reflecting Randy and Boosinger’s ownership of the Property as joint tenants.
The trial court granted Boosinger’s request for judicial notice and her motion for judgment on the pleadings, with leave to amend. In its order, the court stated that ‘“[t]o the extent [Scott] asserts that there was no joint tenancy and/or the joint tenancy was severed, no such facts are alleged in the complaint.” The court granted Scott leave to amend the complaint in order ‘“to allege facts supporting a right to relief with respect to the . . . [Property].”
B.
Scott’s first amended complaint
Scott filed a first amended complaint in which he brought claims for quiet title and partition. In his quiet title cause of action, Scott alleged that Randy and Boosinger purchased the Property as tenants in common in 1997, with Randy obtaining a 66.7 percent interest in the Property based upon his larger down payment and an agreement with Boosinger.
Scott acknowledged the existence of a 2003 grant deed for the Property that was recorded as a result of Randy and Boosinger’s decision to refinance a loan on the Property. The 2003 deed, which Scott attached to his first amended complaint, grants ownership of the Property from “[Randy], an Unmarried Man as to an undivided 2/3 interest, and [Boosinger], a Single Woman as to an Undivided 1/3 interest as tenants in common,” to “[Randy], an Unmarried Man and [Boosinger], a Single Woman
as Joint
Tenants.” (Italics added.)
Despite the language in the 2003 deed, Scott alleged that Randy and Boosinger never owned the Property as joint tenants. In support of this allegation, Scott alleged that Randy never intended to create a joint tenancy with Boosinger. In addition, Scott alleged that Boosinger’s friend, Susan O’Connor, who served as the broker’s representative in connection with the 2003 refinancing, “breached her duty to Randy . . . because [she] knew, or should have known, that Randy . . . was chemically dependent and an alcoholic during the 2003 refinancing process.” Scott alleged that O’Connor failed to ensure that Randy understood the nature of the documents that he signed in connection with the refinance. Scott contended that Randy had not intended to create the joint tenancy and that the “purported conveyance of ownership and transfer into a joint tenancy [was] void.”
Alternatively, as discussed in greater detail in part III.B,
post,
Scott alleged that, if the joint tenancy had been created, Randy unilaterally severed the joint tenancy by way of the filing of the original complaint in this action, or that Randy and Boosinger jointly severed the joint tenancy through the combined operation of Randy’s filing of the initial complaint and Boosinger’s filing of an answer.
Scott further alleged that, upon Randy’s death, Randy’s two-thirds interest in the Property had passed to Randy’s estate to be probated by Scott as the administrator of Randy’s estate.
In his partition cause of action, Scott requested that Boosinger either purchase Scott’s two-third’s interest in the Property or that a forced sale of the Property be held such that Scott’s interest would be liquidated.
C.
Boosinger’s demurrer to the first amended complaint
Boosinger demurred to both claims in the first amended complaint. In a supporting brief, with respect to Scott’s claim for quiet title, Boosinger argued that any claim that the joint tenancy was void was barred by the statute of limitations. In support of this contention, Boosinger argued that Scott’s claim was premised on “[Randy’s] mistake or fraud in getting him to sign a grant deed conveying the Property to himself and Boosinger as Joint Tenants,” and thus, the three-year statute of limitations contained in section 338, subdivision (d) applied to Scott’s claim. (See Code Civ. Proc., § 338, subd. (d) [providing a three-year statute of limitation for “[a]n action for relief on the ground of fraud or mistake”].) Boosinger contended that Scott’s cause of action had accrued no later than April 2007 when judicially noticeable documents demonstrated that Randy had actual notice “that Boosinger claimed half of the Property as joint owner, a fact which [Randy] disputed.”
(See
ibid.
[“The cause of action in that case is not deemed to have accrued until the discovery, by the aggrieved party, of the facts constituting the fraud or mistake”].) Boosinger claimed that the statute barred Scott’s quiet title claim premised on the theory that the 2003 deed was void because the claim had not been brought prior to April 2010.
