TRESWAY AERO, INC., Petitioner, v. THE SUPERIOR COURT OF LOS ANGELES COUNTY, Respondent; ELIZABETH MATILDA DENT, as Executrix, etc., Real Party in Interest.
L.A. No. 29750
In Bank
Aug. 16, 1971.
431
Wise, Kilpatrick & Clayton and John L. Fort for Petitioner.
No appearance for Respondent.
Dorothy Levin for Real Party in Interest.
OPINION
TOBRINER, J.—Petitioner Tresway Aero, Inc. [hereafter “defendant“] seeks mandamus to compel the Los Angeles County Superior Court to quash service of summons in the action of Dent v. Tresway Aero, Inc. (Superior Court No. SO C 13661) and to dismiss that action for failure to serve summons within three years of the filing of the complaint, pursuant to
On August 7, 1965, an airplane owned by defendant crashed, killing eight persons including James Dent. Plaintiff, as executrix of the estate of James Dent, brought a wrongful death action against defendant; the complaint was filed and summons issued on August 2, 1966. Plaintiff withheld service of summons pending litigation of another action against defendant arising out of the same airplane crash.
As of July 1969 the test case had been settled, and plaintiff engaged Alan Curtis to serve process on defendant. On July 22, 1969, Curtis arrived at defendant corporation‘s office and requested to see Ira Cree, an officer of the corporation. Curtis then encountered William Cree, Ira‘s
Shortly after defendant received the summons and complaint, defendant‘s present counsel3 telephoned plaintiff‘s counsel and obtained a 20-day extension of time in which to answer the complaint. The three-year period for service of summons expired on August 4, 1969.4 On August 11, 20 days after the attempted service by Curtis, defendant appeared and moved to quash service and to dismiss the action.5 The trial court denied both motions, and defendant sought mandate.
1. The attempted service of summons on defendant did not comply with Code of Civil Procedure section 410, and should be quashed.
The copy of the summons delivered to William Cree, however, did not contain the notice required by
2. Defendant‘s motion for dismissal under Code of Civil Procedure section 581a is barred by estoppel.
As of August 1969,
“No action heretofore or hereafter commenced shall be further prosecuted, and no further proceedings shall be had therein, and all actions heretofore or hereafter commenced must be dismissed by the court in which the same shall have been commenced, on its own motion, or on the motion of any party interested therein, whether named in the complaint as a party or not, . . . unless the summons shall be served and return thereon made within three years after the commencement of said action, except where the parties have filed a stipulation in writing that the time may be extended. But all such actions may be prosecuted, if general appearance has been made by the defendant or defendants, within said three years in the same manner as if summons had been issued and served; provided, that, . . . no dismissal shall be had under this section as to any defendant because of the failure to serve summons on him during his absence from the state, or while he has secreted himself within the state to prevent the service of summons on him. . . .
“A motion to dismiss pursuant to the provisions of this section shall not, nor shall any extension of time to plead after such motion, constitute a general appearance.”
