Dean Jara Lecture Notes in Remedial Law
Dean Jara Lecture Notes in Remedial Law
Dean Jara Lecture Notes in Remedial Law
Plea of guilty in civil cases, specific denial is not applied, if pleaded, the
court cannot compel the defendant to explain why plea of guilt was given.
BP 129 does not mention anything about the SC. It begins with the CA
downwards, up to the MTC and the Sharia Courts. Supreme Court
exercises its authority from the Constitution. In the Constitution, the SC
exercises original jurisdiction and appellate jurisdiction. But the
Constitution does not say that original jurisdiction of the SC is
exclusive, nor about the appellate jurisdiction being exclusive. The
basis for this is in the old Judiciary Act of 1948 where SC jurisdiction
is delineated in a very thorough manner, providing exclusive original
and appellate jurisdiction of the SC. Note that BP 129 did not repeal
the old judiciary act and hence it is still in force. What BP 129 did
repeal are provisions of Judiciary Act of 1948 that are inconsistent with BP
129. The best argument to support this statement is Sec. 9 in BP 129.
The Constitution provides for a limited number of cases over which the SC
can exercise original jurisdiction and limited number of cases over which it
can exercise appellate jurisdiction. These are not exclusive.
With CA:
Petitions for certiorari, prohibition or mandamus against RTC
Petitions for Writ of Kalikasan
Appellate Jurisdiction:
By way of Certiorari under Rule 45 against CA, Sandiganbayan, RTC (pure
questions of law only), CTA en banc and cases on the constitutionality and
validity of a law or treaty, international agreement or executive agreement,
presidential decree, proclamation order, instruction, ordinance or
regulation, legality of a tax, impost, assessment, toll or penalty, jurisdiction
of a lower court.
In effect, there are 3 courts in the judiciary which exercise jurisdictions over
certiorari, prohibition, mandamus, quo warranto and habeas corpus: SC,
CA and RTC. Thus, theoretically, if one has been wronged due to grave
abuse of discretion amounting to lack of jurisdiction, petition for mandamus
can be filed with the SC immediately, based on the 1987 Constitution and
BP 129.
Appellate Jurisdiction:
Ordinary appeal from RTC and Family Courts
Petition for review from RTC in exercise of its appellate jurisdiction
Petition for review from decisions, resolutions, orders or awards from CSC,
Ombudsman in administrative cases and other quasi-judicial agencies in
exercise of its quasi-judicial functions as mentioned in Sec. 1 Rule 43.
The SC, despite being the supreme court of the land, is not a court of
general jurisdiction, it exercises only limited original jurisdiction as provided
for under the Constitution. It is generally not a trier of facts. The same is
true in the CA. In Sec. 9 BP 129, the CAs authority is very limited.
CA has exclusive original jurisdiction over Annulment of Judgment of
an RTC under Rule 47. Does it mean that the CA can annul a judgment
rendered by an MTC?
Since the CA is a court of limited jurisdiction, it is allowed to annul judgment
only judgments from the RTC. It cannot annul decisions of an MTC.
Would it mean that the judgment of an MTC is immune from
annulment of its judgment?
Yes. The decision of an RTC can be annulled by the CA. But the decision
of an MTC is immune from annulment by the CA. But, the decision of an
MTC can be annulled by an RTC. It is not so provided in BP 129 that an
RTC can annul a judgment of an MTC, but it is provided for under Section
10 of Rule 47 on Annulment of Judgment in the Rules. Thus, jurisdiction is
vested in the RTC under the Rules for it to be able to annul judgments
rendered by an MTC.
Can we then challenge the jurisdiction of RTC as BP 129, a special
law, should take precedence over a substantive law, as BP 129 does
not expressly give the RTC the authority to annul judgment of an
MTC? Why?
We cannot. This is because, under BP 129 there is an allocation to the
RTC of jurisdiction to entertain and decide all kinds of actions which are not
especially given to other courts. This is the provision why an RTC can
annul judgments of the MTC as well as the reason why the RTC is
considered as the real court of general jurisdiction in our justice system.
Since no substantive law has allocated to other courts the jurisdiction to
annul judgments of an MTC, it follows now that the RTC is the proper court
to decide on the matter as provided under BP 129 for an RTC to entertain
and decide all kinds of actions not especially given to other courts.
It does not mean that the decisions of the CA are immune from annulment.
The SC could still exercise its equity jurisdiction, most likely under Rule 65,
in order to annul a judgment of the CA, based on the same grounds given
under Rule 47, extrinsic fraud and lack of jurisdiction.
Extrinsic fraud or collateral fraud not a valid ground if it was availed of,
or could have been availed of in a motion for new trial or petition for relief.
Lack of jurisdiction over the subject matter and over the person May
be barred by estoppels by laches, which is that failure to do
something which should be done or to claim or enforce a right at a
proper time or a neglect to do something which one should do or to
seek or enforce a right at a proper time. (1998 Bar Question)
An RTC could act as a civil and criminal court. It exercises original actions
over both actions. RTC decisions in civil actions could be the subject of
annulment by CA under rule 47, but Rule 47 does not apply if the decision
is one rendered from criminal cases. The remedy in order to annul a
judgment in criminal cases is by filing a petition for habeas corpus. BP 129
is very clear under Rule 47. What can be annulled under Rule 47 are
judgments in civil cases only.
The remedy of petition for habeas corpus in criminal case are more
advantageous than that of an annulment of judgment in civil cases. This is
because an annulment of judgment in civil cases is a direct attack against
the judgment in the civil case, while in the criminal cases, the detainee can
challenge the validity of the judgment of conviction, although he is not
attacking directly the validity of the said judgment of conviction. He is
attacking the validity of the deprivation of his liberty.
Note that Rule 47 is inserted in between the rules governing appeals. The
procedure for appeal starts with Rule 40 up to 56. Annulment of judgment
has nothing to do with appeals as it is a civil action. Annulment of judgment
is an original action that can be filed in the RTC and CA. And, in Rule 47,
when particularly applied to a petition for annulment commenced before the
CA, you will notice that some of the features of a special civil action are
carried by a petition to annul the judgment filed with the CA. For instance, if
a petition to annul a judgment of an RTC in a civil case is filed in the CA,
the CA has the authority to outrightly dismiss the petition for lack of merit.
This is similar to Rule 65, where the petition for certiorari, prohibition or
mandamus can be outrightly dismissed if it is not meritorious on its face.
What if the decision in the RTC was already final and executory, can
the petition to annul judgment filed in the CA stop the execution of the
said judgment?
No. The petition will not stop the prevailing party from moving for the
execution of the final and executory judgment in the civil case,
notwithstanding the commencement of the petition to have the judgment in
the civil case annulled. The only remedies available to a petitioner for
annulment of judgment of an RTC in the CA is to apply for the provisional
remedy of PI or TRO to stop the RTC from proceeding with the execution of
the said judgment.
Requirements:
1. All other Remedies of motion for new trial, petition for relief, appeal and
other remedies are no longer available or to do so will not redound to his
benefit.
2. Through no fault of petitioner, remedies were unavailing
3. Petitioner is a stranger to the case (Islamic Dawah case)
Ex. MTC acts as if it was a cadastral court (usually done by RTC). If the
land registration or cadastral case is contested, the assessed value of the
contested property is determinative of jurisdiction. If uncontested, MTC acts
as a cadastral as if it were an RTC, there being no limitation as to
jurisdiction. But BP 129 clearly states that if MTC acts as a cadastral court
the MTCs decisions on cadastral cases shall be appealable in the CA, not
to the RTC (hierarchy of courts is not followed).
Any rule on procedure violating any one of the limitations given in the
Constitution, the rule can be properly challenged as to its validity and
applicability.
The civil code provisions shall not be affected by the procedural provision
in the Rules concerning the filing of claims (Recovery of creditor of the
whole debt from surviving solidary debtors). According to the Rules, the
Rules of Court should be interpreted liberally. But the interpretation is one
not in favor of the plaintiff or defendant. The meaning of liberal
interpretation is to promote the ends of justice, to carry out the duty of the
SC under the limitations given under the Constitution.
PLEADINGS
COMPLAINT
General Rule: A civil action is always commenced with the filing of a
complaint. This is the general rule. Some cases are commenced by a
petition, most notably in special civil actions. The filing of a complaint has
given rise to the action that when the case is filed, the court acquires
jurisdiction over the action. The court will then have to gain jurisdiction over
the person of the defendant. Service of summons will gain jurisdiction over
the defendant. A recent decision of the SC held that if the person filing the
case is not authorized to file the case, then the court does not acquire
jurisdiction over the person of the plaintiff, and will not acquire even the
jurisdiction to decide the case. The court can examine whether or not the
person who filed the case is authorized. If not so authorized, the court will
not acquire jurisdiction over the person of the accused and it will not
acquire the authority to decide the case. The court will be absolutely
without jurisdiction to try and decide the case.
Elements:
Plaintiff must allege he has a right.
Plaintiff must allege the defendant has violated for that right.
Civil action does not require prior violation of a right before right
holder can proceed to court. A plaintiff need not have his right
actually violated before a case can be filed. Even a threat to violate a
right gives rise to a cause of action.
The Rules of Procedure becomes more complicated if there are
several rights that are violated by one and the same wrongful act. If
there is just one wrongful act and there are several rights violated,
how will the causes of action accrue?
The standard given by the SC: In order to determine whether several
causes of actions will arise, if there is one wrongful act and there are
several rights that are violated, is to determine whether these rights
belong to the same person or to different persons.
Even if a right has been violated and a cause of action indeed accrued, if
the action is covered under the circular on prior barangay conciliation, the
trial court can dismiss or not entertain the case and order the parties to
undergo barangay conciliation first.
Thus, the definition of a cause of action under the Rules is now qualified by
certain conditions precedent before the injured party can go to court. He
must see to it that these conditions precedent, if applicable, must first be
observed. The risk of not doing so is that the court, although competent
and may have jurisdiction over the case, may refuse to file the case and
issue an order directing the plaintiff to undergo or comply with these
conditions precedent.
If the conditions precedent have been met, the general rule that we follow
is for every cause of action, the plaintiff/right holder can file one complaint.
Ex. Creditor filed separate actions for recovery of the principal and the
interest earned by the principal. Even if there are 2 different courts where
these complaints are filed, there is still splitting cause of actions.
Consequences of splitting:
Suppose the plaintiff filed 2 complaints arising from the same cause
of action, but the defendant ignores this. Defendant did not act on the
fact. Can the court motu propio dismiss the cases?
Yes. Res judicata and litis pendencia are both non-waivable offenses under
Rule 9. Even if the defendant did not waive these, the court motu propio
can order dismissal of these cases once these becomes clear during trial.
But if the ground for dismissal is litis pendencia, only one of the cases
will be dismissed. If the ground for dismissal is res judicata, all cases
filed will be dismissed.
In litis pendencia, movant cannot move for dismissal of all cases, only one
can be dismissed.
(Note: If you are counsel for the defendant, if cases are filed in 2 different
courts [RTC and MTC], move for the dismissal of the case in the RTC, as
the amount involved in the MTC is smaller. Hence, if the amount involved in
total should have been 2.2M, and the amount involved in the MTC is only
200k, only 200k will be extent of liability that your client will have in case of
judgment against him.)
SUMMARY:
If the wish of the defendant is the dismissal of all cases, move for
dismissal under Rule 7 on the ground of forum shopping. Anyway, if
the party is guilty of splitting of a cause of action, he violates the rule
on forum shopping.
But if one of the cases has been decided, the ground of dismissal
should be res judicata, as long as the decision in that previous case
has become FINAL AND EXECUTORY.
If the installment becomes due and unpaid, the creditor has one
cause of action against the debtor for recovery of money. But his
cause of action against the debtor is only for the recovery of the
installment that was overdue.
The qualification given in Larena is that if two installments are already due,
then they should be the subject of one complaint. If the other installments
are not yet due, they cannot yet be subject to a complaint.
SWAGMAN RULE
If such anticipatory breach was not pleaded in the complaint filed, and
defendant failed to file an answer, the court will set the case for pre-
trial. By the time the pre-trial was conducted, the first installment had
become due. The trial was scheduled, but by that time, the whole
obligation became due and unpaid. Can the court properly decide the
case in favor of the plaintiff?
No.
Swagman Hotel vs. CA
If a plaintiff files a complaint in court although he has no cause of
action at all, and the claim of the plaintiff matures at the time the case
is tried, the court still does not have any authority to decide the case.
This is because at the time of the filing of the complaint, the plaintiff
did not have a cause of action.
The trial court ruled that under Section 5 of Rule 10 of the 1997
Rules of Civil Procedure, a complaint which states no cause of
action may be cured by evidence presented without objection.
Thus, even if the plaintiff had no cause of action at the time he
filed the instant complaint, as defendants obligation are not yet
due and demandable then, he may nevertheless recover on the
first two promissory notes in view of the introduction of
evidence showing that the obligations covered by the two
promissory notes are now due and demandable. When the
instant case was filed on February 2, 1999, none of the
promissory notes was due and demandable, but , the first and
the second promissory notes have already matured during the
course of the proceeding. Hence, payment is already due.
It is, thus, only upon the occurrence of the last element that a
cause of action arises, giving the plaintiff the right to maintain
an action in court for recovery of damages or other appropriate
relief.
If the court does not motu propio order the severance, the defendant
cannot blame the court for it. It is the burden of the defendant to raise this
as an issue before the trial court.
As long as one of the misjoined causes falls within the jurisdiction of the
trial court, there is nothing wrong if the trial court will eventually decide the
case although there is misjoined causes of action.
Can a complaint be filed where these two causes of action are set up,
first, petition for certiorari, and then, as a second cause, petition for
habeas corpus?
Yes, the petition is allowed, by way of exception, according to SC.
A complaint was filed in the MTC. The first cause of action was for
accion reinvindicatoria, the assessed value of the land was 1k. The
other cause of action unlawful detainer of a condominium unit, with
value of back rentals being 2M. Can an MTC have jurisdiction over the
action?
Yes. The value of the land in the accion reinvindicatoria where the
assessed value was only 1K. The recovery of possession by a MTC will be
by a summary proceeding, regardless of the back rentals sought to be
recovered..
Are the causes properly joined?
No. There is still misjoinder, although both causes are cognizable by an
MTC. This is because accion reinvindicatoria, although cognizable by the
MTC, shall be governed by ordinary proceedings while unlawful detainer
will be governed by summary procedure. We cannot join causes of action
which are governed by different Rules of Procedure, although they may fall
within the jurisdiction of that same court.
New case
Baylon Case. Even if there is misjoinder, if it is not raised as an
issue, and the court has decided upon the case, the decision rendered
thereafter is still valid so long as the court has jurisdiction over all
causes of action that are misjoined in the same complaint.
But the latest jurisprudence of the court is to the effect that even if
causes are misjoined, if that issue is not raised on appeal, the CA and
SC will ignore the violation of the rule on misjoinder. Judgment will
not be disturbed, so long as the court deciding has jurisdiction on all
causes that have been misjoined.
Limitations:
1. Sec. 6, Rule 3, Permissive Joinder of Parties
- It envisions a situation where there are 2 or more plaintiffs, 2 or more
defendants, or both, where there is a series of transactions, with common
questions of fact concerning the same parties.
The owner of a land discovered that his property has been occupied
forcibly by 11 informal settlers and they retained physical possession
thereof. The informal settlers had constructed houses therein. The
owner wanted to recover the possession thereof. Should the owner
file 11 cases of forcible entry or just one against the 11, or one
complaint wherein there is a joinder of parties?
SC said that the owner has the option of choosing any one of these
remedies. Plaintiff can file 11 separate complaints impleading only one
defendant in each complaint. If plaintiff chooses to file just one action, in
that complaint, he must allege 11 causes of action (First Cause of Action,
etc.). The last recourse will involve joinder of parties.
Why?
Sec. 6 Rule 3 is permissive in character. (use of the word may)
If there are 2 parties to the contract of sale, one vendor and one vendee. If
in case there is a violation of the contract of sale, the vendor and vendee
are of course indispensible parties.
If dismissal is by reason of Rule 17, for failure to obey lawful orders of the
court, it is a dismissal with prejudice unless the court orders otherwise.
If we apply the provisions of the NCC, and the creditor filed a case to
recover the entire debt, and debtor A and B are joint debtors, do we
consider both debtors to be indispensible parties?
Yes. If the purpose of the creditor is to recover the entire obligation, then
both debtors should be impleaded in the complaint.
Can the creditor file a case against only debtor A?
Yes, applying the provisions of the NCC, the creditor can go after A, but
recovery can be had only to the extent of the amount owed by A. In this
example, debtor A is an indispensible party.
How about debtor B, is he a necessary party?
Yes. His presence in the case against debtor A is not indispensible. The
court may require B be impleaded to complete the determination the
subject matter.
The duty of the plaintiff is only to tell the court that he has left out a
necessary party, he is not compelled to include such party. The court will
have to determine if it is essential for the court to order requiring that
necessary party to be impleaded.
CLASS SUIT
There is a common interest among persons so numerous that it would be
impracticable to bring them all to court. It is not required that all be
presented in court, but only enough to represent the rest of those who are
party to the same suit.
Ex. Oposa vs. Factoran is now enshrined in the Writ of Kalikasan via the
Citizens Suit on behalf of persons yet unborn. This is effectively a class
suit.
Note:
Intervention a matter that is subject to the discretion (allow or disallow)
of the trial court. Exception, court cannot deny intervention of a member of
the class in a class suit.
Deceased Litigant
SEC. 16. Death of party; duty of counsel.Whenever a party
to a pending action dies, and the claim is not thereby
extinguished, it shall be the duty of his counsel to inform the
court within thirty (30) days after such death of the fact thereof,
and to give the name and address of his legal representative or
representatives. Failure of counsel to comply with this duty
shall be a ground for disciplinary action.
Plaintiff dies the court would require the lawyer to submit the names of
the heirs in order to act as substitute plaintiff.
Refusal of all heirs to act as substitute parties, court can require the
defendant to seek the appointment of an administrator or executor of the
estate (in the settlement court for probate of a will or intestacy).
Mixed action action is both real and personal the venue in absence of
stipulation is the same as that of the rule in personal actions. (Whether
Action in-rem real; Quasi in rem or In personam personal)
Analyze the actions whether they are real or personal. For purposes of
venue, we follow its classification as a real action.
The rule on venue does not apply to CA, CTA and SC. It is only applicable
to trial courts and other lower courts.
2 requisites:
1. the parties must be natural persons
2. they reside in the same city or municipality
If case is filed directly in court in violation of the LGC, will the court
acquire jurisdiction?
Yes, under BP 129.
What are the remedies of defendant and the court if prior barangay
conciliation was not done?
~Defendant can file a motion for dismissal for lack of cause of action.
~Court can compel plaintiff to submit to barangay conciliation while being
held in suspension.
~Court can hold case in abeyance until conciliation was had or had failed.
(Court will dismiss the case, and await result of the barangay conciliation.)
Note: Barangay Court is not part of the judiciary, but part of the executive.
Inherently, barangay courts are not allowed to adjudicate, only to mediate,
to conciliate, and convince parties to arrive into a compromise agreement
and settle amicably. They act as an arbitration court; that is, if parties have
mutually agreed in writing to constitute the barangay court as an arbitration
court for their dispute.
The barangay courts follow procedurally the same rules as that of court
cases.
The pleadings could be verbal, although the barangay court usually asks
for pleadings to be written. They also require payment of minimal docket
fees, regardless of the amount of claim.
Rule of venue is different from Rule 4 RoC. The venue is the residence of
the respondent. If the complainant and respondent resides in different
barangay, the complaint should be filed in the barangay where the
respondent resides.
If they are unable to settle, the barangay court issues a certification that no
compromise was entered into. This enables the plaintiff to file a case in
court. But if a compromise agreement was filed, that agreement will be
considered a final and executory judgment, subject to repudiation by any
party within 10 days from execution of the agreement. Grounds are any of
the vices of consent. If there is repudiation, the barangay court will issue
certification allowing plaintiff to file the case in court.
There is no need for the barangay court to ask for confirmation of the
compromise agreement. After the lapse of the 10-day period, it becomes
final and executory. It can become subject to execution by the barangay
court. If the terms of the agreement are not complied with, the barangay
court can execute the judgment, provided such judgment should be
executed within six months from signing of compromise agreement.
SUMMARY PROCEEDINGS
It refers to the summary procedure followed by lower courts in unlawful
detainer, forcible entry and money claims up to 200k, exclusive of interest,
etc.
Note:
Small claims proceedings involve claims up to 100k.
The court itself will examine the contents of the complaint. If the court finds
the case should be dismissed under Rule 16, it can do so motu propio,
without a correlative motion to dismiss filed by the defendant.
The reason why the rules on summary proceedings does not allow the
court to declare defendant in default, it is because the rules under Rule 9
cannot be allowed in summary proceedings. It will be tantamount to
allowing a defendant in default to ask for lifting the order of default,
defeating the purpose of the rule on summary proceedings.
Motion for new trial, motion for reconsideration and petition for relief from
judgment are prohibited in summary proceedings. This does not mean the
defendant has no remedy after judgment. The only remedy available for a
defendant is to appeal the judgment. Annulment of judgment under Rule 47
can also be had under these proceedings. But, before he can avail of Rule
47, the rules are strict insofar as the requirements for annulment of
judgment are concerned. Such must be complied with before it can be
availed.
Why did not the SC adopt a common summary procedure for civil and
criminal cases? Why disallow trial in civil cases under summary
proceedings?
This is because SC cannot violate the rights of an accused in a criminal
case. The same right is not availing to a defendant in a civil case under
summary procedures.
Small Claims Proceedings
It contains prohibition against counsels appearing in court.
The scheme in Small Claims proceedings is that they are not required to
prepare their own pleadings. In Metro Manila, the MTC assigned to
entertain these claims have ready forms for complaints or answer to be
filed in court. Minimal docket fee is paid.
Small claims procedure has nothing to do with criminal cases, only civil
collection cases.
Back to pleadings.
PLEADINGS AND CONTENTS OF PLEADINGS
Rule 6 and Rule 10 (Take them as one set, as they refer to the same thing,
pleadings and content of pleadings)
Pleadings should always be in writing.
Claim Pleadings:
1. Complaint
2. Counter-claim
3. Cross-claim
4. Third-party complaint
5. Amended pleading
6. Supplemental pleading
7. Petition
Responsive Pleading:
1. Answer
2. Reply
COMPLAINT
Ultimate facts In ordinary civil cases, ultimate facts should be alleged in
the complaint. But plaintiff is not sanctioned in case evidentiary facts
are included therein, wherein the plaintiff also presents evidence he
intends to present in court.
Take Note: Even Rule 6 does not prohibit alleging evidentiary facts
along with ultimate facts. Rule 6 does not impose sanctions if
evidentiary facts are included in the pleadings. But the inclusion in
the complaint of ultimate facts alone is sufficient.
The ultimate facts are those that constitute the cause of action, an
allegation that the plaintiff has a right, an allegation that the defendant
has violated that right, or an allegation of compliance with conditions
precedent that gave rise to accrual of the cause of action.
Negative Defense
In civil cases, a negative defense is always an important part of the answer.
(Specific denial)
Theoretically, the defendant can make use of any mode of denial right
away.
The court has in several cases discouraged the 3rd mode of specific denial,
and imposed some sanctions if a defendant insists in using the 3rd mode
as the only mode contained in his answer. SC has given sanctions in
several cases. SC held that if the defendant had no knowledge or
information on the matter, defendant should explain why. Failure to do so,
such denial will not be considered a specific denial. A general denial will
be treated as a judicial admission to the allegations contained in the
complaint. Thus, a judgment on the pleadings can be had upon
motion of the plaintiff.
Counter-claim
It is a claim made by a defendant against a plaintiff.
Compulsory Counterclaim filed in the RTC vs. that filed in the MTC
A compulsory counterclaim filed in RTC cannot be a compulsory
counterclaim filed in the MTC.
Ex. Counterclaim filed in the RTC states that the case filed was unjust and
defendant claimed legal expenses amounting to 200k. This is considered to
be a compulsory counterclaim in the RTC even if such amount is below the
threshold for claims in the RTC. We cannot challenge the RTCs jurisdiction
by the amounts claimed in the counterclaim.
If the counter claim filed in the MTC by defendant was claiming 500k in
moral damages. Under the rules, this is no longer a compulsory
counterclaim, and treated as a permissive counterclaim. The MTC can
order dismissal of the counterclaim, as the counterclaim is outside the
jurisdiction of the MTC.
Reply
The filing of a reply is generally not necessary. It is in fact next to useless.