Boosinger also argued that Scott had not adequately stated a quiet title claim premised on the theory that the joint tenancy had been severed by virtue of the parties’ filing of the pleadings in the action. Finally, Boosinger maintained that Scott could not properly state a cause of action for partition because he had no interest in the Property.
D.
Scott’s opposition
Scott filed an opposition brief in which he argued, among other contentions, that the 2003 grant deed was void
ab initio
and that “[a] three[-]year statute of limitations does not apply.” Scott argued, in the alternative, that the parties had jointly severed any joint tenancy through the filing of their pleadings in this case.
E.
The tried court’s ruling on the demurrer
After further briefing and a hearing, the trial court sustained Boosinger’s demurrer to Scott’s quiet title cause of action on the ground that the claim is barred by the three-year statute of limitations in Code of Civil Procedure section 338. The court reasoned in part: ‘“In this case, the theory of relief sought by [Scott], despite his protestations, is fraud. Therefore, the three[]year statute of limitations set forth in [Code of Civil Procedure section] 338 [applies]. [Citation.] [Scott] alleges his father was defrauded into signing a grant deed naming the owners as joint tenants instead of tenants in common. [Citation.] However, [Randy] became aware [Boosinger] was claiming a joint interest in the [Property as of 2007. Based upon [Boosinger’s] request for a domestic violence TRO and [Randy’s] response, it is clear [Randy] was aware [Boosinger] was claiming an equal and joint interest in the [Property. [Citation.] Since [Randy] was aware in 2003[
] of [Boosinger’s] adverse claim arising from alleged fraud, the three [-] year statute of limitations applies. Further, since [Scott] failed to file his complaint within the three-year period, the statute of limitations bars his claim.”
The trial court also sustained Boosinger’s demurrer to Scott’s cause of action for partition on the ground that Scott had no interest in the Property after the death of Randy. In its order, the trial court granted all of the parties’ requests for judicial notice.
Thereafter, the court entered a written order sustaining the demurrer to the first amended complaint without leave to amend and dismissing the complaint.
F.
The cippecd
Scott timely appeals from the order of dismissal.
III.
DISCUSSION
A.
The trial court did not err in concluding that Scott’s quiet title claim is time-barred insofar as the claim is premised on the theory that the 2003 grant deed is void
ab initio
Scott claims that the trial court erred in determining that his quiet title claim is time-barred. In support of this claim, Scott contends that a quiet title claim based on the theory that a deed is void
ah initio
is not subject to
any
statute of limitation and that “an action thereon can be brought at
any
time.” (Italics added.)
Scott’s claim raises a question of law that we review de novo. (See
McLeod v. Vista Unified School Dist.
(2008) 158 Cal.App.4th 1156, 1164 [71 Cal.Rptr.3d 109] [“The determination of the statute of limitations applicable to a cause of action is a question of law we review independently”].)
In
Salazar
v.
Thomas
(2015) 236 Cal.App.4th 467, 476-77 [186 Cal.Rptr.3d 689], the court outlined the following general principles of law that govern the determination of the statute of limitations for a quiet title action: “The Legislature has not established a specific statute of limitations for actions to quiet title. [Citation.] Therefore, courts refer to the underlying theory of relief to determine the applicable period of limitations. [Citations.] An inquiry into the underlying theory requires the court to identify the nature (i.e., the ‘gravamen’) of the cause of action. [Citation.] [¶] Generally, the most likely time limits for a quiet title action are the five-year limitations period for adverse possession,[
] the four-year limitations period for the cancellation of an instrument, or the three-year limitations period for claims based on fraud and mistake.” (Fns. omitted.)
Courts have also concluded that an action to cancel a deed on the ground that the deed is void is subject to a statute of limitations. In
Robertson v. Superior Court
(2001) 90 Cal.App.4th 1319 [109 Cal.Rptr.2d
650]
(Robertson),
the court considered the validity of a decision,
Hironymous
v.
