Wood v. Roach

14 P.2d 170, 125 Cal. App. 631, 1932 Cal. App. LEXIS 674
CourtCalifornia Court of Appeal
DecidedSeptember 1, 1932
DocketDocket No. 8544.
StatusPublished
Cited by25 cases

This text of 14 P.2d 170 (Wood v. Roach) 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
Wood v. Roach, 14 P.2d 170, 125 Cal. App. 631, 1932 Cal. App. LEXIS 674 (Cal. Ct. App. 1932).

Opinion

THE COURT.

This action was brought to quiet the title to certain real property in Alameda County. The complaint alleged that William Sidney Wood died testate on January 30, 1908; that his will was admitted to probate in the Superior Court of the City and County of San Francisco, and that plaintiff and Baldwin Wood, now deceased, were duly appointed and qualified as executors thereof; that decedent first named was the owner and in possession of the property in suit, title to which upon his death vested in his heirs and devisees subject to administration, and that there has been no distribution thereof; that pursuant to an order of the superior court in the matter of said estate made on March 20, 1922—which purported to confirm a sale of said property to E. J. Sittig—the said Baldwin Wood, in his own name and that of plaintiff, as executors executed a deed thereof to Sittig; that the order was based upon a return of sale and petition for confirmation; that the proceeding and sale were void for lack of jurisdiction, and the order obtained by means of extrinsic fraud.

Defendants and respondents Roach, Mercantile Securities Co. and Mercantile Trust Co. demurred generally and specifi *634 cally to the complaint. The special grounds of demurrer were that several causes of action had been joined and not separately stated; that the complaint was ambiguous, uncertain and unintelligible in certain respects, and that the causes of action alleged were barred by the provisions of subdivision 2 of section 336, and subdivisions 2 and 4 of section 338, of the Code of Civil Procedure. The demurrer was sustained with leave to amend, and plaintiff having failed to do so a judgment—from which she has appealed—was entered against her.

The ground of attack.upon the proceeding for the sale of the property is that neither the petition for confirmation nor the order confirming the sale stated the jurisdictional facts, and that consequently the order and the deed based thereon were void.

Originally the probate courts of California were of limited and inferior jurisdiction (Townsend v. Gordon, 19 Cal. 188; Pryor v. Downey, 50 Cal. 388 [19 Am. Rep. 656]), and it was held that the power of the court over the sale of lands belonging to the estate of a decedent did not come from its general jurisdiction over the administration of estates but from the statute (Pryor v. Downey, supra; Richardson v. Butler, 82 Cal. 174 [16 Am. St. Rep. 101, 23 Pac. 9]).

By the Constitution of 1879 (art. VI, sec. 5), superior courts were given jurisdiction of all matters of probate in like manner as of cases at law or in equity (Burris v. Kennedy, 108 Cal. 331 [41 Pac. 458, 459]), and since 1858 the orders and decrees of superior courts in the exercise of their probate jurisdiction have been as conclusive against collateral attack as those in any other branch of their jurisdiction (Stats. 1858, p. 95; 15 Cal. Jur., Judgments, see. 164, p. 92). According to the early cases an application for the sale of land was a special, independent proceeding, and it was essential, to enable the court to act, that the application be made substantially as provided by statute (Pryor v. Downey, supra; Richardson v. Butler, supra). It was also held that the jurisdiction of the court rested upon the averments of the petition (Stuart v. Allen, 16 Cal. 473 [76 Am. Dec. 551]; Haynes v. Meeks, 20 Cal. 288; Estate of Devincenzi, 119 Cal. 498 [51 Pac. 845]). Under the statute, however, a failure to set forth the facts showing the *635 sale to be necessary did not invalidate subsequent proceedings if the defect was supplied by proofs at the hearing, and the general facts showing such necessity were stated in the decree (Code Civ. Proc., sec. 1537; Stats. 1873-74, p. 370).

The Burris case was an action to quiet title brought by an heir of James Kennedy, deceased, against defendants who claimed under a probate sale had in the matter of the decedent’s estate. It was contended that neither the application nor the order of sale contained a statement of the jurisdictional facts, and that consequently the sale was void. It was concluded on appeal that facts showing a sale to be necessary were sufficiently alleged in the application; and although the allegations were erroneous the sale was not void for that reason. Further, that while an application to sell the real property of an estate was an independent proceeding in that it was essential that the application be made substantially as provided by statute, nevertheless the court in entertaining the application and passing upon it was not acting as a special tribunal but in the exercise of its general jurisdiction over the subject matter, derived from the Constitution and not from the statute; and that the same presumption must attach to decrees in probate proceedings upon collateral attack as to judgments at common law or in equity, and that the sufficiency of the proceedings or petition must be decided by the same liberal rule which applies to the .pleadings in an ordinary action upon such an attack. In the same connection, quoting from In re Burton, 93 Cal. 459 [29 Pac. 36], the court said: “The "Superior Court while sitting in matters of probate is the same as it is while sitting in cases in equity or cases at law or in special proceedings; and when it has jurisdiction of the subject matter of a case falling within either of these classes it has power to hear and determine in the mode provided by law all questions of law and fact the determination of which is ancillary to a proper judgment.”

Judge Van Fleet in his work, “The Law of Collateral Attack,” section 275 (citing Culver v. Hardenburgh, 37 Minn. 225 [33 N. W. 792]), says: “The administration of the estate of a decedent ... is one indivisible judicial proceeding from the order appointing the administrator to that of his final discharge. The proceeding is one purely in rem, *636 and all parties in interest—heirs, devisees, legatees, distributees and creditors—are necessarily in court at all times. Petitions to sell and mortgage land are simply motions in a pending cause, and in principle no want of form or substance ought to make the sale void. The adverse parties are given the opportunity to examine and object ... to the entire proceeding on motion for confirmation of the sale, and the court is always open to their motions and petitions to compel the administrator to do his duty in the interim between the order to sell and the confirmation; and as the purchaser furnishes the money to pay their ancestor’s debts equity and good conscience loudly demand an estoppel against their proceeding afterwards in a collateral action to recover the land thus sold.”

Previous to the amendment of 1919 (Stats. 1919, p.

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Bluebook (online)
14 P.2d 170, 125 Cal. App. 631, 1932 Cal. App. LEXIS 674, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wood-v-roach-calctapp-1932.