Note: If a party does not file such reply. All the new matters that were
alleged in the answer are deemed controverted (Sec. 10, Rule 6) (not
deemed admitted).
The matters not answered in the reply are deemed controverted (not
admitted). In a complaint, if the allegations therein are not specifically
denied or were not dealt with in the answer, they are deemed admitted. If
the defendant does not specifically deny or does not set up proper
affirmative defenses in the answer, the defendant is sanctioned by law. This
will lead the court to conclude that the defendant has admitted all
allegations in the complaint, and thus will lead to a judgment on the
pleadings.
But if the defendant filed an answer properly crafted, introducing a
new matter. The new matter asserts a positive defense of
extinguishment, for example, which is a ground for a motion to
dismiss. The plaintiff does not file a reply. Is the plaintiff deemed to
have admitted the new matter?
No. The new matter alleged in the answer is deemed controverted even
without a reply. Plaintiff need not submit a reply as the law itself that the
new allegation or matter is deemed controverted to be subjected to trial in
the court.
Under Rule 16, the defendant can now ask for a preliminary hearing to
determine whether there was extinguishment or not. But for purposes of a
reply, there is no need for the plaintiff to controvert the new matters. The
second sentence of the definition of a reply is the most important. All
matters alleged in the answer are deemed controverted, and a reply need
not be filed.
EXCEPTIONS:
1. Where the answer alleges the defense of usury in which case a reply
under oath should be made. Otherwise, the allegation of usurious interest
shall be deemed admitted. (NO LONGER APPLICABLE)
2. Where the defense in the answer is based on an actionable document, a
reply under oath pursuant to Sec. 8 of Rule 8 must be made. Otherwise,
the genuineness and due execution of the document shall be deemed
admitted.
Note: A variance in the substance of the document set forth in the pleading
and the document annexed thereto does not warrant the dismissal of the
action (Convets, Inc. v. National Development Co., G.R. No. L-10232, Feb.
28, 1958). However, the contents of the document annexed are controlling.
It is in third party complaints that will best illustrate the meaning of ancillary
jurisdiction of a trial court.
Note: Where the trial court has jurisdiction over the main case, it also has
jurisdiction over the third party complaint, regardless of the amount
involved as a third-party complaint is merely auxiliary to and is a
continuation of the main action (Republic v. Central Surety & Insurance
Co., G.R. No. L-27802, Oct. 26, 1968).
Note: The court is vested with the discretion to allow or disallow a party to
an action to implead an additional party. Thus, a defendant has no vested
right to file a third party complaint (China Banking Corporation vs. Padilla,
G.R no. 143490, Feb. 2, 2007; Riano, p. 342, 2009 ed.).
Note: Under its ancillary jurisdiction, a court may determine all questions
relative to the matters brought before it, regulate the manner in which
a trial shall be conducted, determine the hours at which the witnesses
and lawyers may be heard, and grant an injunction, attachment or
garnishment.
FORMS OF A PLEADING
Are there pleadings that are inadmissible by the court if the only
signature is that of the lawyers?
By way of exception, yes, in case of marriage annulment cases, according
to the SC Circular, the complaint and the answer must be signed also by
the party himself. If signed only by the lawyer alone, the court will not
accept the pleading.
VERIFICATION
Q: Is verification necessary in pleadings?
A: No, except when otherwise specifically required by law or rule,
pleadings need not be under oath, verified or accompanied by affidavit.
(Sec. 4, Rule 7)
Q: What is the significance of verification?
A: it is intended to secure an assurance that the allegations in a pleading
are true and correct and not the product of the imagination or a matter of
speculation, and that the pleading is filed in good faith. The absence of a
proper verification is cause to treat the pleading as unsigned and
dismissible (Chua vs. Torres, 468 SCRA 358; Riano, Civil Procedure: A
Restatement for the Bar, p. 60, 2009 ed.)
If the verification is not according to the tone given in the Rules, that will be
an inadequate or insufficient verification. And under Rule 7, the absence or
inadequacy of the verification shall result in an effectively unsigned
pleading.
There was a recent case wherein the complaint had 5 principal plaintiffs
and only two of them signed. The defendant challenged the authority of the
court receive the case as the certification was ineffective. The court refused
to dismiss the case. The court said that it will go ahead with the case but
will drop the claims where the non-signing plaintiffs are concerned. In
effect, the court said the signature of the two plaintiffs will of substantial
compliance with the requirement.
As to the issue of a lawyer signing the certification of non-forum shopping,
the general rule being that a party himself must sign, if the lawyer sign for
the plaintiff, the lawyer must be able to show his authority to do so via a
special power of attorney authorizing him to sign in the stead of his client.
XPN: The court may dismiss the case motu propio based on:
1. Lack of jurisdiction over the subject matter;
2. Litis pendencia;
3. Res judicata; and
4. Barred by statute of limitations (Sec. 1, Rule 9)
Note: A previous decision or judgment will bar the filing of another case
similar or tackling the same issues, having the same parties, and the same
or related reliefs. In a civil case, it is called res judicata, while in a criminal
case, it is called double jeopardy.
In the case of criminal cases, there is the defense that the information does
not charge an offense. In civil cases, this is equivalent to Rule 16, failure to
state a cause of action. In civil cases, if the complaint does not properly
allege a cause of action and the complaint was not amended at all, where
the defendant does not file a motion to dismiss, the case went to trial, and
the plaintiff showed in the trial that he indeed has cause of action, the
complaint is deemed amended. This is called amendment to pleadings to
conform to evidence.
DEFAULT
Q: When is a declaration of default proper?
A: If the defending party fails to answer within the time allowed therefor, the
court shall upon motion of the claiming party with notice to the defending
party, and proof of such failure, declare the defending party in default (Sec.
3, Rule 9, Rules of Court). (Riano, p. 507, 2005 ed.)
3. After the judgment becomes final and executory he may file a petition
for relief from judgment under Rule 38 (Balangcad v. Justices of the CA,
G.R. No. 83888, Feb. 12, 1992) (2006, 1998 Bar Question)
EXTENT OF RELIEF
Q: What is the extent of relief?
A: The judgment shall not exceed the amount or be different in kind from
that prayed for nor award unliquidated damages [Sec. 3(d), Rule 9].
However, if the court orders submission of evidence, unliquidated damages
may be awarded based on such.
The court cannot motu propio declare the defendant in default. Motion must
be made by the plaintiff before declaration of default can be had. Failure to
file the motion for declaration of default by the plaintiff can result to the
complaint being dismissed for failure to prosecute for an unreasonable
length of time under Rule 17. It is a dismissal with prejudice.
PARTIAL DEFAULT
Partial default one of several defendants, sued under a common cause of
action, is declared in default, while the others can still participate in the
case.
Default is founded on the premise that the defendant has been served with
summons but chose not to response within the reglementary period.
If the court finds for the answering defendant, will that decision also
affect the defendants declared in default?
Yes. Whatever happens to the case, the defendants in default shall be
subject to the decisions rendered. Thus, if the answering defendant wins,
the decision shall also be in favor of the defendants in default. This is one
situation where a defaulting defendant can prevail in the case. The reason
is that the non-answering defendants are sued under a common cause of
action with answering defendants.
In one case, the creditor who sued 2 defendants where one had
answered and other failed to answer, and subsequently ordered by
the court to be declared in default, his counsel most likely told him
about this principle in default. The plaintiff moved for the dismissal of
the complaint against the answering defendant. The answering
defendant did not object to the dismissal. The case caption was then
changed to plaintiff versus the defendant in default. Can the court
now ask for presentation of evidence ex-parte?
SC held that it is not necessary. Even if the answering defendant has been
dropped from the case upon the initiative of the plaintiff, what the trial
should examine is whether or not the answering defendant is an
indispensable party to the case. If answering defendant is an indispensable
party, then the court should require the inclusion of such party. What the
court should do is to order the plaintiff to amend his pleadings and include
the indispensable party. Failure to do so will be dismissal of the complaint
with prejudice under Rule 17. This is because if answering defendant is an
indispensable party but he is not around, the proceedings of the court could
be void, it would be useless for the court to try the case. And under the new
doctrines enunciated by the SC, if an indispensable party has not been
included or has been dropped from the case, the court should compel the
indispensable party to be impleaded via an amendment to the complaint.
Failure of plaintiff to do so will allow the court to dismiss the case with
prejudice under Rule 17 for refusal to obey a lawful court order.
If the court has already rendered judgment by default (after motion to life
order of default has been denied), defendant can appeal. A judgment by
default is an adjudication on the merits, hence appealable, Rule 65 is
automatically non-available as a rule.
If court lifted order of default, the defendant should file the answer as soon
as possible. The court, as a matter of public policy, should allow the
defendant who had been in default to file his answer. The court should not
deprive defendant the right to present his side before the court.
Defendant can change his denials in his answer from general to specific by
filing an amended answer as a matter of right. 2nd, 3rd etc. amendment
must be with leave of court.
Can we amend pleadings if the case has already been decided and is
on appeal either in the CA or SC?
Yes. Amendments can be done if it is only formal in nature. But if the
amendment is substantial, appellate courts will hesitate as such
amendment will injure the rights of parties who had not appealed. What can
be brought on appeal are issues that have been raised from the trial court.
An amended pleading takes the place of the original pleading. Will the
court discard the original pleading?
No, the court will retain the pleading for court record purposes. Admissions
made in superseded pleadings are considered extra-judicial admissions.
They can be rebutted.
Admissions made in the original pleadings are still admissions, but cannot
be considered as judicial admissions. They are mere extra-judicial
admission by the person making it.
If denied, the movant should file the required pleading in the remaining
period, which should not be more or less than 5 days.
But if the motion is granted, in case of a defendant, the court will order the
submission of an amended complaint or a bill of particulars, which will form
part of the allegations contained in the complaint.
If the plaintiff does not obey the order of the court to submit a bill of
particulars, what is the remedy of the defendant?
The remedy is either to strike out the parts of the pleading that are vague.
Or, the more practical move, the defendant move to strike out the entire
pleading, wherein the case is dismissed.
The remedy if pleading still remains vague after bill was approved and
particulars were provided for:
1. Striking out parts still vague
2. Striking out the entire pleading (if it is a complaint, the case is dismissed.
If it is the answer stricken, motion for declaration of defendant in default.)
But in case of a motion to dismiss, the courts are very strict, personal
service is a must. If it was served by mail, the court requires submission of
proof of actual delivery/receipt by mail (the registry return card). If such
proof is not presented, the court will not act on the motion to dismiss for
failure to observe the requirements concerning service of this important
motion.
SUMMONS
Q: What is the nature of summons?
A: It is the writ by which the defendant is notified of the action brought
against him (Gomez vs. Court of Appeals, G.R. No. 127692, March 10,
2004). An important part of that notice is a direction to the defendant that
he must answer the complaint within a specified period, and that unless he
so answers, plaintiff will take judgment by default and may be granted the
relief applied for (Sec. 2, Rule 14). (Riano, p. 411 , 2005 ed.)
PERSONAL SERVICE
Q: When is personal service of summons proper?
A: Only if the suit is one strictly in personam. The service of summons must
be made by service in person on the defendant. This is effected by handing
a copy of the summons to the defendant in person, or if he refuses to
receive it, by tendering the copy of the summons to him (Sec. 6, Rule 14).
(Riano, p. 423 , 2005 ed.)
SUBSTITUTED SERVICE
Q: When is substituted service of summons proper?
A: In our jurisdiction, for substituted service of summons to be valid, it is
necessary to establish the following:
1. The impossibility of service of summons in person within a reasonable
time;
2. The efforts exerted to locate the person to be served; and
3. Service upon a person of sufficient age and discretion in the same place
as the defendant or some competent person in charge of his office or
regular place of business (Sabio, Jr., 339 SCRA 243 [2000]; Hamilton vs.
Levy, G.R. No. 139283, November 15, 2000). (Riano, p. 427 , 2005 ed.)
Summons is the writ available to a trial court to enable the court to acquire
jurisdiction over the person of the defendant. Although not the only writ
available for the court to acquire jurisdiction over the person of the
defendant, it is the usual writ used. The court can acquire jurisdiction over a
defendant by compulsion, even though it has not issued a summons. An
example is in the case of a special civil action under Rule 65, certiorari,
prohibition and mandamus.
Certiorari, prohibition and mandamus are special civil actions. They are
distinct from the case from which that order or decision has originated. But
in Rule 65, the Rules do not allow the certiorari court or prohibition court to
issue summons to the defendant. What Rule 65 authorizes is to issue a
notice to defendant/respondent requiring him to submit a comment before
the court. That comment will enable the court to acquire jurisdiction over
the person of the respondent.
There is even that mode of acquisition where the court need not do
anything, wherein a party makes a voluntary appearance in court.
2006 case
Defendant owed money to a corporation. Defendant lived in a gated
subdivision. The sheriff was not allowed inside the subdivision. What
the sheriff did was to leave a copy of the summons, together with the
complaint, with the guards. Is there valid service of summons?
To be literal, no, there was no valid substituted service of summons. If the
summons and the complaint were left only with the security guard, it did not
comply with leaving at the place of residence of the defendant with some
person of suitable age and discretion then residing therein. The guards do
not actually reside in the place of residence of the defendant.
The SC stated that the meaning of sufficient age and discretion does not
mean that the person to be served could be a minor. This person means
that this person should mean a person at least 18 years of age with a
relationship involving confidence with the defendant. So, if the service
of summons was given to a person who was only a visitor of the defendant,
that will not comply with this requirement.
In this 2006 case, the SC became very liberal. Although it was clear sheriff
did not satisfy the requirements of a valid service of summons, the SC
ruled that the trial court did acquire jurisdiction over the person of the
defendant.
Former Procedure
Citizens Surety vs. Herrera (Service of summons for an Action in
personam publication of summons with preliminary attachment of
properties)
Sheriff stated that the summons could not be served personally or by
substituted service. The plaintiff filed an ex parte motion to issue a
summons by publication. The court granted it. Plaintiff caused the
publication of the summons. After 60 days, there was no responsive
pleading. Plaintiff filed a motion to declare defendant in default. During the
hearing of the motion, plaintiff presented the court the order authorizing
publication and affidavit of the publisher. Plaintiff expected the court to
grant his motion. The court did not, but instead asked the plaintiff to explain
why the complaint should not be dismissed. The court stated that
publication did not enable the court to acquire jurisdiction of the court. The
requirement left out was a constitutional requirement of due process, that
the action was converted from one in personam to that one in rem or quasi-
in rem. This could be done, after causing the publication of the service of
summons, by applying with the court for an order for preliminary
attachment of defendants personal properties in order to acquire
jurisdiction over the person over the defendant.
This conclusion by the plaintiff, aside from Rule 14 Sec. 15, this is
supported by Rule 57 Sec. 1.
Note: If the court still did not still acquire jurisdiction over the
defendant despite the attachment of the personal properties of the
defendant, then the case will be archived. There can be no dismissal
of the case. No prescription will run, since the complaint is archived.
Facts:
Issue:
Held:
Issues:
Held:
Since 2008, the lawyers have made use of Santos vs. PNOC as the
authority to convince a trial court that there is no need for a publication of
summons for the issuance of a writ of preliminary attachment before the
court could acquire jurisdiction over the person of the defendant.
In 2010, SC resolved another case, Palma vs. Galvez. In the case of
Palma vs. Galvez, the SC held that we should literally apply what the Rules
provides, particularly Section 16 of Rule 14. If you read Section 16, the
defendant is a resident of RP temporarily out of RP. In relation to Section
14, if the whereabouts of the defendant is unknown, there could be
publication of summons, and that would enable the court to acquire
jurisdiction over the person of the defendant.
Now on the merits, the issue for resolution is whether there was
a valid service of summons on private respondent.
We do not agree.
NOTE:
It would seem that the principle adhered to for a long time since
Citizens Surety vs. Herrera is no longer binding upon plaintiffs. They
can ignore the requirement of prior attachment of personal properties
of the defendant before availing of a publication of summons to
enable a court to acquire jurisdiction over the person of the
defendant. Read over Sections 14, 15 and 16, correlating them with
the cases of Palma vs. Sanchez. There is really no need for an action
in personam to be converted to an action in rem or quasi in rem, via a
writ of preliminary attachment, in order for a court to be able to
acquire jurisdiction over the person of the defendant.
MOTIONS
Q: What is a motion?
A: It is an application for relief other than by a pleading. (Sec. 1, Rule 15)
General Rule: If not made in open court, it must be reduced into writing. It
must satisfy all the requirements in the Rules concerning motions.
MOTION TO DISMISS
Motion to dismiss is prohibited in certain proceedings, as set down by the
Rules or based on circulars issued by the SC.
Summary Procedure and some special proceedings prohibit the filing of a
motion to dismiss. But in regular procedure, a motion to dismiss is allowed
in civil cases. Motion to Dismiss under Rule 16 should be filed as a matter
of general practice before an answer can be filed by defendant.
If the defenses are those that are non-waivable grounds for dismissal, it is
possible for the defendant to file motions to dismiss one after another
without violation of the Omnibus Motion Rule.
Theoretically:
If the first motion to dismiss based on prescription is denied, the defendant
is allowed to file a second motion to dismiss based on litis pendencia. If
that is again denied, the defendant files his 3rd motion dismiss founded on
lack of jurisdiction over the person of the defendant. If it is again denied,
the defendant can file a motion to dismiss based on res judicata.
Currently, there are now 4 options for the court to resolve a motion to
dismiss. The fourth option is by virtue of the law on alternative disputes
resolution.
In a motion to dismiss, we can use of any grounds under Rule 16. But if the
motion is found on a ground that is waivable, the other grounds not cited
are deemed waived, with exception to those non-waivable grounds. Thus, if
the defendant filed a motion to dismiss solely on the ground of lack of
jurisdiction over the person of the defendant, which is a waivable defense,
and the motion was denied, the defendant is precluded from filing a motion
to dismiss based on the ground of improper venue. What will be allowed
would be the succeeding motions to dismiss are grounded on non-waivable
defenses.
With respect to lack of jurisdiction over the subject matter or over the
nature of the case, this ground is dealt with in Tijam vs. Sibonghanoy.
Definition of Laches:
This is an application of the Tijam Doctrine in our present Rules. So, we still
have laches or estoppel as a defense against the non-waivable defense of
lack of jurisdiction over the subject matter.
In other cases, the SC also used another kind of estoppel in order to bar
the party from raising the issue of jurisdiction, although the trial court
REALLY DID NOT HAVE jurisdiction over the subject matter.
Issue: Whether the trial court has jurisdiction over the case
Held: YES. While it is true that jurisdiction may be raised at
any time, this rule presupposes that estoppel has not
supervened. The Court has constantly upheld the doctrine
that while jurisdiction may be assailed at any stage, a
litigants participation in all stages of the case before the
trial court, including the invocation of its authority in
asking for affirmative relief, bars such party from
challenging the courts jurisdiction. A party cannot invoke
the jurisdiction of a court to secure affirmative relief against his
opponent and after obtaining or failing to obtain such relief,
repudiate or question that same jurisdiction. The Court frowns
upon the undesirable practice of a party participating in the
proceedings and submitting his case for decision and then
accepting judgment, only if favorable, and attacking it for
lack of jurisdiction, when adverse.
*******
On July 8, 1994, an information for reckless imprudence
resulting in homicide was filed against the petitioner before the
Regional Trial Court (RTC) of Bulacan, Branch 18. The case
was docketed as Criminal Case No. 2235-M-94. Trial on the
merits ensued and on August 19, 1998, the trial court convicted
the petitioner as charged. In his appeal before the CA, the
petitioner questioned, among others, for the first time, the trial
courts jurisdiction.
**********
The court finds merit in [NPCs] claim that the Order of the
LBAA of the Province of Quezon is a sin perjuicio decision. A
perusal thereof shows that the assailed Order does not
contain findings of facts in support of the dismissal of the
case. It merely stated a finding of merit in the contention of
the Municipality of Pagbilao xxx.
Problem: Defendant must file a motion to tell the court of this defense.
Solution: Inform the court that his appearance is a Special appearance
only.
This Special Appearance Rule stems from another principle in the past that
when a defendant files a motion to dismiss on ground that the court did not
acquire jurisdiction over his person, when he adds another ground found in
Rule 16 by virtue of the application of the Omnibus Motion Rule, the
decisions of the SC then was then when another ground is added in the
motion to dismiss aside from lack of jurisdiction over the person of the
defendant, he waives the ground of lack of jurisdiction over his person. This
has been changed in the present Rules.
Under Omnibus Motion Rule, defendant who files motion to dismiss plus
any other ground in rule 16 is NOW deemed not to be a person over whom
the court did not acquire jurisdiction over his person. A defendant is free to
file a motion to dismiss, citing as one of his grounds lack of jurisdiction over
his person, he is not deemed to have waived his argument that the court
has not gained jurisdiction over his person.
Let us say that the defendant who claims that the court has not acquired
jurisdiction over his person does not respond to the summons, as filing of
an answer is a waiver of his defense of lack of jurisdiction over his person.
He received a copy of the order of the court, and then following the Rules,
the defaulting defendant files a motion to lift the order of default. The filing
of a motion to lift the order of default is acceptance by the defendant of
jurisdiction of the court over his person. In another instance, the defendant
receives the copy of the judgment of default, the defendant files a motion
for reconsideration and a motion for new trial. The motion for
reconsideration or new trial is a submission of the defendant to the
jurisdiction of the court over his person. This is the reason why in Palma vs.
Galvez, the defendant claims that the court did not acquire jurisdiction over
his person, and filed a motion for new trial, he must qualify the motion must
not be treated as a voluntary submission of the defendant to the jurisdiction
of the court over his person. He must always qualify his motion with that
ground.
Note:
In a hearing of a motion to dismiss grounded to lack of jurisdiction over the
subject matter, the court will not allow presentation of evidence by the
defendant. The reason is because lack of jurisdiction over the subject
matter is a purely legal question and the only evidence to be taken into
account is the complaint itself, applying the principle that the court acquires
jurisdiction, under BP 129, based on the allegations contained in the
complaint. In the hearing of a motion, the court will allow presentation of
evidence ONLY if the question that will be raised is a factual issue like the
obligation has been paid, waived or otherwise extinguished. Thus, in a
motion to dismiss on the ground of lack of jurisdiction over the subject
matter, the court will resolve the motion based on the complaint itself. The
court can easily resolve the said motion based on the allegations in the
pleading itself.
If the case was dismissed on grounds not on letters f, h and I, it means that
we should not treat Rule 16 alone, but consult other Rules to arrive at the
correct remedy. We consult Sec. 1 under Rule 41. The dismissal is
without prejudice. Therefore, the dismissal should not be appealed.
In analyzing Rule 16, 17, 18 and 33, we should always read these
Rules in relation with Section 1 of Rule 41.
In the enumeration under Section 1 of Rule 41, the last item is closely
related to Rule 16, that it is a dismissal is without prejudice. In Rule 16,
what the Rule tells us is that under items f, h and i of Sec. 5 Rule 16 are
subject to appeal. That means the dismissal is with prejudice as the
remedy thereof is to appeal.
But when the dismissal on other grounds other than items f, h and i under
Sec. 5 Rule 16, they are without prejudice. And Section 1(h)Rule 41 tells
the plaintiff that one of the recourses available to him when the dismissal is
without prejudice. Appeal is not a remedy available to him.
The court issued an order of dismissal. What should the plaintiff do?
The remedy available to the plaintiff is found under Sec. 1 of rule 41 in
order to challenge the order of dismissal that are still appealable based on
Sections 1 and 5 of Rule 16 (those not under items f, h and i). Since an
order of dismissal is not appealable, then the plaintiff must file an
appropriate petition under Rule 65. The plaintiff may file a petition for
certiorari or prohibition with the CA or SC as the case may be.
But because the dismissal is without prejudice, the plaintiff can forget about
going to a higher court. Because if the dismissal of his complaint was
without prejudice, he has another alternative: he can just file a new
complaint in the same court involving the same party with the complaint
impleading the necessary allegations.
In fact, the court said that the results enumerated under Section 16 is not
exclusive. We should include laches. Under the NCC, laches could
extinguish an obligation.
So, during the trial of the case, the defendant may be able to present to the
court additional evidence in order to prove such ground under Rule 16 that
he has relied upon.
Any dismissal by a court is a final order. But what matters is to find out if
the dismissal is with or without prejudice so as to ascertain the remedy
available. In dismissals under Rule 16, if the grounds are letter f, h or i,
then the dismissal is with prejudice. The remedy of the plaintiff is to appeal
from the judgment.
But if the dismissal is without prejudice, the plaintiff has not much to worry.