Hiatt
(1921) 52 Cal.App. 727, 736 [199 P. 850]
(Hiatt),
in which the court stated that “ ‘an action to cancel a wholly void instrument can be brought at any time.’ ”
(Robertson, supra,
at p. 1324, citing
Hiatt, supra,
at p. 736.) The
Robertson
court concluded that “[t]he
Hiatt
court’s view of things is especially inappropriate when applied, as here, to actions involving the title to or possession of real property.”
(Robertson,
at p. 1327.)
In
Robertson,
the plaintiff filed a first amended complaint in 2000 requesting that the court declare void, pursuant to Civil Code section 3412,
a 1949 quitclaim deed executed by his mother, on the ground that she was mentally incompetent at the time she executed the deed.
(Robertson, supra,
90 Cal.App.4th at p. 1321.)
The defendant demurred to the claim on the ground that the statute of limitations barred the plaintiffs claim.
(Ibid.)
The trial court overruled the defendant’s demurrer, ruling that an action to ‘“cancel ‘a wholly void instrument can be brought at any time,’ i.e., is not subject to any statute of limitations.”
(Ibid.)
The
Robertson
court granted the defendant’s petition for writ of mandate and directed the trial court to vacate its order overruling the demurrer and to enter an order sustaining the demurrer.
(Id.
at p. 1329.)
The
Robertson
court concluded that the
Hiatt
court was ‘“flatly wrong”
(Robertson, supra,
90 Cal.App.4th at p. 1326) in concluding that there was no applicable statute of limitations to an action to cancel an instrument as being ‘“wholly void.”
(Robertson, supra,
at p. 1324.) The
Robertson
court reasoned: ‘“In
Moss
v.
Moss
(1942) 20 Cal.2d 640 [128 P.2d 526]
(Moss),
the plaintiff sued for a declaratory judgment that a decade-old property settlement agreement between him and his former wife, along with a later modification of it, were void as against public policy (because conditioned upon an agreement to secure a divorce). The trial court denied relief, principally upon the ground that the plaintiff was in pari delicto and the Supreme Court found no abuse of discretion in that ruling. But the plaintiff also argued on appeal that ‘the complaint also alleges facts stating a cause of action for cancellation of the agreement.’
(Id.
at p. 644.) As to this claim, however, our Supreme Court held that the four-year limitations period of section 343 of the Code of Civil
Procedure applied.[
] Citing a broad range of cases, including actions to set aside a deed made under undue influence, a proceeding to set aside a satisfaction of judgment, and actions to set aside void bonds, the court concluded: ‘Although plaintiff contends that laches and lapse of time cannot be defenses in an action to cancel an instrument void because contrary to public policy . . . equitable factors . . . may not be used as a means of avoiding the express mandate of the statute of limitations. We must hold, therefore, that if plaintiff had a cause of action for cancellation, it is now barred by section 343 . . . .’ (20 Cal.2d at p. 645.)” (Robertson, at p. 1326, fn. omitted.)
The
Roberston
court noted that numerous courts had reached similar results: “Three years after
Moss
was decided, Division One of this district relied on it in an action expressly brought under Civil Code section 3412, ruling: ‘Ordinarily a suit to set aside and cancel a void instrument is governed by section 343 of the Code of Civil Procedure.’
(Zakaessian v. Zakaessian
(1945) 70 Cal.App.2d 721, 725 [161 P.2d 677] (Zakaessian); see also, to the same effect,
Trubody
v.
Trubody
(1902) 137 Cal. 172, 173 [69 P. 968];
Wade
v.
Busby
(1944) 66 Csd.App.2d 700, 702 [152 P.2d 754];
Estate of Pieper
(1964) 224 Cal.App.2d 670, 688-689 [37 Cal.Rptr. 46]; cf.
Leeper
v.
Beltrami
(1959) 53 Cal.2d 195, 212-213 [1 Cal.Rptr. 12, 347 P.2d 12].) The only exception to this rule, the
Zakaessian
court indicated, would be as and when fraud or mistake were involved, in which case the three-year period of [Code of Civil Procedure] section 338, [former] subdivision (4) would apply.
(Zakaessian, supra,
70 Cal.App.2d at p. 725.)[
] In short, if there were ever any merit to the position that there is no limitations period for actions brought under Civil Code section 3412 to declare an instrument void, post-Moss and
Zakaessian
there certainly is none.”