Earlier cases held that this section was mandatory and jurisdictional (see, e.g., Gonsalves v. Bank of America (1940) 16 Cal.2d 169, 172); these decisions did not recognize any exceptions not expressly stated in the statute (see White v. Superior Court (1899) 126 Cal. 245, 247; Vrooman v. Li Po Tai (1896) 113 Cal. 302, 305; Cahn v. Jones (1950) 101 Cal.App.2d 345, 348). This view of
Although Wyoming Pacific involved a statutory exception to
“Similar both in general purpose and language [to
section 581a ] are the provisions ofsection 583 of the Code of Civil Procedure requiring the dismissal of actions not brought to trial within five years after being filed. Despite the apparently mandatory language of that section, this court has found many ‘implied exceptions’ where it was ‘impracticable and futile’ to bring the action to trial within the designated five-year period. (Rose v. Knapp, 38 Cal.2d 114, 117, with cases cited.) Thus, discretion has entered into the application of this provision so as to prevent it from being used to compel the dismissal of actions where the plaintiff has not had a reasonable opportunity to proceed to trial. (See Ojeda v. Municipal Court, 73 Cal.App.2d 226, 232.)“We are therefore of the view that notwithstanding the mandatory language of
section 581a , the trial court is vested with discretion in applying the exceptions comparable to the discretion with which it is vested in applying the exceptions tosection 583 . As with the exercise of the court‘s other inherent and statutory powers to dismiss actions for want of diligence in either serving the summons or bringing the action to trial, the discretion permitted must be ‘exercised in accordance with the spirit of the law and with a view of subserving, rather than defeating, the ends of substantial justice.’ (16 Cal.Jur.2d, Dismissal, Discontinuance, and Nonsuit, § 30, p. 179.) Each case must be decided on its own particular facts, and no fixed rule can be prescribed to guide the court in its exercise of this discretionary power under all circumstances.” (50 Cal.2d at pp. 740-741.)10
Wyoming Pacific discussed the implied exception of impracticability; the present case involves the venerable doctrine of estoppel. This doctrine affirms that “a person may not lull another into a false sense of
Courts of Appeal since Wyoming Pacific, have recognized the applicability of estoppel under
Three cases have held as a matter of law that a defendant cannot be estopped from seeking dismissal under
We conclude that a defendant, although not served with summons within three years of the commencement of the action, may be estopped to move to dismiss that action under
We perceive no logical reason why the doctrine of estoppel should be so restricted. Stipulations in open court are not the only words or conduct which reasonably and commonly induce reliance by counsel. When the defendant induces the plaintiff to delay service of summons, or to overlook
The concept of limited estoppel also conflicts with the principles set forth in Wyoming Pacific Oil Co. v. Preston (1958) 50 Cal.2d 736 [discussing
We read Wyoming Pacific and General Motors as marking a change in judicial attitude away from “mechanical application” of sections 581a and 583. To limit estoppel to cases of representations to laymen and of stipulations in open court would be to return to a policy of mechanical infliction of injustice in the present case and in many cases to follow; it would make irrelevant any effort by the trial court to inquire into “all the circumstances in the individual case, including the acts and conduct of the parties” (General Motors v. Superior Court, supra); it would deprive the trial court in most cases of a tool—the doctrine of equitable estoppel—long found essential to subserve “the ends of substantial justice” (Wyoming Pacific Oil Co. v. Preston, supra); it would relegate
We turn now to the facts of the present case to determine whether an estoppel should be invoked against defendant Tresway Aero, Inc. Uncontroverted declarations filed by plaintiff show that defendant received a copy of the complaint and the defective summons on July 22, 1969, and shortly thereafter requested and obtained a 20-day extension of time in which to
If defendant had done nothing, it would have been in default as of August 1, and plaintiff could have sought entry of default.
In sum, defendant‘s maneuver in getting additional time to plead resulted in plaintiff‘s failure to serve summons within the period required by
We conclude that since the responsibility for plaintiff‘s failure to effect valid service within the period of
Let a peremptory writ of mandate issue directing the superior court to quash the service of summons upon defendant on July 22, 1969; however, to the extent that the alternative writ sought to compel the superior court to grant defendant‘s motion to dismiss under
Peters, J., Mosk, J., and Burke, J., concurred.
SULLIVAN, J.—I dissent.
Although, like the majority, I cannot look with approval on “defendant‘s maneuver in getting additional time to plead,” I cannot agree with them that such conduct operated to estop defendant from seeking dismissal on the ground of noncompliance with
In sum, the majority in their efforts to fashion a result for the particular case have obscured and confused, if not uprooted, well-established rules whose former clarity was designed to insure certainty and precision in practice and procedure.