He can forget about Rule 41. He can file a second complaint, but he must
make sure it is properly crafted. If the plaintiff files a second complaint,
but it was again dismissed, there is the probability under Rule 17 Section
1 that it will be a dismissal with prejudice under the two-dismissal rule.
Thus, if a complaint has been dismissed twice, the second dismissal may
operate as an adjudication of the merits.
If an indispensable party has not been impleaded, the court may simply
order the plaintiff to amend his complaint to include the indispensable party.
The plaintiff can then just file an amended complaint, and then the case
can proceed until the final determination of the case.
If Plaintiff files complaint today. Plaintiff changed his mind and moved
to dismiss the case. The summons had not been sent. What if the
plaintiff dismissed his own complaint via a motion?
The court will have the discretion whether to grant or deny the motion.
The plaintiff should not dismiss his case via a motion. The means for a
plaintiff to dismiss his case is provided for under Section 1, Rule 17.
What if a notice of dismissal was given instead?
The court is left without discretion as to what to do with the complaint but to
dismiss it. Filing of a timely notice of dismissal will result in the dismissal of
the case. The dismissal is without prejudice, unless plaintiff tells the court
that the notice of dismissal is to be considered an adjudication on the
merits.
The case had been dismissed by the court because of the plaintiffs
notice of dismissal. What if plaintiff changed his mind after the order
of dismissal? What can he do?
He needs to wait 15 days after the order of dismissal and ask for revival of
the case. No new complaint need be filed, and no docket fees need be paid
again.
TWO-DISMISSAL RULE
Plaintiff files a collection case for 500k against defendant. Defendant
visits the plaintiff and asked the plaintiff for the dismissal of the case,
promising payment. Plaintiff acquiesced and files notice of dismissal.
Court dismisses the case. The defendant failed to pay. Can the
plaintiff file another case against defendant?
Yes, as the case was dismissed without prejudice.
The defendant again approached plaintiff, asking again for time.
Plaintiff again agrees, and files another notice of dismissal. It is again
dismissed. What will be the effect?
The dismissal is with prejudice this time. If plaintiff files a case for the same
defendant for the same cause as the defendant again failed to pay, the
case will be dismissed as the second dismissal is one with prejudice, and
res judicata will lie.
What if the defendant files motion to dismiss, but failed to allege res
judicata, can the court proceed to dismiss?
Yes, the court can do so, even if the defendant failed to allege it. It is a non-
waivable ground of dismissal, and anytime the court discovers such fact, it
will dismiss the case.
Can the court say in its decision of dismissal that the second
dismissal is without prejudice?
No. The court cannot say the second dismissal is without prejudice as the
law itself dictates that such dismissal is with prejudice, and the court will
have no discretion as to such dismissal being with or without prejudice. As
long as it is the second dismissal of the same case, it will always be with
prejudice due to res judicata.
2. In Section 2 Rule 17, a plaintiff may dismiss his complaint via a motion to
dismiss. Here, the defendant had already filed an answer. If the plaintiff
seeks to dismiss the complaint, he must file a motion to dismiss his
complaint, copy furnished to the defendant. The likelihood is that the
defendant will not object. If the defendant does not object, and the court
dismisses the case without prejudice, the plaintiff is allowed to file another
case against the same defendant based on the same cause.
The other alternative is that the plaintiff can ask the court for the dismissal
of the complaint but the court will continue to exercise jurisdiction so that
the court will continue to try the compulsory counterclaim.
Rule 17, Section 3, Grounds of dismissal
~the plaintiff fails to appear on the date of the presentation of his evidence
in chief on the complaint,
~fails to prosecute his action for an unreasonable length of time (nolle
prosequi),
~fails to comply with these Rules
~ fails to comply with any order of the court,
Under this section, the initiative for the dismissal of the case comes from
the defendant or the court itself.
How can the court order a dismissal under Section 3 of Rule 17 upon
the ground that the plaintiff failed to obey the provisions of the Rules
of Court?
A good example can be had under Rule 18 on Pre-Trial. In Rule 18, it is
provided expressly that after the last pleading is filed, it is the duty of the
plaintiff to set his complaint for pre-trial. He must file a motion to have the
complaint set for pre-trial. When the plaintiff fails to set the hearing for pre-
trial for, let us say, one year ago up to the present, and there is a finding
that the plaintiff failed to do so, the court can dismiss the case on the
ground that the plaintiff failed to follow the provision set upon in the Rules.
This has been affirmed by the SC. So, if it is the duty of the plaintiff to set
the case for pre-trial, and he neglects to do so for an unreasonable length
of time, there is every reason for the court to make use of Rule 17, to order
the dismissal of the case under Section 3 thereof. This is a dismissal with
prejudice unless the court makes the necessary qualification that it is a
dismissal without prejudice.
In most courts (RTC or MTC), if the court calls the case for trial on the
merits, and plaintiff does not appear during trial, the lawyer for the
defendant may ask for the dismissal under Section 3, Rule 17 for failure of
the plaintiff to prosecute for an unreasonable length of time or for failure of
the plaintiff to appear on the date of the presentation of his evidence in
chief on the complaint. And usually, the trial court accommodates the
defendants move because if a trial court dismisses the case, that is one
case where the judge can present that he has been resolving speedily the
cases that are assigned to him.
Last year, the SC came out with a resolution concerning this particular
provision in relation to Shimizu vs. Magsalin. Study this case as it would be
a good problem in the bar.
RULE 18 PRE-TRIAL
Mandatory in all cases, even in summary procedure, where it is called a
preliminary conference. It is present even in small claims procedure, where
there is a semblance of pre-trial in the preliminary conference under the
Judicial Dispute Rule.
It is the duty of the plaintiff to schedule his complaint for pre-trial after the
last pleading has been filed. Failure to do so, the case may be dismissed
with prejudice. But again, the order of dismissal should order why and how
the court has arrived at the conclusion that the plaintiff has waived or not
obeyed the RoC. This rule on pre-trial has been modified by the SC,
applying the rules of mediation and conciliation.
The Trial Court calls the parties to pre-trial. The parties are told to attend a
mediation/conciliation process by accredited mediators/conciliators. The
case might be terminated while in this process. The mediator/conciliator
usually issues notices to the parties as to the schedule of the
mediation/conciliation conference. If the plaintiff does not appear for
mediation/conciliation, he repeatedly ignores such notices sent as to the
schedule of the mediation/conciliation conference, the mediator/conciliator
will submit a report thereof to the trial court. It can be a ground of dismissal
with prejudice, according to SC Circulars. If a court orders that the parties
should attend a mediation/conciliation conference, such conference is
deemed part of the pre-trial process. It is tantamount to the plaintiff
absenting himself from a hearing in the trial, and thus a violation of an order
of the court. Thus, such disobedience by the plaintiff shall be a ground for
dismissal with prejudice.
If mediator/conciliator fails in the attempt to settle, they will file a report and
recommend proceeding to a pre-trial proper. Parties will be ordered to
submit pre-trial brief and attend the pre-trial conference.
There are now several layers that the SC Circulars introduced that will
enable a trial court to enforce the state policy in the NCC which
encourages the parties to settle their case amicably, one of which is the
mediation/conciliation conference as part of the pre-trial conference.
Basing on Rule 18, the parties have a common duty for purposes of
pre-trial:
1. submission of a pre-trial brief
2. attend the pre-trial conference
If any one of them fails to submit a pre-trial brief, there are serious
sanctions imposed. Even if they have timely submitted their pre-trial brief
but if one party was absent in the pre-trial conference, there are serious
consequences.
We do not observe anymore the principle that if the defendant was unable
to attend the pre-trial conference, or he fails to submit a pre-trial brief on
time, the court can no longer issue an order declaring the defendant in
default. What the court will do is order the plaintiff to present evidence ex-
parte. The decision of the court will be based on such evidence.
Pre-trial Order court are required to issues such order after the
termination of the pre-trial conference, stating therein the matters to be
taken up and will serve to control the proceedings in trial proper. The court
is required to specify the issues that have not been stipulated upon and
what should be the object of the trial whenever the court finds it necessary
to conduct a trial. This is an important document in a civil case insofar as
the triable issues are concerned.
If we follow the decisions of the SC, the issues that are specified in a pre-
trial order in a civil case, since they control the proceedings to be taken
thereafter by the court, the court can even disregard the pleadings
submitted by the parties after the pre-trial.
Facts:
The complaint was for collection of sums of money amounting to 1M.
During pre-trial, the parties agree that the real issue is to recover
possession and ownership from defendant a piece of land, instead of
collection of 1M as stated in the complaint. That is the issue
embodied in the pre-trial order. Is the pre-trial order valid?
Yes. Although it is in conflict with pleadings, Rule 18 is very clear that it is
the pre-trial order that will govern the proceedings, not the pleadings.
Although we learn in Evidence that the issues are those found in the
pleadings in a civil case, the triable issues for the purposes of a civil case
are those found in the pre-trial order. There is nothing wrong in a civil case
if we start with a collection of money case that is converted to a recovery of
property case in pre-trial, even without amending the complaint. This is
because what governs the course of the proceedings is the triable issue
that is specified in the pre-trial order, as specified under the last section of
Rule 18. Thus, in our last example, the court will simply ignore the issue as
to the claim for a sum of money, as the issue to be tried will be the issue on
the recovery of possession and ownership of a piece of land, the issue
found in the pre-trial order.
Why do we allow the trial court to change the issues without changing
the pleadings?
This is because, during the pre-trial hearings, the parties are present
therein. And if they both agreed to the change of issues in open court, such
as changing the issues of the complaint from collection for sums of money
to that of recovery of possession and ownership of property, then the court
will be simply following the desire of the litigants as to what issue to be tried
during the trial.
Let us say the court strictly follows the pre-trial order, and then reminds the
parties that the issue in the trial will be the recovery by the plaintiff of
possession and ownership of the property from the defendant. And during
the trial, the plaintiff was able to show that he was indeed entitled to
recover, then there is nothing wrong with that as the evidence is relevant
and material.
What if during the trial, the plaintiff also presented evidence that he is
also entitled to recover 1M along with the property, will it be allowed?
He cannot, if the defendant objects. But, if the defendant failed to object to
such evidence, the plaintiff will be able to present evidence on an issue not
raised in the pre-trial order.
2008 cases
ABS-CBN Broadcasting Corporation v. World Interactive
Network Systems (WINS) Japan Co., Ltd. (G.R. No. 169332)
11 February 2008
Rule 43
Rule 65
As for the remedy under Rule 65, the Supreme Court stressed
that it will not hesitate to review a voluntary arbitrators award
where there is a showing of grave abuse of authority or
discretion amounting to lack or excess of jurisdiction, and there
is no appeal, nor any plain, speedy remedy in the course of law.
Principle of Separability
Arbitration clause is treated as an agreement independent
of the other terms of the contract of which it forms part. A
decision that the contract is null and void shall not entail ipso
jure the invalidity of the arbitration clause. (Uncitral Model Law,
Sec. 16(1); Special ADR Rules 2.2)
If the arbitration clause is still valid, and one of the parties filed a case
in court, allegedly for the enforcement of his right, then the court,
confronted with the arbitration clause/contract, will have to either
dismiss the complaint or suspend the proceedings and compel the
parties to go into arbitration.
Under the decisions of the 3 cases, the court also emphasize that there
could be a complaint to declare the unenforceability of or to declare void
the arbitration contract. It is an RTC that has jurisdiction to do so. But even
if there is a pendency of such a case to declare unenforceability of or to
declare void the arbitration contract, it shall not serve to prevent the parties
from proceeding to arbitration. In fact, these cases came out with a
principle which the court called the Principle of Anti-Suit Injunction.
The Principle of Anti-Suit Injunction means that the court has no
authority to issue a writ of injunction to prevent an arbitration from
proceeding or an arbitration board to be constituted for the purpose
of enforcing the arbitration clause.
Competence-Competence.
What is the Competence-Competence Principle?
Power of arbitral tribunal to initially rule on the question of its
jurisdiction over a dispute including any objections with respect to
the existence or validity of the arbitration agreement or any condition
precedent to the filing of a request of arbitration.
There arises a policy of judicial restraint, such that the finding of the court
on the jurisdiction of the arbitral tribunal is at best prima facie.
Note:
There is a before Arbitration Tribunal, after Arbitration Tribunals finding,
and after-after.
The RTC may have the authority to entertain a petition to declare void or
unenforceable an arbitration clause. But the decision of the RTC is merely
prima facie. We will rely the findings later on of the arbitral tribunal. This is
the principle of competence-competence. (Dean Jara)
Does the prima facie finding of the court mean that the arbitral
tribunal can still be formed?
Yes. If the court finds that the arbitration agreement is null and void,
inoperative or incapable of being performed, a party may nevertheless
commence arbitration and constitute the arbitral tribunal.
So where does prima facie finding of the court come in? How is it
prima facie?
This means that the same issue may be passed upon by the arbitral
tribunal, which has the effect of superseding the previous of the court. (This
is the AFTER ruling.)
But how may arbitration commence if it the court has made a prima
facie finding that the arbitration agreement is found null and void,
inoperative or incapable of being performed? Will the other party who
got the favorable ruling of the court participate / cooperate?
Get an appointment of arbitrator - sole arbitrator, ad-hoc, institutional.
There is no summons issued by the arbitration board, just a notice for filing
a response. Service thereof can be had by private courier.
Let us say that the winning party wants the arbitral award to be treated like
a judgment of the court, he simply files with the RTC to confirm arbitral
award. He can do it at any time. If arbitral award is confirmed by the RTC,
the arbitral award ceases to be such and is now a judgment that can be
executed under Rule 39. Violation thereof can cause winning party to file
motion for execution of judgment. In arbitration, an arbitral award is final
and executory, especially if confirmed by the RTC.
The losing party can file a petition with the same RTC which has authority
to confirm the award for purpose of vacating, correcting or modifying said
award.
Supposing the RTC vacates award, setting it aside. Can the RTC make
its own decision concerning the merits of the decision?
Not possible. Although a court of justice can vacate, modify or correct an
arbitral award, it has no authority to render its own judgment on the merits.
The domestic arbitration law and the SC Circular said that if the court
decides to vacate the award, the court does not have the authority to
change the conclusions of law of the arbiter. The principle is a court
cannot render its own decision on a case already submitted for
arbitration. While it can vacate, modify or correct the award, and it
does so, the court should return the decision to the arbitration panel
for further study, or the parties can opt to have a new arbitration panel
constituted. The court cannot impose its own judgment on the merits of
the case. The court can review the case, and modify, vacate or correct the
AWARD, but it cannot reverse the findings of facts and conclusions of the
arbiter.
Supposing the RTC affirms the arbitral award, does the losing party
still have a recourse?
The recourse of the losing party is to appeal in the CA via Petition for
Review under Rule 43. The justification for this remedy is that in the
enumeration of quasi-judicial bodies whose decision can be reviewed by
the CA, it includes the review of an award made by arbitrators. From Rule
43, there can be an appeal to the SC via a Petition for Review under Rule
45.
There is a judicial review for reviewing arbitration cases. But the reviewing
courts will have limited authority concerning the manner by which the
judgment could be held. The court cannot change the factual findings of an
arbitral body. In case of a review brought to the RTC, CA or SC involving
arbitral award, there are few grounds mentioned. We cannot raise
Questions of law or fact. We have to follow the grounds mentioned in RA
876.
Note :These are not the usual grounds of appeal in civil cases. The courts
should see to it that causes should be founded on these grounds for
granting the vacation of an award.
The remedy of a winning party in a case decided by a foreign court, for the
enforcement thereof in RP, is to file a petition for the enforcement of the
foreign judgment. There is no need to file a petition for recognition of a
foreign judgment. Our laws do not recognize a foreign arbitral award as a
judgment of a foreign court, it is just an arbitral award. Thus, the prevailing
party in an arbitral award cannot make use of Section 48 under Rule 39. He
must avail of another remedy provided by the SC Circular, which is a
petition for recognition and enforcement of foreign arbitral award in the
RTC.
The court can refuse to resolve a petition for recognition and enforcement
of a foreign arbitral award; unlike in the case of a foreign judgment
rendered by a foreign court, where the decision is conclusive upon our
courts, subject to the last paragraph of Sec. 48, Rule 39. But we do not
apply Section 48, Rule 39 to a foreign arbitral award, as it is not a judgment
rendered by a foreign court.
Supreme Court has inserted in the rules remedies made available to the
parties in ordinary cases. If a local court or an arbitral body makes a finding
that the arbitration clause is valid and binding, it is inappealable. But if the
arbitral body makes a finding that the clause is invalid, the decision is
appealable to a trial court. If there is a finding that the arbitrator is qualified,
the motion for reconsideration, appeal, or a petition under Rule 65 against
such finding are all prohibited. This is to emphasize the policy of judicial
restraint insofar as arbitration proceedings are concerned.
If there is an appeal in the higher court for a petition for review of an arbitral
award, the ADR law also provides that the appellant should file a bond
equal to the award given by the panel of arbitrators; whereas in
ordinary appeal, there is no need to file an appeal bond. In ordinary court
procedure, there is no need to file an appeal bond as it has been done
away by BP 129 (requiring only the filing of the mode of appeal and docket
fees).
The filing of these pleadings do not preclude the intervenor from availing of
the other pleadings allowed in a civil case (counter-claim, cross-claim,
third-party complaint, etc.).
Rule 39 when the court issues writ of execution and the properties of the
losing party have been levied upon, and sheriff also issues the ancillary writ
of garnishment. When the properties of a judgment debtor in the
possession of a 3rd person are subjected to a writ of garnishment, that 3rd
person becomes a forced intervenor in the proceedings. That person will
have to obey the orders of the court issued in relation to the execution,
whether the 3rd person likes it or not, he will be forced to act as an
intervenor to the case.
4. Court-encouraged intervention
Writ of Kalikasan cases it is a court-encouraged intervention for
NGOs and other parties to intervene whenever there is a petition filed
under Kalikasan laws.. The court cannot compel the intervention of
these bodies, only to encourage them.
There are some cases whose positions it appears to be in conflict with one
another in reference to the intervention under Rule 19.
Before the court grants a motion for intervention, the principal case
was dismissed with the motion unresolved. What happens to the
motion for intervention?
It will render the motion academic. The motion presupposes the presence
of a principal action. Absent thereof, there can be no intervention allowed.
Intervention is always ancillary to a principal action.
SC Held that the intervention was already allowed. The principle that the
contention of the parties was applicable only in the instance the motion to
intervene was not yet granted. In this case, the court has already granted
the motion to intervene. The interest of intervenor was not common with the
interest against the other parties, having filed a complaint-in-intervention
against both parties. Thus, the intervention should be allowed to stand, the
standing of which, the intervention is considered a separate case against
the parties. Here, the intervention survived.
In the first instance where the court will allow an intervention, even on
appeal, is when the intervenor is an indispensible party. If an intervenor
attempts to intervene if the case is already on appeal, that will save the trial
court, CA and SC from another procedural problem. We learned that if the
trial court renders a decision in a case where an indispensable party is not
impleaded, that decision will never be final and executory. So, if on appeal,
if the indispensable party intervenes, then he should be allowed to do so,
because if he is allowed, that will cure all the procedural effects that will be
present in this particular case. That will solve the problem of whether or not
there could be a final determination of the case or whether or not the
decision can be finally be executed under the provisions of Rule 39.
The SC in the WEBB CASE came out with the principle that the Modes of
Discovery available in civil cases are also available in criminal cases. The
only difference is that the use of the mode of discovery should not violate or
derogate the constitutional right of the accused.
For instance, in a civil case, there is nothing wrong if the plaintiff takes the
deposition of the defendant, or the other way around. But in a criminal
case, there is something wrong if the prosecutor takes the deposition of the
accused. The prosecutor cannot take the deposition of the accused in a
criminal case as this is a violation of the constitutional right of the accused.
But prosecutor can takes the deposition of a witness whom the accused
wants to present in court, so long as the witness is not the spouse of the
accused (due to marital privilege; the rule on evidence precludes a spouse
being a witness against the other spouse).
But in a civil case, there is nothing irregular about either the plaintiff or
defendant being subject to deposition. This is even encouraged by the
rules found in civil procedure.
Let us say that Plaintiff asked for leave to use modes of discovery, but
he failed to do so. Can the court compel the plaintiff to avail it?
No, the court cannot compel, merely encourage the use of modes of
discovery.
Indirectly, the Rules to have instances where the law indirectly compels
litigant to use modes of discovery. Otherwise he will suffer some sanctions
given in the Rules.
Examples of these Rules would be those under Rule 25 and Rule 26.
Other than these, there is nothing in our Rules that requires a party to avail
of the modes of discovery. Availment of a mode of discovery, as a general
rule, is purely voluntary on the part of an interested party.
If there is already a complaint that is filed and an answer has been filed by
the defendant, the court will allow the use of the modes of discovery that
will not require leave of court, such as the taking of a deposition. The court
has allowed the use of these modes of discovery as a fishing expedition.
Practically there is no limitation as to what matters can be inquired into
insofar as availment of discovery measures are concerned. It is not
required that the matters sought be discovered are relevant right away to
the issues presented in the case.
When the law says that the statutes of discovery allow a fishing expedition,
it does not mean to say that the statutes of discovery are intended only to
gather evidence on behalf of the interested party. He may want to obtain
information only for tactical advantage during the course of the case. He
does not have to present evidence in court information that is gathered by
him via these modes of discovery.
But, even if the party is allowed to gather information through the modes of
discovery what the law limits is the use of evidence gathered. So, if the
plaintiff was able to gather information, let us say, from a witness who,
according to the pre-trial brief of the defendant, would be principal witness
for the defendant, it does not mean that the deposition given by such
witness will readily be admissible in court in view of the testimony of this
defendants witness. The fact that a party has taken the deposition of a
potential witness does not mean to say that this potential witness will now
be excused from going to court to give his testimony. The giving of
deposition is different from the giving testimony in open court. A party may
give his deposition, but it does not mean that he is excused from testifying
in court. In fact, the Rules require that if the party has already given his
deposition, he is still required to testify in court. His deposition will not take
the place of his the testimony in court. This is because the taking of his
deposition is only a discovery measure. The deponent does not appear
before the trial court to testify. He gives his deposition not before a trial
judge, but before another person who is simply authorized to administer
oaths.
If the witness has given testimony in open court, what is the use of the
deposition he had previously given?
Deposition previously given can be used to impeach the witness or
corroborate the witness statements in the testimony. This is the principle
of evidence called Laying The Predicate.
Where the witness resides more than one hundred (100) kilometers from
his residence to the place where he is to testify by the ordinary course of
travel, the witness may invoke that he be not allowed to testify (Viatory
Right). The witness can ask the court that he be excused from giving his
testimony in open court. Even if the court issues a subpoena, the witness
may ignore such subpoena. He cannot be cited in contempt for
disobedience thereof. The remedy of the court is to allow the taking of the
deposition, and the court can then consider the deposition taken as his
testimony. In other words, the fact that a deposition has already been taken
from a person does not mean that the said person will be excused
thereafter from going to court in order to be a witness. That is possible only
in exceptional cases mentioned in Rules, one of them being when the
witness invokes his Viatory right. Or even if there is no viatory right, if the
witness/deponent is physically incapable of going to court in order to testify,
the court can consider the deposition previously given as his testimony in
court.
TRIAL
Can a trial court decide a case properly and validly if the court does
not conduct a pre-trial or a trial for that matter?
Yes. Although pre-trial is mandatory and though trial must be had due to
triable issues, the court can just skip these stages and render judgment.
Ex. Judgment by default, judgment on the pleadings.
Supposedly the defendant filed his answer, can we still do away with the
trial?
Yes, we follow the special kinds of judgments whenever an answer is filed
as found under the rules.
If you will notice that in the deliberation of the Rules on certain special
kinds of judgments, like judgment on the pleadings, demurrer to evidence
or summary judgment, the core element of these special kinds of
judgments is that if there is a trial conducted by the court, it is not a full
blown trial.
But in instances where there are genuine triable issues, and the parties
cannot agreed to the facts that should be given to the court so it can decide
the case properly, the court will have to conduct a trial. The parties are then
given the opportunity to make use of evidentiary rules, which is not required
before trial. There is no offer of evidence during pre-trial. At most, if there is
evidence presented during pre-trial, it is only for marking them as exhibits.
In a pre-trial brief, the parties just identify the documental evidence, the real
evidence and testimonial evidence in the form of affidavits. What the
parties doe in pre-trial is to mark these as exhibits.
The trial of the case shall govern the pre-trial order. Only the issues
specified in the pre-trial order will be the order of trial. But this Rule is not
strict as the Rules allow amendment to conform to evidence. If we follow
strictly the Rules and we do not allow amendment to conform to evidence,
then the only issues specified in the pre-trial order will be tried.