(Robertson, supra,
90 Cal.App.4th at pp. 1326-1327; accord,
Marin Healthcare Dist. v. Sutter Health
(2002) 103 Cal.App.4th 861, 879 [127 Cal.Rptr.2d 113] [citing
Zakaessian,
among other cases, and stating, “Nor does the fact that the contracts are claimed void avoid the statute of limitations. Actions to void contracts are nonetheless subject to the statute of limitations”].)
Scott does not cite
Robertson,
nor any of the case law that it addresses, in his brief. Scoh does cite
Costa Serena Owners Coalition v. Costa Serena Architectural Com.
(2009) 175 Cal.App.4th 1175 [97 Cal.Rptr.3d 170]
(Costa
Serena) and
Erickson
v.
Bohne
(1955) 130 Cal.App.2d 553 [279 P.2d 619]
(Erickson),
in support of his contention that a quiet title claim based on the
theory that a deed is void
ab initio
is not subject to
any
statute of limitation. For the reasons discussed below, we conclude that the portions of
Costa Serena
and
Erickson
on which Scott relies constitute dicta that should not be followed.
In
Costa Serena,
this court considered whether a party’s challenge to certain amendments to the declarations of restrictions governing a real estate development were timely.
(Costa Serena, supra,
175 Cal.App.4th at pp. 1191-1197.) In discussing the distinction between instruments that were void
ab initio
and those that were merely
voidable,
we quoted the following passage from
Erickson, supra,
130 Cal.App.2d at p. 556: “ ‘ ‘“[T]he courts distinguish between those cases in which a purported instrument never had any legal inception or existence—due to the fact that one party was induced to execute an agreement totally different from that which he apparently made, or where, due to the fraud, there was no execution at all—and those cases in which the agreement was induced by fraudulent misrepresentations or con-cealments which in no degree make the instrument anything other than it purports to be.
In the first case it is clear that the purported agreement is void
ab initio
and an action to avoid it may be brought at any time,
or it may be treated as nonexistent; while in the second case the agreement is voidable and may be rescinded at the election of the party defrauded
(Costa Serena, supra,
at p. 1193, italics added, quoting
Erickson, supra,
at p. 556.) However, it is clear that the italicized portion of the quotation in
Costa Serena
was dicta because the
Costa Serena
court held that the amendments at issue in that case were merely
voidable,
and that the party’s claim was untimely.
(Costa Serena,
at pp. 1194-1197.)
Erickson,
in turn, did not involve a statute of limitations question. Rather, in
Erickson,
the court considered whether a plaintiff had stated a cause of action against a third party purchaser of certain real property (Pierce) on the ground that a deed through which Pierce obtained ownership of the property was void
ab initio
because the plaintiff had not known that she was signing a deed to the property.
(Erickson, supra,
130 Cal.App.2d at pp. 554-556.) The
Erickson
court cited a legal encyclopedia for the proposition quoted in
Costa Serena
above, namely, that an action to cancel a legal instrument premised on a claim that “ ‘one party was induced to execute an agreement totally different from that which he apparently made’ ”
(id.
at p. 556) is a claim that the instrument is void
ab initio,
and may be brought at any time.
(Ibid.)
It appears that the source of the dicta in
Costa Serena
and
Erickson
is the California Supreme Court’s decision in
Loftis
v.
Marshall
(1901) 134 Cal. 394 [66 P. 571]
{Loftis).
In
Loftis,
the plaintiff brought a quiet title action against defendants claiming title to real property through a deed that the plaintiff claimed had been obtained through the “fraudulent procurement” of the plaintiffs wife, Mary Loftis, and her son, George Marshall.
(Id.
at p. 395.) The plaintiff alleged that, at the time he signed the deed in question, he was “in a drunken condition, and wholly incapacitated from attending to business, and was induced to sign the deed by representations made to him by them that it was a letter to one Horrigan, and by the belief to that effect thus engendered.”
{Ibid.)