Our opinion2 in Wyoming Pacific Oil Co. v. Preston (1958) 50 Cal.2d 736 also indicates that implied exceptions similar to those applied under
The operation of the doctrine of estoppel in this area is best considered in the context of the reasons underlying the express “written stipulation” exception set forth in sections 581a and 583.3 In the early case of Miller & Lux Inc. v. Superior Court (1923) 192 Cal. 333, 340, we stated: “The provision that a written stipulation be entered into was intended to preclude all disputes, with their attendant charges and counter-charges of overreaching and unethical conduct, by a requirement that clear and uncontrovertible evidence be presented to the court that the statutory time was deliberately intended to be extended by both parties.”4 Holding
that the mere insistence of counsel for the defendants that another case precede the three actions before the court was not sufficient to satisfy the requirements of
It is in view of these rational underpinnings that the implied exception of estoppel has been applied sparingly and in a very narrow area. The classic case is one where, although there has been no written stipulation extending time as provided for in the statute, the parties have appeared in open court and have made such a stipulation on the record. Here the thought is that the stipulation is in a sense “written” within the meaning of the statute because it is memorialized on the written records of the court. Even if it is not deemed to be “written” in that sense, it nevertheless meets the standard of certainty and precision exemplified by the express exception and avoids the dangers designed to be eliminated by it. “[I]f such a stipulation entered in the minutes of the court does not literally comply with the language of section 583, supra, it does estop the petitioner from thereafter making a motion to dismiss the cause for want of prosecution under such section; . . .” (Govea v. Superior Court (1938) 26 Cal.App.2d 27, 31; see also Preiss v. Good Samaritan Hospital (1959) 171 Cal.App.2d 559.)
However, a legion of cases have held that conduct on the part of the defendant, however much it may operate to “lull [the plaintiff] into a false sense of security,” is not sufficient to raise an estoppel to avoid the mandate of the applicable dismissal statute. (See, for example, Pacific Greyhound Lines v. Superior Court (1946) 28 Cal.2d 61, 67;5 Christin
(1945) 70 Cal.App.2d 224, 231-233; Bank of America v. Moore & Harrah (1942) 54 Cal.App.2d 37, 42-44;12 Elmhurst Packers v. Superior Court (1941) 46 Cal.App.2d 648; see generally 2 Witkin, Cal. Procedure, Proceedings Without Trial, §§ 29-30, 40-41, 48, pp. 1667-1669, 1677-1679, 1683-1684, and 1967 Supplement regarding those sections.)
The majority, however, purport to find in the case of Woley v. Turkus (1958) 51 Cal.2d 402 a fatal crack in this edifice of authority. Woley was a
We reversed the judgment of dismissal on two grounds. First, recognizing that the written stipulation was of no effect beyond the date to which the cause was originally continued, we nevertheless held that the defendant‘s request for further time on that date, together with his earlier representation in open court that plaintiff would suffer no prejudice from contin-
Surely the Woley case is no authority for the broad rule of estoppel which the majority announce and apply in this case. Insofar as that case involves estoppel it is conceived only with the narrow implied exception set forth in the Govea case—an exception which is manifestly not involved in the instant case where none of the representations upon which the majority would base an estoppel occurred in open court.
Of the
It is manifest that the Flamer case provides absolutely no support for an implied estoppel exception of the scope claimed by the majority. At most Flamer stands for the proposition that estoppel may be applied when the policy considerations underlying the mandatory dismissal statutes are not pertinent to the case at bench because the plaintiff is without counsel. Surely it is no authority for the application of estoppel in a case where both parties are represented by counsel and those policy considerations are directly involved.15
In view of the foregoing authorities I am wholly at a loss to understand how the majority can conclude that the conduct of defendant‘s attorney in this case operated to estop defendant from seeking dismissal under
Clearly such a result entails hardship for the plaintiff. However, to repeat what we said in Miller & Lux Inc. v. Superior Court: “To hold that . . . inferential consent is the same as a written stipulation would be to give to this section a strained construction, which, while it might relieve the harshness of the result in these particular cases, would be to render futile the salutary provisions of this section intended to secure preciseness of practice and procedure.” (192 Cal. at p. 340.) The fact that the client‘s reliance on his attorney to know the rules was misplaced, while it might give to that client legal cause for redress against his attorney, should not result in an obliteration of the rules themselves.
I would grant the petition in all respects and order issuance of a peremptory writ of mandate as prayed for.
Wright; C. J., and McComb, J., concurred.