If there are genuine triable issues, can the court do away with the
trial?
Yes. The parties can help the court avoid a trial if the parties stipulates on
facts that are in dispute. If the parties submit to the court complete
stipulation of facts, that the court need only review the law applicable, then
the court can render a decision on the case. The court need not conduct a
trial. Trial is only a trial of factual issues. It cannot be a trial of legal issues.
This is because the court is presumed to know the law applicable to a given
state of facts. The trial contemplated under Rule 30 is a trial of facts in
dispute. But if the parties decide that these facts are no longer disputed,
and they manifested to the court that they agree fully to the existence of
these facts, then the trial may be avoided. The next stage will just be the
rendition of judgment.
The order of trial in Rule 30 is the general rule. The order of trial follows the
sequence of argumentation of pleadings. The affirmative side, the plaintiff,
will first present his side, and then the negative side, the defendant, will set
forth his defenses. Once the defendant is done presenting his evidence,
then the court may allow parties to submit rebuttal evidence or even sur-
rebuttal evidence. But the court does not allow the presentation of rebuttal
evidence or sur-rebuttal evidence, the trial will end after the defendant has
rest his case.
Can the court terminate the case after the defendant rests?
Rule 30 gives an option to the judge, to require the parties to submit their
respective memoranda to help the court in arriving at a decision.
The order of trial can be changed. If the court requires defendant to present
evidence ahead, then the reversal of the order is had. If the defendant had
set up the affirmative defense of, for example payment, then the order is
reversed. Why is this only issue to be decided by the court? Should not the
court first decide on whether or not the loan has really been extended by
the plaintiff to the defendant? In our Rules, if the defendant sets up only an
affirmative defense, that constitutes a hypothetical admission to the
allegations contained in the complaint. That is found in Rule 6. So if the
defendant hypothetically, for purposes of trial, that the defendant incurred a
loan, then there really is no need for the plaintiff to prove the existence of
the loan. It is now the duty of the defendant to show that the loan had been
paid, so the order of trial is changed. Thus, the defendant is allowed to
present his evidence first. Thereafter, the plaintiff does not find it necessary
to file rebuttal evidence, the court will consider the case as submitted for
decision.
There are 2 rules concerned with how a court in a civil case will conduct a
trial.
1. Rule on consolidation and severance of cases
2. Trial by commissioner
Consolidation:
1. several cases
2. similar issues, common question of fact
3. pending in the same court
Let us say there are 3 cases involving different parties, but all involve a
common question of fact or law, pending in the same court, the court can
issue an order of consolidation of the cases.
If one case is in Manila RTC, the other in Bulacan RTC, both cases being
those that can be validly consolidated, then the Supreme Court may order
consolidation.
Trial by Commissioners
The language used in the Rule is not mandatory. This is upon discretion of
the court.
JUDGMENTS
Rule 36, Sec. 1 Formal Requisites of a valid judgment or final order:
1. written personally and directly by the judge
2. signed by the judge
3. given to the branch clerk of court
4. includes basis from factual findings and conclusions of law
NOTE: Only for decisions and final orders on merits and does not apply to
those resolved through incidental matters.
If we reckon period under Rule 39, insofar as the first 5-year period is
concerned, it is 5 years from entry of judgment. This is why the principle of
entry of judgment is very important in implementing the succeeding
procedural principles relating to execution of judgment, and also in
determining if a particular remedy has been availed of on time.
For instance, under Rule 38, Relief from Judgment. If you recall, relief of
judgments has 2 periods to be taken into account, 60 days from notice and
6 months from ENTRY of judgment. The period speaks of availment of
certain remedies they are all reckoned from entry of judgment.
So, do not forget that entry of judgment under our present rules takes place
by operation of law, upon the expiration of the period to appeal, if no appeal
is perfected. The judgment is automatically entered under the provisions of
Rule 36.
The need for this classification of judgment stems from the principle of civil
actions that encourage joinder of courses of action. If there are several
causes of action embodied in a complaint, it is proper for the court that after
the trial of a particular cause of action, it should render a judgment for that
particular cause of action. If there is joinder of parties, the court has also
the prerogative to render a separate decision concerning a particular party
if his claim has already been terminated when the presentation of evidence
on his claim is finished. And what the court does is only to wait for the
presentation of evidence concerning the claim of other parties, the court
can also render a decision separately.
These are decisions that are exceptional, in the sense that we expect a trial
court to make only one judgment in one particular case. It is unusual for the
court to render several decisions involving one particular case. That is why,
even if Rule 36 authorizes the court to promulgate separate or several
decisions, if you will go to Rule 41, Appeal From The RTCs, in Section 2, it
is mentioned that if the court renders separate or several judgments,
although we call these as judgments, they are not appealable. The parties
will have to wait until the principal action is finally resolved before they can
even think of appealing the case. So, although Rule 36 designates these as
judgments, they are not appealable. The court will have to render a
principal decision later on, after everything is concluded.
Rule 33
Rule 33 begins with an enumeration of special kinds of judgments:
Judgment on Demurrer to Evidence, Judgment on the Pleadings and
Summary Judgments. There are other kinds of judgments not found under
Rules 33, 34 and 35. Several are mentioned in Rule 41, Section 1:
Judgment by Consent, Judgment upon a Compromise, Judgment by
Confession.
5. Judgment nunc pro tunc (Now for then) A judgment intended to enter
into the record the acts which had already been done, but which do
not appear in the records. Its only function is to record some act of the
court which was done at a former time, but which was not then recorded, in
order to make the record speak the truth, without any changes in
substance or any material respect.
9. Summary judgment (Rule 35) One granted by the court for the prompt
disposition of civil actions wherein it clearly appears that there exists no
genuine issue or controversy as to any material fact.
10. Several judgment (Sec. 4, Rule 36) It is one rendered by a court
against one or more defendants and not against all of them, leaving
the action to proceed against the others.
12. Special judgment (Sec. 11, Rule 39) One which can only be
complied with by the judgment obligor because of his personal
qualifications or circumstances or one that requires the performance
of an act other than:
a. Payment of money; and
b. Sale of real and personal property.
13. Judgment for specific acts (Sec. 10, Rule 39) Applicable in cases of:
1. Conveyance, delivery of deeds, or other specific acts, vesting
title;
2. Sale of real or personal property;
3. Delivery or restitution of real property;
4. Removal of improvements on property subject of execution; or
5. Delivery of personal property.
16. Final judgment One which disposes of the whole subject matter or
terminates the particular proceedings or action, leaving nothing to be
done by the court but to enforce by execution what has been
determined.
But the principal classification of judgments is the one given in the Rules,
particularly these Rules which speak about Special Judgments.
When the Plaintiff rests his case, the Defendant, instead of presenting his
evidence, files a Motion for Judgment on Demurrer to Evidence. The
defendant asks the court for an order to dismiss the case based only on the
ground of failure of the plaintiff to show right of relief, that there is
insufficiency of the plaintiffs evidence. There is no preponderance of
evidence to support the plaintiffs claim.
The court will have to resolve the motion. The court will either grant or deny
the motion. If the court denies the motion, the court in effect tells the
defendant that the plaintiffs evidence is adequate. What the defendant has
to do now is not to appeal, because the denial of a motion for judgment on
demurrer to evidence is interlocutory. No appeal is allowed.
Can the defendant resort to Rule 65 on the ground that the court has
gravely abused its discretion amounting to lack or excess of jurisdiction?
He can try.
Under the Rules, if the defendants motion for judgment on demurrer to
evidence is denied, it is the duty of the defendant to present now his own
evidence. He cannot appeal it, he cannot even think about appealing, he
just have to present his own evidence.
Demurrer to Evidence
(Rule 33)
When to After the plaintiff rests its
file case or after the completion
of the presentation of
evidence
Ground That upon the facts and the
s law, the plaintiff has shown
no right to relief
If The defendant may present
denied his evidence.
If The complaint may NOT be
granted filed. The remedy of the
plaintiff is to appeal from the
dismissal.
Remember the rules of demurrer to evidence and the other principles that
derive from the granting of demurrer to evidence in a civil case. You always
compare them to demurrer in a criminal case. These topics are usually
involved in Bar examination.
But if the trial court grants the motion, it means it will order the dismissal of
the case. The dismissal is a final order, in fact a judgment on the merits of
the case. The winning party is the defendant. The plaintiff can appeal the
dismissal.
Usually, the if the trial court is the RTC, it will be brought to the CA. So, it is
brought to the CA. The CA will have to review the case based solely on the
records transferred to it by the RTC. The records will show that the
defendant has not presented any evidence at all. Right away, the defendant
will be at a disadvantage when the case is reviewed by an appellate court.
The court will review only the evidence presented by the plaintiff. There is a
great possibility that the CA will not agree with the trial court, and will
reverse the dismissal of the case.
The defendant cannot ask the CA to present his evidence. It is not proper
since the evidence should have been presented in the trial court. The CA,
as a reviewing court, will only rely on the records transmitted to it by the
RTC.
How can The plaintiff files a motion to The court may motu propio
demurrer deny motion to demurrer to deny the motion.
be evidence.
denied?
After the prosecution has rested, the accused can also file a motion for
judgment on demurrer to evidence. But there is one requirement in a
criminal case not found in a civil case: the accused should get leave of
court if the accused wants to preserve his right to present evidence once
the motion is denied by the trial court. Failure to get leave of court before
filing of the motion, and the motion is subsequently denied, then the
accused has waived his right to present his evidence in the trial court. The
trial court will not allow the accused to present his evidence, and the next
phase will be a judgment of conviction, meaning that the evidence
presented by the prosecution is adequate to convict the accused, that the
evidence has met the quantum of evidence, which is proof beyond
reasonable doubt. No leave of court is required in demurrer to evidence in
civil cases.
Q: What are cases where judgment on the pleadings will not apply?
A:
1. Actions for the declaration of nullity of a marriage
2. Actions for annulment of marriage
3. Actions for legal separation
Note: in the above cases, the material facts alleged in the complaint shall
always be proved (Sec. 1, Rule 34)
If the plaintiff receives a copy of the answer which does not set up any
defenses at all, but instead admits all the allegations in the complaint, what
the plaintiff needs to do is to file a motion for a judgment on the pleadings.
SUMMARY JUDGMENTS
Q: What is a summary judgment?
A: A summary judgment or accelerated judgment is a procedural technique
to promptly dispose of cases where the facts appear undisputed and
certain from the pleadings, depositions, admissions and affidavits on
record, of for weeding out sham claims or defenses at an early stage of the
litigation to avoid the expense and loss of time involved in a trial. Its object
is to separate what is formal or pretended denial or averment from what is
genuine and substantial so that only the latter may subject a party-in-
interest to the burden of trial. Moreover, said summary judgment must be
premised on the absence of any other triable genuine issues of fact.
Otherwise, the movants cannot be allowed to obtain immediate relief. A
genuine issue is such issue of fact which requires presentation of evidence
as distinguished from a sham, fictitious, contrived or false claim (Monterey
Foods Corp. vs. Eserjose, GR 153126, Sept. 11, 2003).
In as similar case where the plaintiff moved for summary judgment because
the answer of the defendant does not raise any issue, the court found merit
in the motion. But when the court prepared the order granting the motion
for summary judgment, the court mentioned that the motion is one that is
asking for a judgment on the pleadings. The dispositive portion of the order
called the judgment as on for judgment on the pleadings in favor of the
plaintiff, directing the defendant to pay.
The defendant challenged the validity of the judgment, saying that what the
court should have rendered should be a summary judgment, because the
court made a finding that the issue is not genuine, and yet the court issued
a judgment on the pleadings, and therefore the judgment is void. SC held
that whether it is called a summary judgment or judgment on the pleadings,
it does not really matter at all, as there is an adjudication on the merits. The
error was purely formal. SC said that the error in the determination whether
the judgment was a summary judgment or a judgment on the pleadings will
not prejudice the defendant, and therefore cannot be declared as void.
After all, it is a judgment that complies with the requirements of Rule 36.
There is a determination of the rights and obligations of the parties involved
in the cause of action.
The SC has abandoned the old doctrine that summary judgments cannot
be available in actions for recovery of property. SC has decided several
cases which affirmed the availability of summary judgments involving
recovery of title to or possession of real property. It is available in real or
personal civil actions as long as the requisite that the issue is not a genuine
issue is present.
For instance, there is a case for recovery of 2M loan filed by the creditor
against the debtor. They both agreed to settle their differences. They
signed a compromise agreement to the effect that the debtor fully
recognizes his obligation to the creditor, but they convert the payment of
the loan to that of payment in installments every quarter, fixing the amount
of installments. They do not submit the compromise agreement for
approval. The parties jointly moved for the dismissal of the case, which the
court complied. The debtor subsequently commits a breach in the payment
of installments.
After the breach, can the creditor go back to the court and ask for
revival of the case?
No.
Can the creditor file a new case for collection against the debtor for
recovery of the installment or of the whole account if in case there is
an accelerator clause?
Yes. It is not barred, as the cause of action of the creditor is now different
from the previous case filed. His claim is now based on a compromise
agreement, not a loan.
There is a remedy given for such an order denying the motion to set aside
the judgment under a compromise. Among those orders not appealable
found under Section 1 of Rule 41 is an Order denying a motion to set
aside a judgment by consent, confession or compromise on the ground of
fraud, mistake or duress, or any other ground vitiating consent, which can
avail of the remedy provided in this section. Thus, what Rule 41 says is that
there must be a Motion to Set Aside the Judgment of Compromise and
there must be a denial of the motion before a Rule 65 petition can be
availed of. If the proponent immediately files a Rule 65 petition assailing the
validity of the judgment based on a compromise agreement as well as the
compromise agreement itself, that petition will be dismissed for
noncompliance with the requirement under Rule 65. There is still a plain,
speedy and adequate remedy that can be had in the form of a Motion to
Set Aside the Judgment of Compromise and the Compromise Agreement
founded on vitiated consent.
REMEDIES TO ASSAIL A JUDGMENT
Q: What are the available remedies to the aggrieved party after
rendition of judgment?
A: The remedies against a judgment may refer to those remedies before a
judgment becomes final and executory and those remedies after the same
becomes executory.
1. Before a judgment becomes final and executory, the aggrieved party
may avail of the following remedies:
a. Motion for Reconsideration;
b. Motion for New Trial; and
c. Appeal
2. After the judgment becomes executory, the losing party may avail of the
following:
a. Petition for relief from judgment;
b. Action to annul judgment;
c. Certiorari; and
d. Collateral attack of a judgment.
If judgment has not been entered, the period to appeal has not yet
expired (15-30 days)
Remedies available :
Rule 37:
~Motion for New Trial
~Motion for Reconsideration
~Appeal
When can a petition for certiorari be had once the judgment had
become final and executory long before?
It can be had when the petition is applied in order for the judiciary to rectify
a wrong under its equity jurisdiction. A situation that calls for a special
remedy will always be answered by a petition for certiorari. A certiorari will
always be entertained as part of its equity jurisdiction. Certiorari is a
remedy in both a civil or criminal case in order to challenge a final and
executory judgment if the situation calls for the SC to exercise its equity
jurisdiction. That is why in the enumeration of remedies, in either criminal or
civil case, we also include Certiorari under Rule 65.
In Rule 37, for civil cases, a motion for new trial or reconsideration must
strictly comply with the requirements of a motion so that such motion will
not fall under the concept of a pro-forma motion.
Pro-forma motion for reconsideration in civil cases is almost always
denied; it could result to an instance where a losing party moving that all
remedies available will be unavailable as sanction. A pro-forma motion for
reconsideration does not stop the running of the reglementary period to
appeal, and if the denial of such motion comes after the expiration of the
period to file an appeal, remember that entry of judgment takes place by
operation of law under Rule 36. Upon entry of judgment, movant/losing
party loses the remedy of appeal and is left only with the after judgment
remedies of petition for relief from judgment, annulment from judgment or a
petition under Rule 65 as remedies.
A motion for new trial or motion for reconsideration in civil cases is always
initiated by the losing party.
(Rule 37)Grounds for motion for new trial is completely different from
grounds for reconsideration. This is the reason why these motions
are distinct and different from one another.
New Trial
1. Extrinsic fraud, accident, mistake or excusable negligence (FAME) which
ordinary prudence could not have guarded against and by reason of which
the rights of the aggrieved party was impaired; or
2. Newly discovered evidence, which could not with reasonable diligence,
have been discovered and produced at the trial, and which if presented,
would probably alter the result (Sec. 1, Rule 37).
Reconsideration
1. The damages awarded are excessive;
2. The evidence is insufficient to satisfy the decision or final order; or
3. The decision or final order is contrary to law (Sec. 1, Rule 37).
It is really inconsistent for an aggrieved party to file a motion for new trial or
reconsideration, and while waiting for the resolution of his motion he
perfects an appeal. It will render the motions academic. The court, upon
perfection of the appeal and upon payment of the docket fee, will lose
jurisdiction over the case, and what will remain with the court is residual
jurisdiction.
The winning party, after receiving a copy of the decision, moved for
the execution pending appeal. It is a matter of discretion to the court
founded on special circumstances. The losing party filed a motion for
new trial while the former motion was pending. Can the court grant
the motion for execution pending appeal?
No. The trial court should resolve the motion for new trial first before the
motion pending appeal is resolved, even if the motion pending execution is
for special reasons. Motion for reconsideration or motion for new trial of the
aggrieved party should be given preference over any other motion by the
prevailing party.
Rule 37 could give a good basis for making a distinction between the two
frauds.. There are 2 clauses to justify extrinsic fraud as a ground for new
trial compared to extrinsic fraud:
which ordinary prudence could not have guarded against and by
reason of which such aggrieved party has probably been impaired in
his rights.
If we rely solely on Rule 37, in court cases, the court has allowed
lawyers to cheat one another, so long as cheating is limited only of
intrinsic fraud, which could be prevented through the use of ordinary
diligence.
For instance, the court has ruled that if a party wins the case because his
cause of action is supported by a document which could serve as
preponderant evidence which could show his title to recover from the
defendant. But later on, the aggrieved party is able to prove that the
document presented by the plaintiff, and which is the basis for the judgment
in his favor, is a forged document. Forging a document is a crime. But in a
trial, the admission of a forged document will not be a ground for a new
trial, or even as NDE. This is because the presentation of a forged
document by the plaintiff could easily be avoided by the defendant through
the exercise of ordinary diligence. If confronted with such document, and
the defendant is not sure as to its authenticity, the defendant could have
called upon witnesses, such as an expert witness, to prove that such
document was forged. His failure to do so is a waiver of this fact.
That is how the SC looks at the situation. In fact the S in several cases said
we should expect dishonesty in the course of a litigation. We cannot avoid
that. The SC said that if they allow every act of dishonesty to be a ground
for new trial, there will never be an end to a litigation, because a lawyer will
always be able to point out to the court certain acts of dishonesty or
cheating in a motion for new trial.
Mistake
The mistake of a lawyer is the mistake of the client. If the aggrieved party
lost the case due to a serious mistake of the lawyer, the said party fires his
lawyer and gets a new one, the new lawyer cannot capitalize on the
mistake committed by the former lawyer. The is just applying the rule on
agency. The act of the agent is the act of the principal.
But, there is one situation where the SC relaxed the application of this
principle. The SC said that while it is true the mistake of the lawyer will
always be considered the mistake of the client. But if the mistake of the
lawyer was tantamount to bad faith, there is an insinuation that the lawyer
deliberately caused the loss of the case of the client, then that is a ground
for new trial. The clients rights should be protected in this situation.
But the general rule is that the mistake of a lawyer is the mistake of the
client, and it cannot be a ground for new trial under FAMEN.
Because of the requirement, that the result of the case would probably be
altered, we cannot consider cumulative, corroborative or impeaching
evidence as NDE, as these cannot alter the result of the case. The
recantation of a witness is not NDE. In fact, the SC has been emphatic in
its ruling continuously that if a witness recants, the recantation should not
even be given any attention at all. Because if we give attention to the
recantation of a witness, you can expect lawyers to produce recantations
by witnesses who already testified in court. So, the stand of the court is that
the testimony of a witness given in open court reflects the truth, not the
recantation. The recantation shall not be treated as NDE.
There is also a rule under Rule 37 allowing only one motion for
reconsideration by the same party, either prevailing or aggrieved party. If
that is denied, a second motion for reconsideration will not be allowed,
even if the second motion for reconsideration is founded on a different
ground. The rule against the filing of a second motion for reconsideration is
almost absolute.
Unlike in a motion for new trial, Rule 37 allows a movant to file second
motion for new trial if founded on a ground different from the one used in
the first motion for new trial.
But whether it is a motion for new trial or motion for reconsideration, there
is another rule contained in other provisions where the court will not allow
an extension of time to file motion for new trial or reconsideration (15-30
day period). The party must observe the 15/30-day period.
If motion for reconsideration is favorably acted upon, the court will simply
render an amended judgment. If the court feels that the judgment is
contrary to law or the evidence does not fully support the judgment, the
motion for reconsideration should be granted to reduce the liability of the
aggrieved party, but the court will only amend the previous judgment in
order to reduce the liability of the party aggrieved.
If the motion for new trial in a civil case is granted, and such is not a partial
motion for new trial, the judgment will be vacated. But the evidence
presented during the trial will not be disturbed. There is no need for the
witnesses who had testified in the trial to give their testimony again.
If the Motion for new trial granted was that in a criminal case, the judgment
will also be vacated, and all evidence taken during the trial need to be
retaken and witnesses who testified will be recalled. The grounds for new
trial in a criminal case are serious irregularities or errors committed by the
trial court, not FAMEN. Even if the evidence taken in court will not be
retaken, there will be a recalling of the witnesses who had testified during
the trial.
There was one case when the aggrieved party, before entry, filed before the
trial court a petition for relief from judgment founded on FAMEN. The filing
of the petition was irregular because the judgment has not yet been
entered. SC held that the trial court should not have simply denied and
dismissed the motion. What the trial court should have done was to treat
the motion for relief from judgment as a motion for new trial, because the
grounds of both motions are similar. Even if a lawyer commits an error, and
files a petition for relief from judgment founded on FAMEN before the
judgment was entered, the court will consider the petition for relief as a
motion for new trial, provided of course, that the petition will carry with it the
requirements needed under Rule 37, an affidavit of merit that will prove the
presence of FAMEN. The SC has taken a liberal attitude on this kind of
error by a lawyer. The court will ignore the error and just have to rule on the
merits of that motion.
Grounds for a motion for new trial is similar to a motion for relief from
judgment. (FAMEN)
1. Extrinsic fraud, accident, mistake or excusable negligence (FAME) which
ordinary prudence could not have guarded against and by reason of which
the rights of the aggrieved party was impaired; or
2. Newly discovered evidence, which could not with reasonable diligence,
have been discovered and produced at the trial, and which if presented,
would probably alter the result (Sec. 1, Rule 37).
Is a petition for relief considered as one that is similar to that of an
annulment of judgment?
It is not so. A petition for relief is not an independent action. In fact, it is just
a continuation of the original case. If we consider petition for relief a
separate action from the original case, a petition for relief should be filed
before an RTC because it is incapable of pecuniary estimation. But since it
is not so, Rule 38 provides that it should be filed in the same court which
issued the judgment deciding the case. So if the court that decided the
case is an MTC, a petition for relief could be filed in the same court. If the
respondent of a petition for relief challenged the jurisdiction of an MTC in
deciding the petition for relief on the ground that such petition is incapable
of pecuniary estimation, the reply to that argument is that a petition for relief
is just a continuation of the original case, not an independent and separate
action. Note that the old docket number is used in the title of the case in a
petition for relief. We also do not pay docket fees.
What is important is the timeframe in which to file a petition for relief from
judgment. The SC has been very strict. Time to file should be observed. SC
has been very strict the time frame because the judgment has been
entered and has become final and executory. There is the likelihood that
the winning party may already file a motion for execution under Rule 39 as
a matter of right.
It could happen that the aggrieved party filed a petition for relief from
judgment and the prevailing party also file a motion for execution of
the judgment. Should the court grant the motion for execution?
Yes. The court has a ministerial duty to execute the judgment once the
judgment has been entered and has become final and executory. Motion to
execute should be granted once made. The prevailing party has the right to
have the judgment in his favor enforced.