The “principal question” on appeal was whether the plaintiffs action was barred by a judgment in a former action.
(Id.
at p. 396.) However, the
Loftis
court also considered whether the trial court erred in overruling the defendants’ demurrer on the ground that the action was untimely. In addressing this issue, the
Loftis
court stated the following: “It is alleged that the plaintiff, ‘in pursuance of the . . . conspiracy and the . . . fraudulent and deceitful acts of . . . Mary Loftis and George D. Marshall, was kept in ignorance of the . . . grant (or deed) until the . . . day of October, 1894.’ This, we think, was a sufficient allegation of the discovery of the fraud within three years before the commencement of the action.[
] . . . Nor do we think the allegation was material.
On the theory of the appellants—which we have assumed to be correct—the deed was void, and the plaintiff, except as against an adverse possession of five years, could maintain his action at any time.” (Id.
at p. 398, italics added.)
The
Loftis
court did not cite any authority for the italicized statement, and did not consider the four-year catchall limitation provision Code of Civil Procedure, section 343, discussed above.
(See fn. 9,
ante.)
In addition, no California published case has
ever
cited this
Loftis
for this proposition.
Further, as noted above, in 1942, the California Supreme Court held in
Moss
that a party’s claim that an instrument was void as being contrary to public policy
was
subject to the four-year statute of limitations in Code of Civil Procedure section 343.
(Moss, supra,
20 Cal.2d at p. 645.) A claim that an
instrument is contrary to public policy constitutes a claim that the instrument is void
ab initio.
(See
Saltpn Bay Marina, Inc. v. Imperial Irrigation Dist.
(1985) 172 Cal.App.3d 914, 941 [218 Cal.Rptr. 839].) Thus, in Moss, the California Supreme Court concluded that a claim premised on a contention that an instrument is void
ah initio is
subject to a statute of limitation, contrary to its earlier statement in
Loftis.
Further, numerous cases in the wake of
Moss
have reached results similar to that in
Moss.
(See
Robertson, supra,
90 Cal.App.4th at p. 1319 [collecting cases]; see also
Sullivan v. Dunnigan
(1959) 171 Cal.App.2d 662, 667 [341 P.2d 404] [deed procured by fraud supported by evidence that grantor had “no present intention to part with title to the interest purportedly conveyed,” was subject to three-year statute of limitations in Code Civ. Proc., § 338, former subd. (4)].) As the
Robertson
court noted,
Moss
and its progeny, “make clear,” that
“statutes of limitations apply whether the document under challenge is asserted to be ‘void’ or ‘voidable:
”
(Robertson, supra,
at p. 1326, fn. 6, italics added.) We agree with the
Robertson
court, and conclude that the
Loftis
court’s statement that a claim premised on the theory that a deed is void may be brought at any time
(Loftis, supra,
134 Cal. at p. 398) is an aberration that was implicitly overruled in
Moss.
Thus, we conclude that
Loftis
and the dicta it spawned in
Erickson
and
Costa Serena
should not be followed.
Accordingly, we reject Scott’s contention that a quiet title claim based on the theory that a deed is void
ah initio
is not subject to
any
statute of limitation and “can be brought at
any
time.” (Italics added.) We therefore conclude that Scott has not demonstrated that the trial court erred in determining that his quiet title claim is time-barred insofar as the claim is premised on the theory that the 2003 grant deed is void
ah initio.
B.
Scott’s first amended complaint did not properly state a claim for quiet title premised on the theory that Randy and Boosinger severed the joint tenancy
Scott contends that he properly stated a claim for quiet title based on his allegation that any joint tenancy ownership of the Property existing between Randy and Boosinger was severed by Randy and Boosinger through the combination of Randy’s filing of the original complaint for partition and Boosinger’s filing of her verified answer to the complaint.
We consider de novo whether Scott properly stated a quiet title cause of action pursuant to this theory. (See
Committee for Green Foothills v. Santa Clara County Bd. of Supervisors
(2010) 48 Cal.4th 32, 42 [105 Cal.Rptr.3d 181, 224 P.3d 920] [“On review from an order sustaining a demurrer, ‘we examine the complaint de novo to determine whether it alleges facts sufficient to state a cause of action under any legal theory, such facts being assumed true for this purpose’ ”].)