You might say that in the rule on injunction, an injunctive relief should be
granted by a court higher than the court which rendered the decision. In
this case the court which decided the case and then subsequently granted
the motion for execution of its judgment shall also issue the injunctive relief
against the carrying out of the writ of execution. That is one of the
peculiarities of Rule 38. The court which grants the execution of its
judgment, as it really has no choice as it is a matter of right, is the same
court which will issue an injunctive relief against the writ of execution it has
previously issued. If there is no injunctive relief issued by the said court, its
decision will be carried out until fully satisfied. This is an exception to the
principle in injunction where the injunctive relief should come from a higher
court. Here, the same court which decided the case shall be the one who
will issue an injunctive relief against its own officer from executing the writ
of execution the court has previously issued. That is allowed in Rule 38.
If the petition for relief is granted, can the prevailing party appeal the
order?
No. The order granting relief is interlocutory, hence unappealable.
If a petition for relief is denied, the order denying petition for relief is a
final order. Can it be appealed? If not, what is the remedy?
No, it is a final order which is not appealable under Section 1 of Rule 41.
The remedy of the aggrieved party is to file a petition under Rule 65, a
petition for certiorari or prohibition as the case may be.
APPEAL
It could be a matter of right or a matter of discretion.
Note: The fresh period rule does not refer to the period within which to
appeal from the order denying the motion for reconsideration, but to the
period within which to appeal from the judgment itself because an order
denying a motion for reconsideration is not appealable.
The aggrieved party has a right to appeal. It means when he has perfected
the appeal within the period to do so, the appellate court has no other
choice but entertain the appeal, review the decision and render its own
decision.
In civil cases, there are 3 modes of appeal given under Rule 41:
Ordinary appeal
Petition for Review in the CA
Petition for Review on Certiorari under Rule 45
If the origin of the case is the MTC, the only mode of appeal is an ordinary
appeal. Even if the only issue raised is a question of law, the appeal should
be an ordinary appeal brought to the RTC. Note that the Rules does not
divest the RTC or even the CA to hear appeals based purely on questions
of law. In fact, the Rules expressly say that an appeal to the RTC from the
MTC could either involve both questions of fact and law or just purely
questions of law.
The procedure of appeal from the MTC to the RTC is given under Rule 40.
Let us say a case for Unlawful Detainer was filed. A Motion to dismiss was
filed by defendant on the ground of lack of jurisdiction over the subject
matter, which was granted. The order of dismissal, without prejudice, is not
appealable, as provided for under Rule 41. He cannot appeal, but he can
file petition under Rule 65. (Note that UD is a special proceeding covered
by Rule 70, although cognizable by the MTC)
So, should we follow Rule 41 in appeals from the MTC to the RTC?
No. Rule 40 does not follow Rule 41. In Section 3, Rule 40, when an MTC
dismisses a case cognizable by it for lack of jurisdiction over the subject
matter, even if the dismissal is without prejudice, the remedy of the plaintiff
is to appeal, via an ordinary appeal, the order of dismissal rendered by the
MTC.
Why cannot we just follow Rule 41? It says that if a dismissal is without
prejudice, the order is not appealable, and the remedy is a petition under
Rule 65.
Insofar as the MTC and the RTC are concerned, there is a good reason
why Rule 40 says that the remedy of the plaintiff is to appeal via ordinary
appeal, that is to file a notice of appeal in the appellate court and pay
docket fees. This is because there is a provision under Rule 40 which says
that if the matter is brought to the RTC, and the RTC affirms the decision of
the MTC, it is the duty of the RTC to assume jurisdiction over the case as if
that case originated with the RTC.
If we tell the plaintiff to observe Rule 41, and then the plaintiff files a petition
under Rule 65, the RTC will not have any authority to assume jurisdiction
over the case, unlike when the remedy availed of by the plaintiff is an
ordinary appeal. This is because an appeal is not a separate proceeding, it
is just a continuation of the old case. A petition under Rule 65 is an
independent proceeding, and not a continuation of the original case that
has been resolved by the MTC.
Since the appeal of the losing party in the RTC is a matter of right, can
the RTC also order the dismissal of the appeal even without rendering
its own decision as an appellate court because the appellant violated
certain orders or provisions of the Rules?
Yes. Although it is the right of the losing party to appeal to the RTC, the
losing party, as an appellant, should also obey the orders that could be
issued by the RTC in relation to the appeal.
One such order is given in Rule 41 (Section 7[b]), the RTC acting as an
appellate court can require the appellant/appellee to submit an appeal
memorandum. If plaintiff does not submit an appeal memorandum as
ordered, that will be a ground for the dismissal of the appeal by the RTC.
Although appeal is a matter of right, it is still the duty of the appellant to
obey the orders of the appellate court issued in relation to his appeal taken
to the RTC.
In Rule 41, the RTC can also order the dismissal on appeal if it can be
shown that the docket fees have not been paid or that the appeal was
taken out of time. If the appeal was taken out of time, the appellate court
has no jurisdiction at all to review the judgment.
If the RTC renders its own decision (affirm or reverse), can there be a
second appeal?
Yes, to the CA via a petition for review. The rule of thumb in the case of
second appeals is that the appeal is a matter of discretion. The first appeal
generally is a matter of right as to the appellant, as long as the mode of
appeal is an ordinary appeal. But even if the appeal is a first appeal, but the
mode is the one under Rule 45, that is a matter of discretion on the part of
the SC. The second appeal from the RTC to the CA is a matter of
discretion. The CA can either refuse or allow the appeal. In that appeal to
the CA from the RTC in the exercise of its appellate jurisdiction, purely
questions of law can only be raised before the CA.
Harmful error that error or defect which affected the substantial rights of
parties, being inconsistent with substantial justice.
From the MTC, supposing the mode of appeal used by the aggrieved
party was a petition for review, can the appeal be dismissed by the
RTC on the ground that the appellant has chosen the wrong mode of
appeal?
SC held that if the appellate court is an RTC, and appellant has chosen the
mode of petition for review, RTC should disregard the error committed by
the appellant. The SC reasoned that the contents of a petition for review
meets, and even exceeds, the requirements of a notice of appeal. A petition
for review is a very lengthy document, there is the application of the
material data rule, there are errors that are assigned and there are
arguments embodied in the petition for review. In a notice of appeal, it may
compose of one paragraph where an appellant is simply telling the court he
is appealing the decision rendered on such date, alleging the payment of
docket fees. If the appellant wrongfully chooses a petition for review, the
RTC should entertain the petition as the essentials for a notice of appeal
are already contained in the petition for review.
But if it is the other way around, where the RTC decides the case as an
appellate court and an appeal of its decision was made by the appellant,
and filed in the CA a notice of appeal instead of a petition for review, that
appeal will be dismissed. The mode of appeal used is erroneous and will
not confer jurisdiction anymore upon the RTC. In other words, there are
instances where the wrong mode of appeal will lead to the dismissal of the
appeal; and there are instances where the wrong choice will be
disregarded by the court.
Also under the Rules, the only mode of appeal allowed in civil cases to the
SC is Rule 45 (appeal by certiorari/petition for review on certiorari).From
the decision of the RTC in its original jurisdiction, there could be an appeal
to the CA or SC. The appellant decides to go to the SC immediately. It filed
a notice of appeal. SC will dismiss the appeal since the choice of mode of
appeal is erroneous under the Rules. A notice of appeal will never satisfy
the requirements of a petition for review on certiorari or appeal by certiorari
under Rule 45.
On the other hand, even if the Rules are very clear in saying that in civil
cases, the mode of appeal to the SC is only through Rule 45 using a
petition for review on certiorari or sometimes called appeal by certiorari, if
the appellant inadvertently calls his petition simply a Petition for Certiorari
under Rule 65, the SC will liberally consider that as a Petition for Review
under Rule 45. The contents of Certiorari under Rule 45 and Rule 65 are
essentially the same. But, the SC cautioned parties, the erroneous appeal
must be filed within the period of appeal (15 days). If you should recall, the
period for appeal by petition for certiorari provided under Rule 45 is 15
days, whereas under Rule 65, the period for filing a petition under this Rule
is 60 days.
In the CA, the decisions that could be appealed from the CA do not
necessarily come from courts of justice. It could be penned by quasi-judicial
bodies. There is just a common mode of appeal even for quasi-judicial (QJ)
bodies, petition for review.
In case of QJ body decision, the appeal will not stay the execution of the
decision. The decision of the QJ body will be enforced. There is only one
way in which we can stop the execution of the decision rendered by a QJ
body during the pendency of the appeal, that is to ask the CA to issue a writ
of preliminary injunction.
If we compare also the remedies available to the defeated party before the
trial court and the appellate courts (CA and SC), the remedies available to
the defeated party are considerably lessened as he goes higher in the
hierarchy.
The SC is generally not a trier of facts. A Motion for new trial will always
involve a question of fact like NDE, and thus will be dismissed by the SC.
The availability of a motion for new trial ends with the CA, but the
availability thereof is based only on the ground of NDE.
If the case is a criminal case, there could be notice of appeal to the SC. It is
applicable in case the penalty imposed is life imprisonment or reclusion
perpetua. The appeal from that criminal case will be by notice of appeal not
via a petition for certiorari.
In a petition for review on certiorari filed in the CA, it is axiomatic that only
questions of law can be raised. Raising questions of law with questions of
fact before the SC does not necessarily disallow the appeal. The Rules say
that if the issues raised in under Rule 45 are factual and legal, the SC has
the discretion to remand the case to the CA. When the SC sends the case
to the CA because the issues raised are both factual and legal, the CA will
have the duty now to review the case and render its own decision.
But, the opposite does not apply, such as when the CA is the appellate
court. There is an appeal to the CA through ordinary appeal, the court of
origin is an RTC, the mode of appeal is an ordinary appeal by filing a notice
of appeal. It is in this mode of appeal where the appellant is required to
submit his brief on appeal.
Brief on appeal required only if the appeal is an ordinary appeal, the trial
court is an RTC and the appellate court is the CA.
If the trial court is an MTC, and there is an appeal to the RTC, and an
appeal is made on the RTC exercising its original jurisdiction, the mode of
appeal is an ordinary appeal to the CA via a notice of appeal.
During the pendency of that appeal, the CA will require parties to submit
their briefs. The Rules provide for the brief of the appellant and the
appellee. Failure of the appellant to submit his brief on time will be enough
reason for the CA to dismiss the appeal. Even if he submits his brief on
time, the appeal will be dismissed if the essentials of the brief are not
complied with.
Can the appellant assign as the only error in the brief that the RTC
committed an error in deciding the case against the appellant?
That is not an assignment of error that is expected by the CA. Assignment
of errors should specify particular acts done by the RTC which could have
affected his substantial rights.
In civil cases brought on appeal, the appellate court will resolve only issues
raised in the assignment of errors. No other issue, generally, will be
resolved by the court. The only exception is if the issue not raised in the
assignment is closely related to the issue raised in the assignment of errors
of the appellant. This rule applies to a civil case only.
If it is the appellant case who does not submit his brief, the appeal is
dismissed. If it is the appellee who does not submit his brief, then the court
will simply decide the appeal without a brief coming from the appellee. The
appellee can choose not to submit a brief. It is the brief of the appellant
whose submission or non-submission could lead to the dismissal of the
appeal.
Is there a need for the judgment creditor to file a motion for execution,
or will the issuance of a writ of execution come as a matter of course?
There is always a need to file a motion for execution. If the judgment
creditor has not filed a motion for execution, the court has no business to
issue a writ of execution, because the court will not know whether there
was voluntary satisfaction of judgment.
Since the judgment has become final and executory and it has now
become a ministerial duty of the court of origin to issue a writ of execution,
then the motion for execution will be heard ex parte, without notice to the
judgment debtor. This issue has been the subject of conflicting decisions by
the SC. The latest jurisprudence said that a motion for execution of a
judgment that has become final and executory can be heard ex parte by
the trial court. But the other decisions are to the effect that the judgment
debtor should also be given a copy of the motion for execution, because
the judgment debtor will have grounds to oppose the issuance of the writ of
for execution. In the old doctrine, a copy of the motion for execution should
be furnished upon the judgment debtor, but the motion cannot be heard ex
parte.
Within the Rules, there is a period fixed within which the court can grant a
motion for execution as a ministerial duty. It is 5 years from the entry of
judgment. After the 5 years from entry, there can be revival of judgment, no
longer a motion, as this is an independent action to revive the judgment.
But, the independent action to revive judgment must be filed within the
second 5-year period after the entry of judgment.
The Rules assume that the prescription period for the execution of a
judgment is the 10-year period. Is this a correct assumption?
This is correct, as this is also provided under the NCC. A prescriptive period
of a final and executory judgment is really 1 years under the NCC.
But what Rule 39 has provided was to divide the 10 years into two parts :
the first five years, and the second five years. Meaning, the first five years,
we can execute the judgment via a motion for execution. After the lapse of
the first five year period, the judgment creditor cannot file a motion for
execution. If he does so, the court will deny the motion as the court will no
longer have the authority to grant the motion of execution. The second 5-
year period is designed to force the judgment creditor to file a separate
independent action to revive the judgment. So the motion for execution
should be filed within the first five years of the 10-year period.
Lets say that the judgment creditor filed a motion for execution of the
judgment on the 3rd year of the first 5-year period. The court of origin is an
RTC. The judgment debtor received a copy of the motion. After receiving
the copy of the motion, the judgment debtor files a petition for the
annulment of judgment before the CA under Rule 47 with prayer for a
preliminary injunction. And the CA grants the preliminary injunction.
Because of the preliminary injunction issued by the CA, we cannot expect
the RTC to order the execution of the judgment. It took the CA 2 years to
decide upon the petition of the judgment debtor. At the end, the CA orders
the dismissal of the petition for annulment of judgment. There is a delay of
2 years. If the 5[-year period has already lapsed due to the delay, another 2
years will be added, the 5-year period will be automatically extended up to
7 years within which the judgment can be executed through the filing of a
motion for execution of judgment. That is how the SC described how the
first 5-year period and the second 5-year period should be interpreted. It is
not a fixed period, it could be extended due to circumstances that might
arise in the case there is a delay arising from the conduct of the judgment
debtor.
It simply means that the judgment debtor can legally delay the execution of
the final judgment. In fact, he is even given 2 remedies under the Rules to
prevent the execution of a final judgment. Rule 38 is one means of delaying
the execution of judgment. In Rule 38, the court that decided the case can
issue an injunction against the enforcement of the judgment. Rule 47 is
another remedy for the judgment debtor, as long as in the petition for the
annulment of judgment, there is a corresponding preliminary injunction that
is issued by the higher court. In annulment of judgment, the court that will
try the case will always be a higher court. Thus, if the higher court hearing
the petition issues an order to stop the execution of the judgment
(preliminary injunction), there is no way for the court of origin to disobey
such order.
The judgment has become dormant. This means that the execution of the
final judgment cannot be granted via a motion for execution. Judgment
creditor must avail of the independent action of revival of judgment to
revive a dormant judgment.
The second is when the parties enter into a compromise agreement after
the judgment has become final and executory. If there is a compromise
agreement signed by both parties whose terms are not consistent with the
award given, the effect being that the award will be novating the judgment.
The court will no longer grant a motion for execution of the judgment of the
award that has been given in the dispositive portion of the duly entered
judgment. The agreement of the parties can change the terms of the
dispositive portion of the judgment. This is an application of novation being
a mode of extinguishment of an obligation under the NCC.
Suppose within the first 5-year period, the court grants a motion for
execution, and then issues a writ of execution. The writ of execution
is carried out by virtue of a levy on execution of the properties of the
judgment debtor. But the properties levied upon were not sold during
the first 5-year period. On the 6th year, can the properties levied upon
be sold at public auction?
Yes. According to the SC, the 1st 5-year period does not require that the
execution of the judgment, the actual levy and the sale of the property on
public auction must be done within the first 5 years. What is important is
that within the first 5 years, there must be an actual levy of the properties of
the judgment debtor, even if the auction sale was conducted in the 6th year.
Levy is the actual act of carrying out the judgment.
In another case, in year 7 of the 10-year period, the judgment creditor who
neglected to file a motion for execution filed a motion for execution in year
7. When the judgment creditor served a copy of the motion to the judgment
debtor, the judgment creditor convinced the judgment debtor not to oppose
the granting the motion. The judgment debtor, accommodating the
judgment creditor, even filed his position paper stating that he is not
objecting to the granting of the motion of execution. Due to such
manifestation by the judgment debtor, although it was already year 7, the
court granted the motion for execution. The writ was issued, and the
properties of the judgment debtor were levied upon. It was at this point that
the judgment debtor challenged the validity of the levying of his properties
by way of a motion for execution beyond the first 5-year period. The SC
sustained the stand of the judgment debtor. The SC said that after the first
5-year period, the court loses jurisdiction to execute the judgment through a
mere motion. The fact that the judgment debtor did not oppose the said
motion does not matter because the issue now is one of jurisdiction.
Jurisdiction will not be vested upon the court simply by inaction on the part
of a party. Thus, the proceedings taken by the court in granting the motion
for execution beyond the first 5-year period was held to be irregular, it will
be void. The issuance of the writ of execution will also be void, and
therefore the writ can be quashed for lack of jurisdiction.
Take note of the differences between the two kinds of revival of judgments
in Rule 39, under Section 6 and Section 34.
The improvement given by Rule 39 under the 1997 Rules, insofar as the
judgment creditor is concerned, is that under the present Rules, the writ of
execution issued by the court has a life of 5 years. So, the judgment
creditor does not need to file one motion for execution after another, which
was the prior practice when the life of the writ of execution was 60 days. At
any time during that 5-year period, the sheriff could enforce the writ, he
may make levy the properties of the judgment debtor. The only limitation
imposed by the Rules is that the sheriff must file periodic reports to the
court as to the progress of the process of execution.
In a writ of execution, the writ will be directed to the sheriff. But the writ will
contain verbatim the dispositive portion of the decision. The writ of
execution directs the sheriff to carry out the duty of executing the
dispositive portion of the judgment of execution.
Can the court cite a judgment debtor for refusing to obey a lawful
order of the court in compliance with the judgment to be executed?
No. Citation for contempt is generally not a remedy in enforcing a judgment
in Rule 39. This is because Rule 39 contemplates enforcement of a
judgment by the sheriff of the court making use of the processes in Rule
39. So if the judgment debtor refuses to obey, a court cannot go to another
court to cite the judgment debtor in contempt. That is not contempt of court.
This is because, according to the SC, the writ is not addressed to the
judgment debtor. The writ is addressed to the sheriff of the court, and
hence the sheriff has the duty to carry out the dispositive portion of the
judgment.
But when the property levied upon is personal property, that is, where the
physical possession of the property will be turned over to the sheriff. In fact,
the properties will literally be placed in custodia legis.
Under Rule 39 and under certain special laws, there are certain properties
of a judgment debtor that is exempt from levy. If the property of the debtor
that is exempt from execution is levied upon, the levy is void, nor the sale
of such levied items be valid. If the levy is void, the sale thereof is also be
void. The validity of an auction sale shall always stem from the validity of a
prior levy. Even if there is valid levy, but if there are requirements not
complied with before, during or after auction sale, the sale will be void, and
the buyer will not acquire title to the property sold.
Terceria is predicated on the premise that the property levied upon by the
sheriff for the purpose of executing of the duly entered judgment does not
belong to the judgment debtor. (Terceria is a 3rd party claim filed with the
sheriff.) If the property levied upon belongs to another person, the levy is
not valid. The levy not being valid, the sale is not valid. Rule 39 expects
that the property levied upon by the sheriff belongs to a judgment debtor,
because Rule 39 is for the satisfaction of a judgment against a judgment
debtor. If the sheriff makes a levy on properties which do not belong to the
judgment debtor, you can expect the true owner to complain. Such owner
can file a complaint for the recovery of the real property from the sheriff.
The filing of such complaint of the owner is just one of the several remedies
which the owner can avail of. In Rule 39, the remedy refers to the filing of a
3rd party claim (Terceria).
The remedies are cumulative and may be resorted to by the third party
claimant independently of or separately from the others.
Note: The officer shall not be liable for damages for the taking or keeping
of the property, to any third-party claimant if there is a bond filed by the
winning party. If there is no bond, the sale cannot proceed. However, the
judgment obligee can claim damages against a third-party claimant who
filed a frivolous or plainly spurious claim, and such judgment obligee can
institute proceedings therefor in the same or separate action (Sec. 16, Rule
39).
Replevin remedy of the true owner of the personal property if it was
improperly levied and sold
If the property is a real property, the true owner/3rd party claimant can file
an independent action to prevent the sheriff from selling the property.
The 3rd party claimant, under Section 16 Rule 39, can make use of these
remedies successively. Thus, if he was unsuccessful in recovering the
property under one remedy, he can make use of the other remedies.
The easiest and most practical remedy available right away to the 3rd party
claimant is a Third Party Claim. It does not require the filing of a complaint,
just the submission of an affidavit to the sheriff and to the court, setting
forth his ownership and entitlement to the possession, and that the property
should not be levied upon as this is not a property of the judgment debtor.
Evidence appurtenant thereto must be attached.
Can the court render a judgment that will tell the sheriff that the
property is not the third party claimants but that of the judgment
debtor?
No. The third party claim is an incident to the execution process, the trial
proceedings are over insofar the court is concerned. The court has no
power to resolve an issue of ownership involving the property levied upon.
It should be threshed out in a separate complaint. Regardless of a finding
by the execution court that the true owner is the judgment debtor, that will
have no bearing on the third party claimant. That order will not be entered,
it will not be considered a judgment on the merits and will not constitute res
judicata insofar as a 3rd party claimant. If at all, the consequence of the
finding of the court is that the sheriff can go ahead with the sale of the
property.
If the sheriff schedules the sale, can third party file an independent
action to stop the sale of real property?
Yes, he can file the complaint in another court, RTC, for injunction with
claims for damages, if any.
If the executing court is an RTC, and 3rd party claimant files a case
for replevin, can he file it in the MTC?
Yes, as replevin is cognizable by the MTC depending upon the value of the
thing subject to the auction sale.
Is this interference with the other court? Can the sheriff in the other
court claim that the seizure is interfering with the proceedings of the
other court?
No. The sheriff of the MTC can seize the personal property from the sheriff
of the other court.
Cannot the sheriff of the MTC capitalize on the provisions of Rule 60
on replevin that the writ of replevin cannot be enforced when the
property is subject to attachment?
If you go to Rule 60, it is really a requisite in the issuance of a writ of
replevin. The issuing court can issue a writ of replevin validly if the property
to be seized is not under custodia legis, not under a levy of execution or
attachment. If the property is subject of a levy on execution, it is under
custodia legis.
But notwithstanding that provision in Rule 60, the SC said that a writ of
replevin issued by the MTC will prevail over the levy on execution writ by
the sheriff, because the writ of execution by the sheriff is void. What is
required under Rule 60 to is that a property should be under custodia
legis to prevent enforcement of a writ of replevin, it assumes that
there was a prior VALID LEVY ON EXECUTION. For a property to be
validly levied upon, the property must be owned by the judgment debtor.
Otherwise, the levy is void. Therefore, the property can be the subject of a
seizure by another sheriff in compliance with a writ of replevin issued by
another court, even if it is an MTC. It is proper for the MTC to issue a writ of
preliminary mandatory injunction directed against the sheriff to prevent the
sheriff from going ahead with the sale.
In Rule 39, if the property of judgment debtor has been subjected to
levy on execution, can it be subjected to another levy on execution?
Yes. If there are several cases where the property is subject to levy, it is
possible the same property can be subject to levy on execution. The debtor
remains to be the owner of the land, and the levy creates a lien only over
the property. The first levy annotated on the title of the property shall be
superior to the subsequent levies following the principle of seniority. The
SC has held that if the property is the subject of different levies, and the
judgment debtor sells the property, the sale is valid, as the judgment debtor
is still the owner of the property at the time of the sale. But the buyer must
respect the annotations of levies in the title as to the liens imposed. So, if
the property is sold at public auction sale later on in execution of the first
judgment, the person who bought it from the judgment debtor stands to
lose the property. Buyer is not considered a buyer in good faith due to the
said annotation of the levies in the title.
If the property was mortgaged to a bank that is still existing, can the
sheriff subsequently levy the property?
Yes, as the levy will not affect the ownership of the property by the
judgment debtor. It only creates a lien. He loses ownership if there was a
public auction sale thereon. But ownership shall not immediately be lost, so
long as judgment debtor still has the right of redemption.
If in cases where there are two different levies over the same piece of land
of the judgment debtor, usually, the property will be sold as a result of the
first levy of the property. If the property is later on sold at public auction,
and as the law gives to the judgment the right of redemption, this right of
redemption will also be enjoyed by the buyer. Rule 39 in defining the
redemptioner names a judgment debtor, his successors in interest or any
creditor who holds another levy or lien subsequent to that of the levying
creditor who has caused the sale of the property.
The right of the first levy holder to redeem is distinct right from the 2nd levy
holder to redeem the property. If it is the 2nd holder who redeems the
property, there could be another redemption by the first judgment debtor.
Under Rule 39, when it is the judgment debtor who redeems the property
from the highest bidder, other rights of redemption are cut off by virtue of
the redemption by the judgment debtor. So we can speak of successive
redemptions only if the redemptioner is not the judgment debtor himself. If
the one who redeems the property is another lien holder, we can apply the
rule of successive redemption which says that another redemption can be
had within 60 days from the efficacy of the first redemption, even if the 1-
year period for redemption has already expired.
For example, there are 3 redemptioners, one being the judgment debtor. If
the redemption is carried out by the judgment debtor, the rights of
redemption of the other 2 are cut off. Redemption for all of them is 1 year
from the registration of the sale in the certificate of title. So we have to
assume that a redemption made should be within 1 year of the registration
of the certificate of sale in the certificate of title. If the 2nd levy holder
redeems the property, then the 3rd levy holder can also further redeem the
property within 60 days of the last redemption. But within the 1-year period,
the judgment debtor can redeem the property, who upon his exercise of his
right of redemption, the rights of the others to redeem will be cut off.
Will this not cause prejudice to the other levy holders if we cut off the
right to redemption?
No, it will not. The levy holders will simply enforce their levy since the
property in the hands of the judgment debtor. They can have another public
auction sale of that levied property.
In civil law, as well as in Rule 39, the SC has accepted the principle that
whenever there is a doubt in the interpretation of redemption rules and
laws, the interpretation should always be in favor of the redemptioner, the
judgment debtor.
Rule 39 is also very clear in saying that right of redemption will exist
only when the property sold at public auction is a real property. When
the property levied upon and sold at public auction is a personal property,
there is no right of redemption.
Due to the above principle, there could arise a situation where the
levy and public auction sale of a real property would result that the
price generated will be insufficient to pay the lien of the judgment
creditor.
Let us say that the judgment creditor has a lien of 1M, and a
piece of land owned by the judgment debtor was sold at public
auction, but generated only 500K. It is not enough to pay in full
the award given to the judgment creditor. The 500k will go to the
judgment creditor, but there is still a residue of 500k. When the
judgment debtor redeems the property, should he deliver to the
sheriff 500k or 1M?
The judgment debtor should deliver only 500k. He need not deliver
1M because the price paid by the highest bidder was only 500k.
3. If there is still a residue on the lien of the judgment creditor, he can levy
other properties owned by the judgment debtor, but the judgment creditor
cannot levy the same property that the judgment debtor has redeemed.
This principle does not prevent other creditors from levying the property
that was already redeemed.
With respect to the issue as to who is entitled to the fruits earned during the
pendency of the levy and during the 1-year period of redemption, Rule 39
settled that issue. The fruits of the property sold at public auction
during the period of redemption shall redound to the benefit of the
judgment debtor when the redemption period is still running. The
basis is that the judgment debtor retains ownership of the property
while the period of redemption is still running. If the judgment debtor is
unable to redeem the property within the period of redemption, then the title
will be consolidated in favor of the highest bidder.
In the auction sale, anybody can bid, even the judgment creditor. It is
usually the judgment creditor who will be offering the highest bid because
the judgment creditor can give an amount equivalent to the award given by
the court. If the award given by the court is 1M, then the judgment creditor
can give an amount as high as 1M. He need not turn over any cash to the
sheriff, because he will just tell the sheriff that he will consider the 1M lien
as fulfillment of his claim. Whereas if a stranger is the highest bidder, this
stranger is expected to give the 1M to the sheriff.
Can the judgment creditor be forced to shell out the equivalent of the
highest bid even if the highest bid is exactly equivalent to the amount
of his claim?
Generally, no. But if there is a 3rd party claim, a terceria, and the highest
bid was that of the judgment creditor, the judgment creditor must still shell
out cash in order to be treated by the sheriff and the court as the highest
bidder.
If the judgment creditor is not fully paid, there are other options given in the
rules in order to fully satisfy the claim:
1. File a motion in the court for an examination of the judgment debtor.
2. File a motion in the executing court for the examination of a debtor of the
judgment debtor.
3. File a motion for the appointment of a receiver for the remaining
properties of the judgment debtor.
The effect of res judicata under section 47 depends upon the nature of the
action:
Judgment in rem (letter a of Section 47)
Judgment in personam (letter b Section 47)
Conclusiveness of judgment (letter c Section 47)
Conclusiveness of judgment
Letter a and b speaks of conclusiveness in both instances.
In letter a, the law says the judgment is conclusive upon the title to the
thing, the will or administration, or the condition, status or
relationship of the person.
In letter b, the law says the judgment is conclusive between the parties
and their successors in interest by title subsequent to the commencement
of the action or special proceeding, litigating for the same thing and under
the same title and in the same capacity.
But you will notice that there is a caveat when it comes to a probate of a
will: it is not conclusive as to the fact that the testator is dead. There is
only a disputable presumption, unless proof thereof is presented. The
reason for this is that in civil law as well as in the Rules, the probate of the
will can be commenced even when the testator is still alive, provided that it
is initiated by the testator himself.
If a person has been issued a decree of adoption of a child named Juan
dela Cruz, the decree is conclusive upon the personal status of that
adoptee. Therefore, anyone who meets the adoptee and transacts with him
shall be bound by the issued decree of adoption.
In letter b, when the law says that judgment is conclusive upon the parties
and their successors in interest as to matters directly adjudged or as to
matters that could have been adjudged, that phrase litigating for the same
thing and under the same title and in the same capacity will refer, for
instance, to a compulsory counterclaim or a cross-claim. This is because
we learned that a compulsory counterclaim or a cross-claim that is not
raised in the same action shall be barred. The reason they will be barred is
because they are matters that could have been raised in relation to the
principal action. So, in a judgment in personam, the judgment is conclusive
only on the matter directly adjudged.
Exception:
1. Propriety of petition to annul judgment (it is an attempt to change
or modify a judgment, one ground being lack of jurisdiction of the
court over the subject matter or over the person of the party)
2. Relief from judgment on ground of FAMEN under Rule 38
FGU Insurance Case and a 2007 case
In that case, the SC gave 5 instances where a final judgment can be
modified or set aside.
1. Clerical errors;
2. Judgment nunc pro tunc;
3. The judgment is void; and
4. When supervening circumstances intervene after finality of
judgment to render execution of judgment unjust and inequitable.
5. SC held that it has the inherent power to change and modify final
and executory judgments if substantial justice so require. (2007 case)
Judgment nunc pro tunc (Now for then) A judgment intended to enter
into the record the acts which had already been done, but which do not
appear in the records. Its only function is to record some act of the court
which was done at a former time, but which was not then recorded, in
order to make the record speak the truth, without any changes in
substance or any material respect.
Conclusiveness of judgment
(c) In any other litigation between the same parties of
their successors in interest, that only is deemed to have been
adjudged in a former judgment or final order which appears
upon its face to have been so adjudged, or which was actually
and necessarily included therein or necessary thereto
This is a kind of res judicata with limited application. There could be identity
of parties and subject matter, but there is no identity of causes of action.
Thus, subsequent cases may prosper due to absence of res judicata.
When we say collateral attack, the person attacking the judgment does not
file a separate complaint for the purpose of having that judgment set aside.
If he only opposes a motion for execution, and the ground is that of lack of
jurisdiction over the case, it is not allowed since that is a collateral attack on
the judgment.
With respect to collusion and fraud, they are also grounds to attack directly
the judgment under Rule 47 (Annulment of Judgments), and then under
Rule 38 (Petition for Relief from Judgments). What cannot be done under
our system is a collateral attack against a final and executory judgment.
Writ of Kalikasan
Temporary Environmental Protection Order (TEPO)
Discovery measures that appears to be considered as
provisional remedies:
Ocular Inspection Order
Production order
Writ of Amparo
Writ of Habeas Data
Writ of Kalikasan
Example, a creditor cannot file a case solely for the purpose of obtaining a
preliminary attachment. Preliminary attachment should be a relief prayed
for in an independent case.
Note:
Rule 57 Preliminary Attachment is a provisional remedy because of the
word preliminary.
Final attachment is not a provisional remedy. It is now part of the execution
process under Rule 39.
Note:
Levy on execution refers to levy on final attachment. But we use the
term levy on execution to differentiate it on levy on attachment.
Writ of Amparo and Writ of Habeas Data are actions in themselves, but are
treated as provisional remedies. If there is a criminal case already filed
involving the disappearance of a person, that criminal action being the
principal case, there can be an application for a writ of Amparo or a writ of
Habeas Data as a provisional remedy.
The same is true with the Amparo circular. There is a production order and
inspection order, although they are substantially of the same nature of the
production and inspection in the Modes of Discovery.
If you will notice under Rules 57 to 61, one of the common requirements is
the posting of bond by the applicant (except support pendente lite). We
have an attachment bond, receivers bond, production bond, and the like.
But in the circular on marriage-related cases, the family court can grant
these provisional orders with or without bond at the discretion of the family
court. Also, in the same circular, the family court can grant these provisional
orders with or without a hearing, which is similar to some provision in the
Rules that some remedies can be granted ex parte, or some provisional
remedies require a summary hearing before issuance.
In the Amparo circular, when it comes to the provisional relief of a PO and
IO, there must be a motion filed by the applicant and a must be hearing
conducted. In the case of WPO and PO, they can be issued ex parte.
With respect to the authority of the MTC being able to grant interim relief, it
has been settled under BP 129. Under Sec. 33 of BP 129, it is clearly
provided therein that MTCs have authority to grant provisional remedies so
long as it has jurisdiction over the principal case. In case of support
pendente lite, there could be instances where MTC can grant for support
pendente lite, but we must keep in mind that so long as that principal case
is cognizable by the MTC, support as a provisional remedy can be had.
PRELIMINARY ATTACHMENT
Rule 57. SECTION 1. Grounds upon which attachment may issue.At
the commencement of the action or at any time before entry of judgment, a
plaintiff or any proper party may have the property of the adverse party
attached as security for the satisfaction of any judgment that may be
recovered in the following cases:
You will notice in Section 1 that there are 6 instances where one can file for
the relief of preliminary attachment. In the first five, there is a common
denominator, intent to defraud the applicant.
Except for the last part of Section 1, the only purpose of the applicant in
moving for the issuance of a writ of preliminary attachment is to enable him
to obtain a security for any judgment that may be rendered later on by the
trial court in his favor.
For a court to act validly, the court must acquire jurisdiction over the cause
of action, the person of the plaintiff and the person of the defendant. This
remedy is available even before jurisdiction over the defendant can be had
via a verified application for preliminary attachment filed by the plaintiff. But,
issuance of preliminary attachment at pre-stage proceeding requires a
hearing and the court will require the posting of an attachment bond
before the writ is issued; as long as all the conditions have been met, there
is only the carrying out the writ. The sheriff must first serve the summons
and then the notice of attachment, or serve them contemporaneously. This
will remedy the lack of jurisdiction by the court over the person of the
defendant. This is applicable in all provisional remedies that the court can
grant ex parte even before the court has gained jurisdiction over the person
of the defendant. This can be applied in preliminary injunction and in
preliminary relief of replevin.
In case of real property, the title will be annotated with a lien. He does not
lose ownership. He can sell it, but the buyer will be notified via the
annotation on the title, and he must recognize that fact, that the property
can be subject to auction sale later on. The buyer could stand to lose his
title on the property. The buyer cannot be considered a buyer in good faith.
He will always be a buyer with notice of the existence of the preliminary
attachment.
If the defendant has a sizable bank account, the sheriff will simply prepare
a writ of garnishment and serve it upon the bank. When the bank receives
the writ, the bank will freeze the account up to the amount of the claim. And
if the bank account is frozen, the defendant cannot use these funds
anymore. The bank will not allow him to withdraw. If it is a checking account
and the defendant issued checks thereon, the bank will dishonor the
checks that are presented to it. Thus, a preliminary attachment is a serious
derogation of the rights of ownership of the defendant. In that writ of
garnishment, which is also applicable to Rule 39 (Execution of Judgment),
there will be a new relationship created as an incident to the case, which
we called Forced intervention the judgment debtor/defendant, whether
he likes it or not, will be subject to further orders of the court. So if a bank
account is garnished, whether the bank likes it or not, the bank will be
forced to follow the orders of the court, in the sense that the bank will have
to follow the orders of the court after the garnishment of the bank account
of the defendant.
The first principle under Section 20 Rule 57 is that the recovery of damages
should be had in the same case, not in an independent action. Adverse
party must already submit an application for damages for improper
issuance of writ of preliminary attachment. The most practical way of
informing the court right away is to set up in his answer a compulsory
counterclaim for recovery of damages. If the defendant did set up a
counterclaim for recovery of damages, and then the defendant eventually
wins, he will just file an application through a motion to conduct a hearing
on the extent of liability to which the defendant is entitled to recover.
What Rule 57 tells us is that it is not possible for the defendant who has
won the case to file a separate complaint for recovery of damages arising
out of a wrongful attachment. If he did so, that independent case will be
dismissed, even motu propio by the court, due to res judicata.
In Section 20, Rule 57, it is very clear that the extent of damages to be
recovered need not be equivalent to the attachment bond filed in
court. Sec. 20 Rule 57 provides that if the attachment bond is insufficient,
there could be an availment of a levy of execution under Rule 39 by the
defendant. (This section is similar to other provisional remedies in the
Rules) Nothing herein contained shall prevent the party against
whom the attachment was issued from recovering in the same action
the damages awarded to him from any property of the attaching party
not exempt from execution should the bond or deposit given by the
latter be insufficient or fail to fully satisfy the award. Thus, the
defendant can ask for a writ of execution against the applicant under Rule
39. There can now be a levy on execution against the applicant.
The general rule is that a court cannot grant a TRO or a writ of PI without a
hearing, unlike preliminary attachment. Always expect a summary hearing,
with notice to both parties, to be conducted.
(if the matter is of extreme urgency and the applicant will suffer grave
injustice and irreparable injury, the executive judge of a multiple-sala
court or the presiding judge of a single-sala court may issue ex parte a
temporary restraining order effective for only seventy-two (72) hours from
issuance but he shall immediately comply with the provisions of the next
preceding section as to service of summons and the documents to be
served therewith. Thereafter, within the aforesaid seventy-two (72) hours,
the judge before whom the case is pending shall conduct a summary
hearing to determine whether the temporary restraining order shall be
extended until the application for preliminary injunction can be heard. In no
case shall the total period of effectivity of the temporary restraining
order exceed twenty (20) days, including the original seventy-two
hours provided herein. 2nd Par. Sec. 5 Rule 58),
Do not forget the modifications of the 2007 circular to Rule 58. The
modification is that if a court has issued a writ of PI which has no term
(not lifted until finally decided or until ordered), the court that issued
such writ of PI must decide the principal action within a period of 6
months. This is the modification in the 2007 circular. If the court does not
place a limit of 6 months to decide the principal action, the writ will be
effectively be a perpetual injunction, because it is effective until the case
has finally been decided. If the court grants the PI today, it has only 6
months within which to decide the case. In deciding the principal case, the
court could rule in favor of the plaintiff or defendant. If ruled in favor of the
defendant, the PI is automatically lifted, meaning the plaintiff has no right at
all to ask for the writ of PI.
Although the authority of the court is very broad in the issuance of a writ of
PI, there are instances where a court cannot grant a writ of PI or TRO.
RULE 59 RECEIVERSHIP
It has a feature not present in other provisional remedies. Provisional
remedies are contemplated to be used during the pendency of the case. In
receivership, the court can appoint a receiver during pendency of a
case. Under the Rules, the court can also appoint a receiver after the
judgment or in the process of execution of said judgment. This feature
makes this remedy unique. There is no fixed time in which a court can
appoint a receiver.
The grounds for appointment of receiver are quite broad. Whenever the
court feels there is a need for the appointment of a receiver to preserve the
property in litigation, it shall do so. The Rules also provide in foreclosure of
a mortgage, the mortgagee can move for the court to have the mortgaged
property placed under receivership, even if there is no proof that the
collateral will be lost or deteriorate. This can be done whenever the deed of
mortgage contains a stipulation authorizing the mortgagee to move for the
appointment of a receiver. But generally, the purpose of receivership is to
preserve the property under litigation from loss or deterioration.
SC held that the receiver is not a representative of either party. It
classified the receiver as a representative and an officer of the court.
Thus, the receiver cannot file a case as a receiver without the consent of
the court. If a receiver needs to file a case to recover certain properties
under receivership, he needs permission from the court to do so. On the
other hand, if a 3rd person has a grievance against the receiver in his
capacity as a receiver, the 3rd person cannot simply file a case against
such receiver as the 3rd person must seek permission of the court first. We
find here a situation that the filing of a case will need permission of the
court. If not granted, that action will fail.
Practically every issue is left to the court. The court determines how much
compensation to give to the receiver, the qualifications of a receiver, how
many receivers may be needed. The court can appoint a receiver, it can
also fire said receiver and appoint a new one, whenever there is a need to
preserve the property. The competence in the determination of such
matters is in the receivership court.
The applicant should manifest that he is able to post bond. Once the court
appoints the receiver, the receiver shall also post a bond. The receivers
bond is designed to protect the parties to the litigation from any abuse or
mischief by the receiver in the performance of his duty.
RULE 60 REPLEVIN
By jurisprudence, it is accepted as a main action and as a provisional
remedy at the same time. Recovery of possession of property capable of
manual remedy is termed as a complaint for replevin. It automatically rules
out a real action. In personal action for recovery of possession of personal
property, it involves warrant of seizure or writ of replevin to enable applicant
to gain possession of the specified personal property.
In replevin cases, without an application of a provisional remedy of a writ of
replevin, the plaintiff recovers possession of a personal property only after
the case has been decided in his favor. So, if plaintiff filed the case today
for recovery of a car without an application for the provisional remedy of a
writ of replevin, and the case was decided 5 years later, the car shall
remain under the possession of the defendant during those 5 years.
Chances are, by the time the case is decided, the car might already be in a
bad condition. That is the role of a writ of replevin. So if a plaintiff files a
complaint today for the recovery of a car, if he wants to gain possession of
the car right away, he should file an application for a writ of replevin in order
for him to immediately gain possession of the car.
Writ of replevin is tilted always in favor of the applicant. The court can grant
the motion or application ex parte. This is one provisional remedy which
cannot be granted by an appellate court. Only the court of original
jurisdiction can grant it, as this can be granted ONLY before the
defendant answers (thus, it will be improper for the court to grant it
once the defendant already filed an answer). But, there must be
prior/contemporaneous service of summons to cure defect in
jurisdiction over the person of the defendant. Once served, the sheriff
will seize the personal property. Sheriff has a 5 day holding period after
seizure. If there is no challenge on sufficiency of the replevin bond and no
counterbond, the sheriff shall turn over possession to the plaintiff. This is
the advantage of replevin, it immediately enables the plaintiff to recover
possession of the personal property that is the subject of litigation..
3. In the service of writ of replevin, when the sheriff finds the property is
not in possession of the defendant but a 3rd person who is not a
litigant, and said person claims ownership of the property, sheriff will
not seize the property.
(Note: The solution to this is to advise your client that complaint should
implead 2 defendants, one who was known by the plaintiff to possess the
thing subject to the complaint and an UNKNOWN defendant. Thus, sheriff
can rightfully seize the car from anybody who might be in possession,
as long as an unknown defendant is impleaded in the complaint.)
4. Within the holding period of 5 days, the defendant can file motion to
challenge sufficiency of the bond (undervaluing) or a 3rd party claim,
wherein a 3rd person claims to be a true owner of the thing (like in
Rule 57 and Rule 39). But in Rule 60, Replevin, the 3rd party claim must
be filed within the 5-day holding period, otherwise, the 3rd party claim
is useless. This is because after the 5-day holding period, the sheriff
shall deliver the car to the applicant.
A complaint for replevin was filed by X for recovery of a car. The court
issued the writ but the sheriff submitted a return saying he cannot
enforce the writ as the car can no longer be found. What the plaintiff
did after receiving the return was to file another application for
Preliminary Attachment of the properties of the defendant based on
the same complaint on the ground that the defendant has gotten hold
of the property fraudulently and that he has hidden the car so it
cannot be found and be subject to seizure. Is this proper?
The conversion of application for a writ of replevin into one for an issuance
for PA is not proper. SC held that if plaintiff does not succeed via replevin,
he cannot use PA. If he desires to use PA, he should overhaul his
complaint. The allegations for the application for a writ of replevin is
different from that for issuance of a writ of PA. In application for
issuance of a writ of replevin, the plaintiff alleges he is the owner or entitled
to possession. PA is for security purposes, the ownership of the property
subject to it belongs to the defendant, not a property of the plaintiff.
5 The decision of the court can be in the alternative. If the property itself
cannot be delivered, the value of such property can be delivered to
the prevailing party.
In the circular Family Court, which has jurisdiction over a complaint for
support, can grant both spousal support and child support even without
hearing and without requiring the filing of a bond. This is also provided in
the Rules on Support pendente lite. We follow that provision provided for in
the circular. A Family Court can grant spousal and child support even
without filing of a bond and without need for a hearing.
This is different in trial in courts that are not functioning as family court. This
is because in the Rules of Court, it is not proper for an ordinary court to
grant an application of support pendente lite without conducting a hearing.
In the Rules, in Provisional Remedies, support pendente lite can only be
allowed only after a hearing is heard, and the applicant and respondent are
given the chance to explain. The reason why this is required in the Rules is
that a court cannot conceivably issue an order granting support pendente
lite unless the court is able to determine first that the petitioner needs
support, and even if the petitioner does need support, to determine that the
respondent is capable of grant such support. This is because if the court
simply grants an application for support pendente lite without examining the
financial ability of the respondent, that provisional remedy will be useless. If
the respondent cannot comply, as he had no means to give support, he
could be jailed. This is one action where the court can imprison a
respondent who does not comply with its order to give support, although
the respondent really may not have the ability to really do so.
In the Rules of Court on Support Pendente Lite, you will notice that the
principle in Section 20 Rule 57 is not followed at all. A remedy to recover
damages in wrongful issuance of provisional remedies should be in the
same case. There must be no separate action to recover damages. But if
you read the provisions for Support Pendente Lite, it is expressly provided
that there could be an independent action for recovery of money given as
support in compliance with an order of the court. There is no need for
respondent to file a claim for damages in the same action.
If you are asked why a Family Court can order spousal support without a
hearing, just state that there is no need for a Family Court to determine the
needs of the spouse or of the minor children, there is no need for the court
to determine the financial ability of the defendant. This is because in family-
related cases, there is a need for an inventory of properties submitted to
the Family Court by the petitioner. Based on the inventory, the court can
conclude how much the spouse is entitled and how much the minors are
entitled to support.
Center your attention on the procedures required in civil and criminal cases
given in the Writs:
Kalikasan cases
- Commenced in RTC, MTC, CA, SC
- Continuing mandamus is only cognizable only in SC and CA
- Party complaining/answering must have attached documentary
and/or object evidence available
- If the defendant does not file an answer, there is no need for a motion
do declare defendant in default, it being a prohibited pleading.
- If the defendant does not answer, it is the duty of the court to
declare the defendant in default, no motion need be had, and the
plaintiffs evidence can be received ex parte.
- Compromise of the civil action is encouraged. The judgment is not
called a judgment based upon a compromise but is called a Consent
Decree.
- Rules on Evidence are not necessarily followed. Quantum of
evidence in civil cases is mere preponderance of evidence. However,
there are several instances in Kalikasan cases that mere substantial
evidence is enough, which is also now followed in Amparo cases. In
Amparo cases, only substantial evidence is required, which is the
same quantum of evidence in quasi-judicial proceedings. In Amparo
cases, the rule on quantum of evidence is exclusively determined by
the SC. If substantial evidence is required in Amparo cases, then that
is the quantum required. An administrative body cannot change the
quantum of evidence required.
RULE 62 INTERPLEADER
What is so special about interpleader?
In ordinary civil cases, an action is commenced by the filing of a complaint,
petition or something equivalent to a complaint.
In an interpleader, it can be commenced by the filing of an answer with a
counterclaim for interpleader.
Since we are following the rules in ordinary civil action, there is need of a
plaintiff and a defendant. In an interpleader, there is a plaintiff and there can
two or more defendants.
Since we are going to follow the rules of ordinary civil actions unless
otherwise provided in the Rules, does it mean to say that we should
submit a controversy of interpleader involving at least two or more
defendants, should there be prior barangay conciliation before we go
to court?