1.
Governing law
“A joint tenancy, with its attendant ‘right of survivorship,’ is an estate designed primarily to allow two or more persons who jointly own property to avoid probate upon the death of one of the joint tenants. At common law, four unities were required to create a joint tenancy: interest, time, title, and possession. [Citation.] [Citation.] If one of the unities were destroyed, a tenancy in common would result.”
(Estate of England
(1991) 233 Cal.App.3d 1, 4 [284 Cal.Rptr. 361].)
Section 683.2 outlines a nonexclusive list of methods by which a joint tenancy may be severed.
(Estate of England, supra,
233 Cal.App.3d at p. 5 [stating that § 683.2 “makes clear that statutory severance is not exclusive”].) Subdivisions (a) through (c) of the statute describe several ways in which a
joint tenancy may be
unilaterally
severed by a joint tenant.
Section 683.2, subdivision (d), discussing severances effectuated by “all the joint tenants,” provides:
“(d) Nothing in subdivision (c) limits the manner or effect of:
“(1) A written instrument executed by all the joint tenants that severs the joint tenancy.
“(2) A severance made by or pursuant to a written agreement of all the joint tenants.
“(3) A deed from a joint tenant to another joint tenant.”
“[A]n agreement between joint tenants to dispense with the right of survivorship terminates a joint tenancy relationship. [Citation.] Furthermore, an agreement between joint tenants which is inconsistent by its terms with one or more of the four essential unities of joint tenancy will be considered a severance even though it does not expressly terminate the joint tenancy.”
(Estate of Blair
(1988) 199 Cal.App.3d 161, 169 [244 Cal.Rptr. 627].)
2.
Factual and procedural background
In his original April 2013 complaint for partition, Randy alleged in relevant part:
“2. [Randy] is, and was at all relevant times mentioned herein, a resident of San Diego County, California. He is the current co-owner and joint title deed holder in the . . . Property since it was purchased in 2003. [Randy] owns a two-thirds (66.7%) interest in the . . . Property based percentage [sic] of original capital and investment made at the time of purchase, as well as the understanding and agreement of [Randy] and co-owner Boosinger at that time.
“3. Defendant [Boosinger] is, and has been at all relevant times mentioned herein, a resident of San Diego County, California. Boosinger owns a one-third (33.3%) interest in the . . . Property based on her smaller proportion of [the] downpayment and investment made at the time of purchase, as well as the agreement and understanding between co-owners [Randy] and Boosinger.”
In addition, among other allegations, paragraph 13 of the complaint alleged: ‘“[Randy] has, and continues to hold, a two-thirds (66.7 %) ownership interest in the . . . Property.”
In her original June 2013 verified answer, Boosinger
admitted
the allegations in paragraphs 2 and 3, but denied paragraph 13.
Randy died on July 3, 2013. The court granted Scott’s motion to be substituted in as the named plaintiff in the action in May 2014.
Boosinger filed a motion for leave to file an amended verified answer to the complaint and a cross-complaint in July 2014. Scott filed a notice of nonopposition to Boosinger’s motion in October 2014. In addition, on November 3, 2014, Scott’s counsel signed a stipulation that states in relevant part: ‘“As a result of newly discovered facts and circumstances, including the death of [Randy] and substitution of his personal representative as Plaintiff, the parties have agreed that Defendant Valerie A. Boosinger be allowed to file her Amended [V]erified Answer to Complaint as well as her Verified Cross-Complaint.”
The trial court granted Boosinger’s motion for leave to file an amended answer and a cross-complaint on November 7, 2014.
In her amended verified answer to the complaint, Boosinger alleged the following with respect to paragraphs 2 and 3 of Scott’s complaint:
“2. [Boosinger] admits that [Randy], deceased, was at all relevant times a resident of San Diego County California. [Boosinger] admits that when the [Property was purchased, [Randy] owned [a] two-thirds interest in the [Property based on a percentage of [the] original capital and investment made at the time of purchase. [Boosinger] denies that the [Property was purchased in 2003.