Yes. Generally, that is a rule that is applicable to all civil actions, and thus
will include special civil actions, so long as the parties are natural persons
residing in the same city or municipality.
Since we are going to follow the rules of ordinary civil actions unless
otherwise provided in the Rules, does it mean to say that we should
wait for the court to issue summons?
Yes. That is the means by which the court will acquire jurisdiction over the
defendant.
Q: What is an interpleader?
A: It is a special civil action filed by a person against whom two conflicting
claims are made upon the same subject matter and over which he claims
no interest, to compel the claimants to interplead and to litigate their
conflicting claims among themselves. (Sec. 1, Rule 62).
Note: Upon filing of complaint, the court shall issue an order requiring
conflicting claimants to interplead. (Sec. 2, Rule 62)
You will meet decisions of the SC concerning declaratory relief to the effect
that you cannot file a motion for execution in order to carry out the
declaratory judgment (the judgment in a case for declaratory relief), in order
to differentiate it from what the court usually renders after a judgment has
been entered in order to clarify the judgment. The latter is what we a
clarificatory judgment. In a clarificatory judgment, that is where a judgment
that has become final and executory but has certain ambiguities with that
judgment. The remedy of the interested party is to file a motion for the
rendition of a clarificatory judgment. This clarificatory judgment is different
from a declaratory judgment. In declaratory judgment the court will only tell
the petitioner what his rights and duties are under a certain will or contract.
But in the case of a statute or ordinance, the court will tell the petitioner
whether or not the statute or ordinance is unconstitutional or not. So after
the court has done its duty, there is no more need for the prevailing party to
return to the court in order to move for the execution. We do not apply Rule
39 to a petition for declaratory relief.
So, that is the nature of a declaratory relief that makes it a special civil
action. There is really no cause of action as contemplated in ordinary civil
actions where there is a right violated by the defendant.
The second procedural rule that we apply to declaratory relief which is not
followed in other special civil actions or in other ordinary civil actions is the
authority of the court not to entertain a petition for declaratory relief. The
court can refuse to make a declaration of the rights of petitioner and
respondents on a deed or a contract on the ground that the judgment will
not bind the parties not impleaded in the petition for declaratory relief. This
shows that declaratory relief is not in rem. It is purely a petition in
personam. It cannot bind other parties who had not been impleaded,
although these parties not so impleaded may be parties to the contract or
matter under litigation.
So you will notice that under Rule 39 and even in the Mortgage Law, in
order to consolidate title, we do not require a special civil action to
consolidate title to be filed in court. The only public officer who is going to
deal with the interested party is the RoD, who has the ministerial duty to
issue a title if the papers are in order, in this case a final deed of sale.
NCC Art. 1616. The vendor cannot avail himself of the right of
repurchase without returning to the vendee the price of the
sale, and in addition:
(1) The expenses of the contract, and any other legitimate
payments made by reason of the sale;
(2) The necessary and useful expenses made on the thing sold.
This is to obtain an order from the court for the RoD to consolidate the title
of a property subject to sale with right to redeem, although the factual
antecedents are the same. In the NCC Art. 1607, if there is a right to
redemption, it is called conventional redemption, not a legal redemption as
that in Rule 39 and in foreclosure of mortgage. It is that classification of
redemption to conventional that makes the difference.
A conventional redemption has also a period for 1 year. When the 1-year
period expires, the buyer of the property cannot deal directly with the RoD.
The reason why there is a need to go to court in conventional redemption is
that there is a provision in the NCC requiring it. It is explicitly stated in
the NCC that sale with the right to redeem is not a sale but an
equitable mortgage. So, insofar as the courts are concerned, if the
contract entered by the parties is a sale with right to redeem by way of
conventional redemption, the NCC assumes (a disputable presumption)
that the real agreement between the parties is not really a sale but an
equitable mortgage. Insofar as the NCC is concerned, the seller is not a
genuine seller, only a mortgagor, and the buyer is the mortgagee of the
property, notwithstanding the clear tone of the deed of sale with right of
redemption. Even the RoD will have to observe the disputable presumption
given by the NCC that the deed of sale with right of redemption is one of an
equitable mortgage. So if we go to the RoD for consolidation of title, the
RoD will simply tell the buyer of the property that the contract is one of
equitable mortgage, not of sale, so there is a need to get a decision from
the court declaring that contract is really a genuine contract of sale with
right of redemption. That is the only purpose of this special civil action of
consolidating of title under Art. 1607 NCC, to give to the buyer in sale with
right of redemption a chance to present evidence to defeat that disputable
presumption contained in the NCC. If he is able to convince the court that
the sale is a genuine sale, the court will issue an order directing the RoD to
cancel the title of the seller and issue a new title in the name of the buyer.
But if the petitioner/buyer fails to defeat the disputable presumption that the
contract is one of equitable mortgage, he can still obtain a title, but he must
file another special civil action. This time, the buyer must file an action for
judicial foreclosure of mortgage. Even if he is not able to obtain a decision
under Rule 63 in order to consolidate title under Article 1607 NCC, that is
not the end insofar as the buyer is concerned since he is an equitable
mortgagee, so he still has the right to foreclose the property. The only
means where he can foreclose the property is by availing of another special
civil action, which is called foreclosure of real estate mortgage under Rule
68. But the procedure for judicial foreclosure of mortgage is quite lengthy,
requiring 3 final orders of the foreclosure court, a sale via public auction for
the property, and even if we assume that the mortgagee will become the
highest bidder, he will get the title in his own name only after the
confirmation by the foreclosure court of the sale in his favor is duly entered.
As we will see later, judicial foreclosure of mortgage, as a complement to a
special civil action for consolidation of title, is a 3-stage special civil action.
Meaning to say, that the foreclosure court is expected to make three
decisions/orders before the mortgagee can obtain a title in his name.
Q: What is the purpose of an action brought to consolidate
ownership?
A: The action brought to consolidate ownership is not for the purpose of
consolidating the ownership of the property in the person of the vendee or
buyer but for the registration of the property. The lapse of the
redemption period without the seller a retro exercising his right of
redemption consolidates ownership or title upon the person of the vendee
by operation of law. Art. 1607 requires the filing of the petition to
consolidate ownership because the law precludes the registration of the
consolidated title without judicial order (Cruz vs. Leis, 327 SCRA 570).
If the court decides to entertain a petition for declaratory relief, and during
the pendency of the petition, the law took effect or there is a violation
committed as to the terms of the contract, the court shall order the
conversion of declaratory relief into an ordinary civil action. Petitioner will
have to amend his complaint, as he will now allege that he has a right and
that right has been violated. The declaratory relief will cease to be a special
civil action. An ordinary civil action takes its place, which is not possible in
the actions covered by other similar remedies. The court does not enjoy
discretion to outrightly dismiss a petition for consolidation of title,
reformation of instrument or quieting of title.
Q: What is the mode of review for judgments and final orders of the
COMELEC and COA?
A: The petition may be brought by the aggrieved party to the Supreme
Court on Certiorari under Rule 65, except otherwise provided.
Note: Rule 65 applies to the mode of review under Rule 64.Said mode of
review is based on Article IX-A of the 1987 Constitution providing that the
proper mode of review is certiorari under Rule 65 to be filed before the
Supreme Court. Under R.A. 7902 the Court of Appeals has jurisdiction over
all adjudications of the Civil Service Commission.
Note: The order to comment under Sec. 6, Rule 64 in case the Supreme
Court finds the petition sufficient in form and substance is equivalent to
summons in ordinary civil action.
Note: While Rule 64 makes reference to the certiorari under Rule 65, the
period for the filing of the petition for certiorari assailing the judgment
of the COMELEC and COA is shorter than that provided under Rule 65
Petitioner should not move for an extension for a petition under Rule
65. It is inextensible.
Note: The remedies of appeal and certiorari are mutually exclusive and not
alternative or successive. The antithetic character of appeal and certiorari
has been generally recognized and observed save only on those rare
instances when appeal is satisfactorily shown to be an inadequate remedy.
Thus, a petitioner must show valid reasons why the issues raised in his
petition for certiorari could not have been raised on appeal (Banco Filipino
Savings and Mortgage Bank vs. CA, 334 SCRA 305).
SC, CA and RTC have original jurisdiction over petitions under Rule 65.
Thus, there is concurrence of jurisdiction among these three courts.
Theoretically, petitioner has a choice as to where to file. The law does not
compel him to file a petition first in the RTC, then the CA, and finally in the
SC. There is no such provision in BP 129 and the Constitution.
Q: What are the grounds for the outright dismissal of the petition?
A: (Sec. 6, Rule 64)
1. Petition is not sufficient in form and substance (Sec. 5, Rule 64)
2. Petition was filed for purpose of delay
3. Issue is unsubstantial
Q: What are the grounds for the filing of a petition for certiorari?
A: That a tribunal, board or officer exercising judicial or quasi-judicial
functions acted:
1. Without or in excess of jurisdiction
2. In grave abuse of discretion amounting to lack or excess of jurisdiction
XPN: It will lie to prevent the creation of a new province by those in the
corridors of power who could avoid judicial intervention and review by
merely speedily and stealthily completing the commission of such illegality.
(Tan v. COMELEC, G.R. No. 73155, July 11, 1986)
We do not follow Rule 16 which tells the defendant that when his motion to
dismiss is denied, he has to file an answer within the remaining period. The
SC has recognized the propriety of filing a petition for certiorari, prohibition
or mandamus if a motion to dismiss founded on lack of jurisdiction over the
subject matter has been denied.
The petitioner files a petition for certiorari in the CA or SC. The true remedy,
according to the SC, is a petition for prohibition, not a certiorari. From the
facts stated above, a prohibition is the correct remedy. As the
petitioner/defendant had filed a petition for certiorari, can CA/SC outrightly
deny the petition because it is the wrong remedy? SC said no. The petition
for certiorari should instead be treated as a petition for prohibition. So it
seems under this attitude of liberal interpretation of statutes, it is not fatal
for a petitioner to choose the remedy provided under Rule 65.
In Rule 65, if we examine the caption of a petition under Rule 65, we will
discover that there are at least 2 respondents, one is the private
respondent, the other is the public respondent. The public respondent is
the agency, court or officer/person who exercises judicial or quasi-judicial
functions (in case of prohibition, public respondent is the agency, court or
officer/person who exercises judicial , quasi-judicial or ministerial
functions). In other words, we always involve a public officer or agency or
court on or officer/person who exercises judicial , quasi-judicial or
ministerial functions under Rule 65. We cannot get a petition for certiorari
under Rule 65 with only the private respondent. We must implead the
public respondent.
Because of the inherent nature of the petition under Rule 65, that there is
always a public respondent, the petition under Rule 65 does not have to
comply with that condition precedent of prior barangay conciliation. This is
one of the exceptions given in the LGC, where the action involves a
government officer or employee in the performance of his duty.
And the grounds of course are very strictly interpreted. In Rule 65 Sections
1 and 2, the ground is that the public respondent has acted without
jurisdiction, in excess of jurisdiction or with grave abuse of discretion
amounting to lack of jurisdiction.
No, if the case does not fall under the above-mentioned cases under Rule
57 Section 1. Thus, the court would have acted in grave abuse of its
discretion amounting to lack or excess of jurisdiction.
2.If the court did not dismiss the petition outrightly, the court may not
issue summons. It may instead issue an order to comment. Once a
comment is submitted, the court acquires jurisdiction over that party.
(Similarly, no summons is issued in cases of interpleader and declaratory
relief and other similar remedies.)
3. Since the court does not issue summons, issuing instead a plain order to
comment within a fixed period, if no comment is submitted, the court
cannot declare respondent in default.
4. Under Rule 65, the court will not conduct a pre-trial or a trial. The
issue is a very limited issue. It is not only a mere question of law raised in
Rule 65. That question of law is one of law that it is limited to the issue
of jurisdiction (without or in excess with grave abuse of discretion). There
could be several questions of law that could be raised. But, that question of
law may not involve jurisdiction at all. But in Rule 65, the issue is one of law
and it is limited to the issue of jurisdiction, whether or not the respondent
committed grave abuse of discretion amounting to lack or excess of
jurisdiction.
Also , the submission of the petition or Order to comment requires parties
to submit the pleadings already submitted in the lower courts. So, the court
will just analyze the documents presented before it via the documents
attached to the petition or the comment, and thus there is no need for a
trial.
Upon the filing of the petition, and the court analyzes the petition, and the
court is convinced of the need for the writ to be issued, the writ will be
immediately issued without need of hearing the side of the respondents.
The writ can be issued right away by the court as long as the allegations in
the petition are complete, that petition is meritorious by itself. The court
may issue also an order requiring respondents to file a VERIFIED RETURN
(not an answer). In writ of HC and Amparo, return is also required to be
filed by respondents. The Return must contain the respondents
explanation as to his side. The writ is a special civil action in this contest
because the writ is issued right away, even before the respondent is given
the chance to give his side, even before the respondent can file his return.
After the issuance of the writ of Kalikasan, even without hearing the
respondent, the Kalikasan court can issue a provisional remedy called
cease and desist order, which is similar to a TRO in civil cases. But, it does
not have an expiration date, unlike a TRO in ordinary procedure, the
duration depends upon the discretion of the Kalikasan court.
Also, there are only 2 courts that can take cognizance of a petition for a writ
of Kalikasan, the SC and the CA.
Since there is no answer that is required to be filed by the respondent,
failure by the respondent to file a verified return does not result in default.
In ordinary civil actions involving environmental laws, we follow a different
procedure.
If the defendant in an ordinary civil procedure does not file an answer, the
defendant will be declared in default even if there is no motion initiated by a
plaintiff. That is in an ordinary civil action involving environmental laws
which is not a special civil action of Kalikasan filed only in the CA or SC. So
if the respondents do not submit a verified return, the court will go ahead
with analyzing the merit of the petition for a writ of Kalikasan.
MCQ
The idea or concept of continuing mandamus. What is the source of
this writ of continuing mandamus?
1. an invention of the SC
2. it was taken from India
3. It was taken from USA
4. it is adopted from Latin American Countries just like Amparo.
A provisional remedy that could be issued by the court handling the petition
for continuing mandamus is the issuance of a Temporary Environmental
Protection Order (TEPO) or a cease and desist order, just like in the writ of
Kalikasan. There could also be an award of damages.
In such case, the government officer can file a motion to dismiss such
case. The public officer/defendant/accused need only to present
substantial evidence (the same standard in administrative cases) to
prove that the case filed was a SLAPP. The plaintiff must present
preponderance of evidence/proof beyond reasonable doubt to sustain his
challenge.
In ordinary criminal procedure, if the court grants bail, one of the conditions
in the bail is that if the accused does not appear in court for trial, then the
court is authorized to conduct a trial in absentia. But in criminal procedure,
if the accused is granted bail, and then during the arraignment he does not
appear, the criminal court will be forced to suspend proceedings until the
accused is rearrested. What the court will do is to postpone the
arraignment, issue another arrest warrant and probably order the
cancellation of the bail bond. But, the arraignment will not be pushed
through. If there is no arraignment, there can be no trial in the ordinary
criminal case. There must be an arraignment first before the court can
conduct a trial in absentia.
There is no more need for the accused to be present personally during the
arraignment in the Kalikasan criminal cases. If he does not appear, then it
is the court who will enter a plea of not guilty for him so the court can
continue with the trial in absentia of the accused.
Wildlife means wild forms and varieties of flora and fauna, in all
developmental stages including those which are in captivity or
are being bred or propagated.
The court shall have a period of sixty (60) days to decide the
case from the date the case is submitted for decision.
Unless the civil action has been instituted prior to the criminal
action, the reservation of the right to institute separately the civil
action shall be made during arraignment.
Note: Actions of quo warranto against corporations now fall under the
jurisdiction of the RTC (Sec. 5.2, Securities Regulations Code).
Usually, the petitioner has the right of choice. But under Rule 65, although
nothing is mentioned in Rule 66 about hierarchy of courts in quo warranto
proceedings, we follow hierarchy of courts. As much as possible, we do not
file a petition for quo warranto in the SC. It should be filed in the RTC which
has territorial jurisdiction over the case where the public office in question is
placed.
Procedural changes:
1. Rule on venue
Usually in ordinary civil cases, in the absence of an express agreement,
venue is governed by Rule 4. We do not follow this in quo warranto. It is
specifically provided that for quo warranto, the venue is where the officer
sought to be ejected is residing. We do not take into account the
residence of the petitioner.
3. The most significant change in quo warranto is that we do not apply the
rule against splitting a cause of action. It is expressly allowed in quo
warranto under Sections 9, 10 and 11 of Rule 66.
You will note that in these 3 sections, there is a rule derived from these
sections, which says that if the quo warranto court decides in favor of
the petitioner, the quo warranto court will oust the respondent and
direct that the office and the records of that office be turned over to
the prevailing party. In the succeeding sections, it is also provided that the
prevailing party has a right, within 1 year after taking over, can claim
damages incurred as a result of usurpation by ousted respondent
public officer. Although a favorable decision in a quo warranto proceeding
could lead the court to award damages against the respondent public
officer, the quo warranto need not award damages in the quo warranto
petition itself. There could be a separate complaint for recovery of damages
arising from the usurpation of a public office. This is splitting a cause of
action. In other words, the prevailing party can recover the office, and after
he has assumed office, within one year from entry of judgment, he can file
a separate complaint for the recovery of damages suffered as a result of
the intrusion or usurpation made by the defendant.
Claim for damages arising from principal cause of action is not barred if
split from quo warranto action. But prescriptive period is 1 year from entry
of the main action. Whereas in the case of mandamus, a special civil
action, lets say the petitioner files a petition for mandamus without a claim
for damages. He later on wins the case. When court directs the defendant
to turn over the office to the prevailing party, the prevailing party will be
barred from claiming damages from the plaintiff. Mandamus does not
authorize splitting a cause of action. A claim of damages could be awarded
if claimed in the same petition for mandamus. In quo warranto, there is a
different procedure that we follow when it comes to recovery of damages.
There could be a separate complaint for recovery of damages arising from
the intrusion or usurpation of public office. But the prescriptive period is one
year from entry of judgment of the quo warranto proceeding.
Distinguish mandamus from quo warranto.
A:
Mandamus Quo Warranto
Available when one is unlawfully Available against the holder of an
excluded from the use or enjoyment office, who is the person claiming
of an office against a person who is the office as against petitioner, not
responsible for excluding the necessarily the one who excludes
petitioner the petitioner
No splitting of a cause of action. Recovery of damages is allowed
within 1 year from the entry of
judgment of the petition for quo
warranto
Supposing that the petitioner filed a case for quo warranto against
respondent. His petition for quo warranto was granted. The
respondent was ousted from the office. When the prevailing party
filed a case for damages, 1 year after the entry of the judgment of the
quo warranto court, the respondent interposed a defense that he
cannot be held liable for damages as the judgment of the quo
warranto court was an invalid judgment. Is his defense succeed in
this ordinary complaint for damages?
No. It cannot be set up. It is a collateral attack on a judgment, which we do
not allow. Collateral attack on judgment rendered by the court is not
allowed when the judgment appears on its face to be valid under Rule 39.
Practically, in that separate complaint for the recovery of damages, no
meritorious defense could be set up by the respondent because the award
of damages necessarily arises from the fact that there is already a final and
executory judgment rendered in the principal case of quo warranto.
RULE 67 EXPROPRIATION
Q: What is expropriation?
A: The procedure for enforcing the right of eminent domain.
The nature of the action as a real action has nothing to do with the
jurisdiction of the court, but it has something to do only with respect
to the venue. The nature of the property is not determinative of
jurisdiction in expropriation proceedings because expropriation is one
not capable of pecuniary estimation.
Why is this so when state is required to pay just compensation?
This is because the issue to be resolved first by the court is the right of
the plaintiff to expropriate. Only in the second stage is the fixing of just
compensation resolved. A court cannot simply decide the issue of just
compensation first, as it should assess first the right to expropriate,
which is incapable of pecuniary estimation. SC held that since the first
issue to be resolved is one incapable of pecuniary estimation, under BP
129, then it should be the RTC which should have jurisdiction.
In expropriation proceedings, if there is a complaint filed yesterday, and
the plaintiff deposits an amount equivalent to assessed value today,
even if the defending party has not been notified yet, the plaintiff can
proceed to possess the property subject of expropriation. Let us say
that the DPWH is interested in getting a property of land for the purpose of
expanding a national highway. What it will do is to simply file a complaint in
the RTC where the land is located. The deposit is made the next day.
Immediately, the DPWH will take over the said property, and the owner
thereof can do nothing about it. Once deposit is made as required by the
Rules or as required by substantive law, the court issues a writ of
possession as its ministerial duty. In ordinary civil actions, issuance of a
writ of possession can be done only after the court has rendered a decision
and such decision has been entered.
Suppose there is a lien over the property? What if there were informal
settlers in the property?
They will all be driven out as a result of the writ of possession issued even
before the expropriation court has determined whether or not the state has
a right to expropriate.
There are now new laws providing for fixing the amount of deposit to be
made, not the one that is always provided for under Rule 67. The new laws
say that deposit should be 100% of the assessed value. Rule 67 shall
govern in cases where the special laws are not applicable.
FIRST STAGE
The first stage of the expropriation proceeding is for purposes of
determining the plaintiffs right to expropriate. The first decision in resolving
this issue is called an order of condemnation or expropriation, which is
a final decision on the merits. This is appealable.
Certain pleadings are not allowed: Counterclaim, cross-claim and 3rd party
complaint. If defendant believes the filing of expropriation by the Republic is
arbitrary, he cannot sue the Republic. He cannot file a counterclaim against
the Republic.
Is there a way the defendant protect himself in case the court decides
in his favor?
Under Rule 67, even if without a counterclaim, if the court resolves the
expropriation is not meritorious, the court will award damages in favor of
defendant. If there is a dispute among several defendants as to who is
entitled to just compensation, even if no cross-claim is filed, the court itself
will resolve this issue, even if there are no pleadings relating thereto. The
expropriation court has a very wide discretion in the matter of payment, or
even distribution, of just compensation that will be fixed during the 2nd
stage where the court will appoint commissioners, who will then tell the
court the amount of just compensation to be paid to the various defendants.
POSSESSORS WITH JUST TITLE
SC also ruled that if the Republic has a Torrens title over certain properties,
but the said properties were in the possession of private individuals
claiming possession under a just title, the Republic cannot simply cause
their ejection, but Republic can simply file an expropriation proceeding
against them. There is nothing wrong if the Republic will file a complaint for
expropriation to oust the possessors from the property, although these
properties are already in the title of the government.
DEFAULT
Supposing the defendant does not answer within the period of default, the
court, upon motion of the plaintiff, may declare the defendant in default. But
in the default order issued in expropriation proceedings, the defendant is in
default only during the first stage of the proceedings, and is lifted
automatically in the 2nd stage. The defendant, if declared in default, will not
be able to participate during the first stage of the proceedings where the
right of the plaintiff to expropriate will be determined by the court. The first
stage ends, if favorable to plaintiff, with the court issuing an order for
condemnation or order of expropriation. Once that order is entered, or even
if there is an appeal from that order, the expropriation court will now go to
the second stage, the fixing of just compensation. During the 2nd stage, the
defendant is allowed again to participate in the proceedings the fixing of
just compensation. Unlike in ordinary civil actions, if the defendant is in
default, the defendant will not be able to participate during the entire
proceedings, unless the order of default is lifted or the order of default is set
aside.
SECOND STAGE
The fixing of just compensation is not solely the discretion of the court.
Court MUST appoint commissioners to determine such compensation. If
the court has not followed this procedure, there is ground to question the
decision of just compensation by said court. Commissioners must be
appointed in order to help the court in fixing the just compensation to be
paid. This is another deviation from ordinary procedures. Note in ordinary
procedure, trial by commissioners is discretionary; unlike in expropriation,
the appointment of commissioners in the second stage is mandatory. The
judgment rendered by the expropriation court will be void if the court does
not follow the mandatory requirement of appointing of commissioners.
Q: May the court dispense with the assistance of commissioners in
the determination of just compensation in expropriation proceedings?
A: No. The appointment of commissioners in expropriation proceedings is
indispensable. In such cases, trial with the aid of commissioners is a
substantial right that may not be done away with capriciously or for no
reason at all (MERALCO v. Pineda, G.R. No. L-59791, Feb. 13, 1992).
Note: Typically, the time of taking is contemporaneous with the time the
petition is filed. (NAPOCOR v. Co, G.R. No 166973, Feb. 10, 2009)
XPNs:
1. Grave injustice to the property owner
2. The taking did not have color of legal authority
3. The taking of the property was not initially for expropriation
4. The owner will be given undue increment advantages because of the
expropriation
In another case, there was a land owner who donated a tract of land to the
government. The government introduced improvements with tolerance of
the owner, and the value of the property increased. The donor, seeing that
the improvements increase the value of his property, changed his mind and
sought to recover the donated property by filing a case for unlawful detainer
against the government.SC held that unlawful detainer is not the remedy.