“3. [Boosinger] admits she is, and at all relevant times was, a resident of San Diego County. [Boosinger] admits that upon purchase of the property, she owned [a] one-third interest in the [property based on her smaller portion of the down-payment and investment made at the time of the purchase as well as the agreement and understanding between co-owners [Randy] and Boosinger.”
Boosinger denied paragraph 13 of the complaint.
In her cross-complaint, Boosinger alleged the following: ‘“[Boosinger] obtained her interest in fee simple title to the [Property] by a Grant Deed dated February 26, 2003 transferring the [Property to [Randy] and [Boosinger] as joint tenants, and recorded at the official records of the San Diego County Recorder’s Offices .... In July, 2013, [Randy] passed away. [Scott] then initiated probate proceedings and was appointed as personal representative of the estate of [Randy], deceased. However, as a result of the joint tenancy relationship with the right of survivorship, and death of [Boosinger’s] Joint Tenant, [Randy’s] title to the subject property is manifested to [Boosinger] solely.”
Scott filed a first amended complaint in June 2015 in which he alleged in relevant part: ‘“If the joint tenancy was not severed unilaterally[
] on April 30, 2013 when [Randy] filed and served the
[Original
Complaint], it was severed when Boosinger filed her
Verified Answer
to the
[O]riginal [Com
plaint] on or about June 26, 2013 because the
[Original
Complaint] and
Verified Answer
together constituted a signed writing by the parties acknowledging a right to severance and the creating of a tenancy in common with
[Randy] such that he again owned a two-thirds interest and Boosinger owned a one third interest.”
3.
Application
Scott argues that ‘“[b]y the enactment of subdivision (d) [of Section 683.2], the Legislature sought to preserve rights accorded parties via common law and written instruments that communicate a bilateral notice and
intent to sever a joint
tenancy.” (Italics added.) We agree. However, Scott cites no common law authority, and we are aware of none, that holds that a court may interpret a party’s complaint and another party’s
superseded
answer to constitute an
instrument
that severs a joint tenancy.
While there are numerous cases that hold that a joint tenancy may be severed by an express or implied
agreement
of the joint tenants (see, e.g.,
Estate of Blair, supra,
199 Cal.App.3d at pp. 168-169), the complaint and the superseded answer in this case do not constitute evidence of such an agreement. That is because it is unclear, even from Boosinger’s superseded answer, that Boosinger agreed that she and Randy owned different percentage interests in the property (and therefore were not joint tenants). While Boosinger
admitted
paragraphs 2 and 3 of the complaint, which stated that ‘“[Randy] owns a two-thirds (66.7%) interest in the . . . Property,” (¶ 2) and ‘“Boosinger owns a one-third (33.3%) interest in the . . . Property,” (¶ 3, some capitalization omitted) she
denied
the allegation that ‘“[Randy] has, and continues to hold, a two-thirds (66.7 %) ownership interest in the . . . Property.” (¶ 13.)
Further, Scott does not claim that Boosinger’s verified but superseded answer constituted a judicial admission. (See
Minish
v.
Hanuman Fellowship
(2013) 214 Cal.App.4th 437, 456 [154 Cal.Rptr.3d 87] [‘“The doctrine of judicial admissions also does not apply to allegations in pleadings that have been superseded by amendments, especially where the initial pleading was not verified and the court granted permission to file the amended pleading to correct a potentially damaging admission in the initial pleading that was the result of mistake, inadvertence, or inadequate knowledge of the facts”].)
Under these circumstances, we conclude that the first amended complaint did not properly state a claim for quiet title premised on the theory that Randy and Boosinger severed the joint tenancy by way of his complaint and her answer. Accordingly, we conclude that the trial court did not err in
sustaining, without leave to amend,
Boosinger’s demurrer to Scott’s quiet title cause of action premised on this theory.
IV.
DISPOSITION
The judgment is affirmed.
Huffman, Acting P. J., and Prager, J.,
concurred.