There was a de facto expropriation that happened when the government
took over the property. What the owner can do is to file an ordinary action
for the recovery of just compensation.
APPEAL
Supposed defendant appealed the first final order, may the court
proceed with the 2nd stage?
Yes. An appeal from the first final order will not prevent the court from
proceeding to the 2nd stage to fix the amount of just compensation.
If the defendant during appeal asks the court to withdraw the deposit
made, will that mean he is withdrawing his appeal or shall the appeal
continue?
The appeal shall continue. SC held that defendant is allowed to withdraw
the money since technically it is his as it is intended to pay partly his just
compensation, this will not mean that the appeal is being withdrawn.
Thus, immediately, you can see why expropriation is a special civil action. It
consists of 2 stages. And for each stage, there is a final order of judgment.
Thus, for each final order of judgment, an appeal can be had, meaning
there can be 2 appeals in an expropriation case. Thus, it is possible that
there can be multiplicity of appeals in expropriation cases, which is not
allowed in ordinary civil actions.
Judicial foreclosure of real estate mortgage. Rule 68 deals only with real
estate mortgage. Here, the court is involved.
Note: There is no judicial foreclosure of a chattel mortgage.
The pendency of the action stops the running of the right of redemption.
Said right continues after perfection of an appeal until the decision of the
appeal. (Consolidated Bank and Trust Corp. v. IAC, G.R. No. 73341, Aug.
21, 1987)
Rule 68 already tells who should be the plaintiff as well as who to implead
defendant. The defendants should be the debtor and the mortgagor. The
debtor is different from mortgagor. And debtor must also implead as co-
defendants persons who might have interests or liens subsequent to the
mortgagee. By implication, the owner of a piece of land can validly
mortgage his land more than once. He can mortgage the land to A, then to
B, and then C.
If the mortgage loans are all defaulted, the defendant, if he has not given
any authority to foreclose the mortgage, is sure to be impleaded as a
defendant in the complaint for judicial foreclosure of a real estate mortgage.
It is the first mortgagee who judicially forecloses the mortgage and if he
follows the Rules, the first mortgagee should implead the debtor, the
mortgagor and the subsequent mortgagees.
Subsequent lien holders are necessary parties, so they will lose their equity
of redemption incase the plaintiff wins the case.
But inn our given facts, we do not expect the debtor to pay, because the
property anyway does not belong to him. He will leave the problem to the
mortgagor. If there is no payment, and the judgment is not appealed, it will
be entered. The entry will not cut off the equity of redemption. The equity of
redemption shall exist until after the entry of the 2nd judgment.
SECOND STAGE
The foreclosure court orders the sale of the mortgaged property at public
auction. The court will issue an order directing the sheriff to sell the
property in a public auction under Rule 39, as well as in the Mortgage Law.
If the property is sold to the highest bidder, do we now cut off the equity of
redemption?
We do not cut off as of yet the equity of redemption even when the property
has been sold at public auction. What the court will do next after the public
auction is conducted is to resolve the motion for the confirmation of the
validity of the auction sale. This is the second final order of confirmation. It
is appealable. When an appeal is seasonably filed, the final order of
confirmation is not entered, the equity of redemption will still continue to
run. It will not be interrupted until the 2nd judgment is entered. If 2nd final
order is entered, that will not mark the end of the proceedings. That will
only mark the beginning of the 3rd stage.
THIRD STAGE
Deficiency Judgment
If the proceeds of the auction sale are not enough to pay off the
indebtedness, the court will be determining if there is any deficiency and
issue another final order authorizing the recovery of the deficiency.
The recovery of the deficiency will be governed by Rule 39, because the
property/collateral has already been sold at public auction. We are going to
apply, for purposes of recovery of deficiency, execution of judgment. The
recovery of deficiency is the third final order. If there is no satisfaction of the
deficiency through voluntary payment, the foreclosing mortgagee will have
to avail of Rule 39. He can move for the issuance of a writ of execution.
But in that 3rd stage, do not forget that the only one who is liable now is the
debtor. The mortgagor will not be liable for any deficiency, because the
mortgagor is not the debtor. The mortgagor is liable only to the extent of the
value of his collateral. He cannot be held personally liable for the value of
the deficiency, unless he makes himself solidarily liable together with the
debtor. So in the recovery of deficiency, only the principal debtor is held
liable, but not the mortgagor of the property.
Since we are going to apply Rule 39, there will be a levy on execution of
properties of the debtor. If these are sold at public auction, there will be
another round of legal redemption, 1 year from registration of the certificate
of sale in the RoD, but not because of the foreclosure, but because of the
issuance of the foreclosure court of a writ of execution.
Q: What are the instances when the court cannot render deficiency
judgment?
A: where the debtor-mortgagor is a non-resident and who at the time of the
filing of the action for foreclosure and during the pendency of the
proceedings was outside the Philippines, then it is not procedurally
feasible. It is by nature in personam and jurisdiction over the person is
mandatory.
In one case decided by the SC, the debtor secured his indebtedness
with a real estate mortgage to his own property. The lender/mortgagee
obligated the debtor to issue post-dated checks for the payment of
the obligation. The mortgagees filed criminal cases since the checks
he got from the mortgagor were dishonored upon presentation.
During the pendency of the criminal cases, since the principal
obligation remained unpaid, the mortgagee availed of the special civil
action for judicial foreclosure of mortgage of the mortgagors
property. The mortgagor, previously summoned in the criminal cases,
sought for the dismissal of the foreclosure case, claiming that the
civil aspect of BP 22 should not be separated from the criminal aspect
as it is automatically carried with the criminal case, and that
mortgagee has split his causes of action in filing the special civil
action for judicial foreclosure. Is the mortgagor correct?
In an earlier case, the SC upheld the mortgagor. The special civil action
for judicial foreclosure was dismissed. There was really splitting of causes
of action. The criminal cases stemmed from the issuance of the debtor of
the checks, which were dishonored. In a mortgage relationship, there are
effectively 2 contracts entered into between the mortgagor and mortgagee.
The principal contract, usually a loan, and an accessory contract of
mortgage. If the mortgagee files a separate complaint for the recovery of
the loan without foreclosing the mortgage, he can do so. The filing of a
separate complaint for the purpose of recovering the loan will be
considered as a waiver of the collateral arrangement. The mortgagee, if he
does this, is deemed to have abandoned the mortgage. He is deemed to
have converted his secured loan to an unsecured loan. The ordinary civil
action of the loan will bar a second complaint for the judicial foreclosure of
mortgage.
In a 2011 decision, involving the same set of facts, the SC changed its
course. SC held that the existence of a criminal case for violation of
BP 22 is not a ground to conclude that the mortgagee has abandoned
his mortgage lien. Notwithstanding the criminal case for violation of
BP 22 pending before the MTC, the mortgagee can still institute a
judicial foreclosure of the mortgage.
On January 10, 2003, GAP filed an ex-parte motion with the court for
the issuance of a writ of possession to oust Gretchen from the land. It
also filed a deficiency claim for P800,000 against Arlene and
Gretchen. The deficiency claim was opposed by Arlene and Gretchen.
A:
1. In judicial foreclosure by banks such as GAP, the mortgagor or
debtor whose real property has been sold on foreclosure has the right
to redeem the property within 1 year after the sale (or registration of
the sale). However, under Sec. 47 of the General Banking Law of 2000,
the purchaser at the auction sale has the right to obtain a writ of
possession after the finality of the order confirming sale. The motion
for writ of possession, however, cannot be filed ex parte. There must
be a notice of hearing.
PARTITION
It is a special civil action which could involve both personal and real
properties unlike judicial foreclosure.
A complaint for partition is predicated on the theory that plaintiff and
defendant are co-owners of the properties subject of litigation. The basis of
a complaint of partition is that the plaintiff is allegedly a co-owner of the
property together with other co-owners who are impleaded as defendants.
What is essential in the complaint is that ALL co-owners of the plaintiff must
be impleaded in the case as defendants.
Q: What is partition?
A: It is a process of dividing and assigning property owned in common
among the various co-owners thereof in proportion to their respective
interests in said property. It presupposes the existence of a co-ownership
over a property between two or more persons. The rule allowing partition
originates from a well-known principle embodied in the Civil Code, that no
co-owner shall be obliged to remain the co-ownership. Because of this rule,
he may demand at any time the partition of the property owned in common
(Art. 494).
SC said that all co-owners are indispensable parties. Even if one is left out,
the judgment of partition will never become final and executory. So, all of
the co-owners MUST be impleaded.
Q: What is the effect of non-inclusion of a co-owner in an action for
partition?
A:
1. Before judgment not a ground for a motion to dismiss. The remedy is
to file a motion to include the party.
2. After judgment makes the judgment therein void because co-owners
are indispensable parties.
But if the parties insist in partition to be done by the court, it will involve a 2-
stage proceeding.
Note: During the trial, the court shall determine whether or not the plaintiff
is truly a co-owner and there is co-ownership and that partition is not legally
proscribed, the court will issue an order of partition. It directs the parties to
partition the property by proper instruments of conveyance, if they agree
among themselves.
If they do agree, the court shall then confirm the partition so agreed and
such is to be recorded in the registry of deeds of the place in which the
property is situated (Sec 2, Rule 69). There always exists the possibility
that the parties are unable to agree on the partition. Thus, the next stage is
the appointment of commissioners.
What are the stages in an action for partition which could be the
subject of appeal?
A:
1. Order determining the propriety of the partition
2. Judgment as to the fruits and income of the property
3. Judgment of partition (Riano, Civil Procedure: A Restatement for the Bar,
p. 596, 2009 ed.)
ORDER OF PARTITION AND PARTITION BY AGREEMENT
Q: What is an order of partition?
A: The order of partition is one that directs the parties or co-owners to
partition the property
Q: When does the court issue the order of partition?
A: During the trial, the court shall determine whether or not the plaintiff is
truly a co-owner of the property, that there is indeed a co-ownership among
the parties, and that a partition is not legally proscribed thus may be
allowed. If the court so finds that the facts are such that a partition would be
in order, and that the plaintiff has a right to demand partition, the court will
issue an order of partition.
Note: The court shall order the partition of the property among all the
parties in interest, if after trial it finds that the plaintiff has the right to
partition (Sec. 2, Rule 69). It was held that this order of partition including
an order directing an accounting is final and not interlocutory and hence,
appealable; thus, revoking previous contrary rulings on the matter. A final
order decreeing partition and accounting may be appealed by any party
aggrieved thereby.
In one recent case, the SC said that here could be a good defense in a
complaint for partition. Even if the court finds property is co-owned, and
one co-owner decides to leave, the court cannot simply issue a decision in
favor of the plaintiff/co-owner that will lead to the dissolution of the co-
ownership. SC cited the provision in the Family Code citing Article 159,
which substantially says that if there are co-owners of a property by reason
of their right to inheritance from a predecessor in interest, and one of them
is a minor residing in the property, the court cannot subject the property to
partition and the co-ownership cannot be dissolved until the minor shall be
capacitated. That would be a good defense in a complaint for partition.
I suggest that you read provisions of the NCC on the propriety of a partition
among co-heirs if one of them is a minor who is residing in the property
owned in common. It seems that the co-ownership shall continue to exist
for 10 years if there is a minor residing in that property. That property
cannot be simply be ordered to be divided by the court, even if there is a
complaint for partition.
Art. 238. Upon the death of the person constituting the same,
person who has set up the family unless the court finds powerful
home, the same shall continue, reasons therefor.
unless he desired otherwise in his
will. The heirs cannot ask for its Art. 494. No co-owner shall be
partition during the first ten obliged to remain in the co-
years following the death of the
ownership. Each co-owner may Art. 1081. A person may, by an act
demand at any time the partition of inter vivos or mortis causa, entrust
the thing owned in common, the mere power to make the
insofar as his share is concerned. partition after his death to any
person who is not one of the co-
Nevertheless, an agreement to heirs.
keep the thing undivided for a
certain period of time, not The provisions of this and of the
exceeding ten years, shall be preceding article shall be
valid. This term may be extended observed even should there be
by a new agreement. among the co-heirs a minor or a
person subject to guardianship;
A donor or testator may prohibit but the mandatory, in such case,
partition for a period which shall shall make an inventory of the
not exceed twenty years. property of the estate, after
notifying the co-heirs, the
creditors, and the legatees or
Neither shall there be any partition
devisees.
when it is prohibited by law.
Both are real action, but we do not follow BP 129 which uses the assessed
value to determine jurisdiction. Under BP 129, real actions are cognizable
by an MTC or an RTC depending upon the assessed value of the real
property involved. FE and UD are cognizable by an MTC regardless of the
assessed value of the property or other collateral issues that could be
raised like unpaid rentals or recovery of damages. So if there is a complaint
for unlawful detainer with a claim for back rentals amounting to 1M, the
case is still cognizable by the MTC. In certain instances, the landlord/land
owner is interested only in the recovery of the back rentals. And if he
decides to file a complaint solely for recovery of the 1M back rentals, then
the case is cognizable in the RTC, since the case is no longer one for
unlawful detainer
UD, just like FE, is for the recovery of physical possession of property. The
recovery of money is only an incident to the principal action.
But, these remedies appear to have been modified by the decisions of the
SC. For instance, in a past case, about 30 years ago, there was a case
involving a contract of lease on a commercial property. There was a
stipulation in the contract which states that if the tenant does not pay
rentals, for instance, 3 months, the land lord will send a letter demanding
that the tenant must vacate the property and pay the back rentals for 3
months. If the tenant still failed to pay, the land lord can extra-judicially take
over the property. Under that stipulation, the land lord does not have to go
to court in order to recover physical possession of the property. What the
land lord will do is to go to the premises, throw out the things of the tenant,
change the locks of the doors of the property, and accept a new tenant.
When the tenant challenged the validity of the stipulation in the SC, the SC
at that time held that the stipulation was valid. The SC held that the
contract was one of lease with a resolutory condition. When the tenant fails
to pay, he loses his right to possess the property.
As of now, it seems that if you are lawyering for the land lord, and you want
to protect the land lord without a need to go to court file a case for unlawful
detainer, all you have to do is to incorporate a stipulation in the contract of
lease authorizing the land lord to take over extra-judicially the possession
of the property. SC said this is a valid stipulation, there is nothing wrong
with it. Under our system, a contract is the law between the parties. There
is nothing wrong if the tenant agrees in a contract of lease to be ejected
without a court order by virtue of a written stipulation in the contract of
lease. These contracts have been accepted as valid by the SC. So, such
stipulation is a valid stipulation in a lease contract.
But in the event that the contract of lease does not contain such stipulation,
if the tenant has failed to pay rentals for several months, the only recourse
of the land lord is to file a complaint before the MTC for unlawful detainer.
Why the radical change from the procedural rules that we had in
ordinary civil actions?
This is because of the provision found in Section 4 Rule 39. Under Rule
39, the general principle is that we cannot execute as a matter of right a
judgment that has not been entered. Generally, what can be executed as a
matter of right is a judgment duly entered.
The RTC is the appellate court in FE and UD cases. If the RTC decides
against appellant/tenant and the tenant appealed in the CA, what can
be done to prevent eviction on appeal to the CA under Rule 65?
The filing of a supersideas bond cannot be applicable this time. This
process will apply if the decision appealed upon is a decision of the MTC. If
the RTC decides in favor of the land lord, the judgment will still be executed
as a matter of right, and eviction can be had. The only way to prevent the
immediate eviction of the defendant tenant on appeal to the CA is to
apply for a TRO or writ of preliminary injunction in the CA against the
eviction of the tenant, subject to filing of a bond if required by the CA.
There are mechanisms resorted to by a tenant in order to delay an action to
recover possession of property
The tenant filed a case for reconveyance of the property subject to the
lease in the RTC. During the pendency of the case, the land lord filed
a case for FE or UD to recover of possession of the property subject
to the lease. The tenant asked the RTC to issue a writ of injunction or
TRO against the MTC, in order to prevent it from trying the case for FE
or UD. Is this allowed?
No. This is a settled issue. The tenant shall not be allowed to cause the
injunction of the case in the MTC. Although these 2 cases filed in different
courts involve the same property, they do not involve the same issue. FE
and UD involve the issue of physical possession of the property. In
reconveyance or quieting of title, the issue is also possession, but it is what
is called in the NCC as a real right of possession, not mere physical
possession of the property. The SC had made it very clear that we can
have a case for FE or UD filed by the land lord against the tenant pending
in the MTC, and at the same time, a case for reconveyance to reacquire
the same property subject to the lease pending before the RTC. SC held
that there is no litis pendencia here. Also, RTC cannot enjoin MTC from
trying the complaint for FE or UD, as MTC has exclusive jurisdiction over
cases of FE or UD.
If the tenant had failed to pay rents for 3 months, and the land lord
immediately filed a case for UD without a prior demand to vacate and to
pay, the MTC does not acquire jurisdiction over the case. A demand to
vacate and to pay is jurisdictional in FE or UD. But not in all cases.
At the end of the lease contract until the 15th day, the tenant is deemed to
be in unlawful possession of the leased property. There is no need for the
land lord to send a demand to vacate to make the tenant an unlawful
possessor, as he became so from the operation of the NCC. Within the 15-
day period, the land lord can properly file a case for unlawful detainer
against the tenant by virtue of the termination of the lease. The NCC itself
calls the tenant as an unlawful possessor if he does not surrender the
property after the lease has already terminated. The NCC has a caveat. If
the tenant, after the termination of the lease, remains in possession of the
property for the next 30 days from the termination of the lease, and there is
no action filed by the land lord in court, the unlawful possession by the
tenant will be reconverted to a lawful possession because of the implied
new lease. The implied new lease is not for the same period stipulated in
the old contract of lease. It will be on a month-to-month, day-to-day or
quarterly basis, depending on the previous contract of lease as to period of
payment
SEC. 17. Judgment.If after trial the court finds that the
allegations of the complaint are true, it shall render judgment in
favor of the plaintiff for the restitution of the premises, the sum
justly due as arrears of rent or as reasonable
compensation for the use and occupation of the premises,
attorneys fees and costs. If it finds that said allegations are
not true, it shall render judgment for the defendant to recover
his costs. If a counterclaim is established, the court shall render
judgment for the sum found in arrears from either party and
award costs as justice requires.
Rule 71 CONTEMPT
What is contempt?
A: It is a defiance of the authority, justice or dignity of the court; such
conduct as tends to bring the authority and administration of the law into
disrespect or to interfere with, or prejudice litigant or their witnesses during
litigation (Halili v. CIR, G.R. No. L-24864, Nov. 19, 1985)
Contempt is the one that we can consider as a special civil action for
the following reasons:
Contempt is a special civil action where one can be sent to jail whereas
the case is civil in character.
The complainant is the court, and the one who will decide the case is
still the complaining court.
Note: Failure by counsel to inform the court of the death of his client
constitutes indirect contempt within the purview of Sec. 3, Rule 71, since it
constitutes an improper conduct tending to impede the administration of
justice.
Note: The first procedure applies only when the indirect contempt is
committed against a court or judge possessed and clothed with contempt
powers.
The second mode applies if the contemptuous act was committed not
against a court or a judicial officer with authority to punish contemptuous
acts. (Nazareno v. Barnes, G.R. No. L-59072, Apr. 25, 1984)
The court does not declare the respondent in default since the proceeding
partakes the nature of a criminal prosecution (Fuentes v. Leviste, G.R. No.
L-47363, Oct. 28, 1982).
BP 129 has done away with bond in cases of contempt. But, a bond is still
required to be posted in APPEALING the judgment of contempt in order
to suspend the execution thereof.
(2) The person adjudged in indirect contempt may appeal from the
judgment or final order of the court in the same manner as in criminal
cases. The appeal will not however have the effect of suspending the
judgment if the person adjudged in contempt does not file a bond in
an amount fixed by the court from which the appeal is taken. This bond
is conditioned upon his performance of the judgment or final order if the
appeal is decided against (Sec. 11).
Quasi-judicial bodies that have the power to cite persons for indirect
contempt pursuant to Rule 71 of the Rules of Court can only do so by
initiating them in the proper RTC. It is not within their jurisdiction and
competence to decide the indirect contempt cases.
If one was found guilty of contempt, it is possible other laws or Rules may
be applicable. For example, a lawyer may be sanctioned under the Code of
Professional Ethics. Other laws may also apply in certain instances
although contender was not found guilty of contempt.
Relate this to the modification under Rule 65. A lawyer may be cited for
indirect contempt, even if there is no show-cause order, at the discretion of
the court. In Rule 65, under the principle of res ipsa loquitur, the lawyer
who files a patently unmeritorious pleading under Rule 65 can be
cited in indirect contempt, even without a show cause order.
SPECIAL PROCEEDINGS
Under the present set up, the rules on adoption incorporates two other
special proceedings. Thus presently, we can file a petition for adoption, plus
a petition for change of name, plus a petition for correction of entry. But the
rule is that if there is a petition for adoption which encompasses tw0 other
proceedings, that petition should also comply with jurisdictional
requirements on change of name and correction of entries of the records of
the local civil registrar.
The 3 most important special proceedings which are often the source of bar
questions, which are asked usually, would be settlement of estates of
deceased persons, habeas corpus (inclusive of Amparo and Habeas Data)
and the adoption.
At the end, the conclusion that we derive from this special proceeding is
that there is a person who is dead. The principal fact that is sought to be
established in settlement of estates first is that a person is dead. We
cannot settle the estate of a person who is still alive. But because
settlement of estate usually carries with it the concept of probate of a will,
there is some complication because under the NCC, under substantive law,
a will can be submitted for probate during the lifetime of the testator. So, it
is not correct to assume, that when there is a petition for a probate of a will,
the testator is already dead.
Under substantive law, the testator himself, during his lifetime, can file a
petition in the RTC for the probate of the will. The complication arises
because when it is the testator who files a petition for the probate of his
own will during his lifetime, and that will is admitted to probate, it is allowed
by the RTC, that will be the end of the probate proceedings. There will be
no settlement of estates that will follow. That is the only fact that needs to
be established in a probate of a will while the testator is still alive. What he
seeks from the court is a mere declaration that the will has been executed
in accordance with the formalities of the NCC. When the will is admitted to
probate, where the petitioner is the testator himself, the admission to
probate will mark the end of the special proceedings. No settlement of
estate will follow.
Q: What is probate?
A: Probate is the act of proving before a competent court the due execution
of a will by a person possessed of testamentary capacity, as well as the
approval thereof by said court, (also known as Allowance of Will).
Q: Does the probate court look into the intrinsic validity of the will?
A:
GR: The jurisdiction of probate court is limited to the examination and
resolution of the extrinsic validity of a will.
Note: Principle does not apply where the meat of the controversy is not the
intrinsic validity of the will.
Even if the testator is not in fact dead, even if the problem is that the heirs,
legatees, devisees and creditors are not certain whether or not the testator
is dead, therefore, the court cannot simply issue an order declaring he is
dead. Under our present rules, if there are antecedent facts that are proven
by clear and convincing evidence, we can apply the presumption of death
under the NCC, then we can commence a special proceeding for the
settlement of his estate. If we go through the provisions of Rule 107 on
absentees, the first essential is that a person has left properties without
somebody in charge or without an administrator, and that his whereabouts
are unknown. And then, he has disappeared for at least 2 years. On the
second year of his absence, there could be a petition for the declaration of
his absence. In other words, being absent is a status under our procedural
laws.
So, there could be a petition for the settlement of estates of a person who
is certainly dead. The court will declare that this person is actually dead,
and this can be easily proven by submission of a certificate of death. But if
a certificate of death cannot be issued or the civil registrar is unwilling to
issue a certificate of death because there is no certainty of the persons
death, but the antecedent facts proven before the courts show that we can
now make a disputable presumption that the person is dead, the remedy is
to file a petition for the settlement of his estate.
Supposing there are certain facts which will lead to the conclusion
that this person is presumably dead. There are proceedings initiated
for the settlement of his estate. While the proceedings are going on,
or even after the closure of the settlement proceedings, the person
suddenly reappears. Will the settlement of his estate be negated?
Not so. He can recover what is left of his properties. Because in settlement
proceedings, we always involve the payment of his indebtedness to his
creditors. If the debts has already been paid, this person is not allowed to
file for the recovery of the money or other properties that may have been
delivered to the creditors or to the heirs of his estate.
But the procedure that is outlined in our Rules is about settlement of estate
of deceased persons. So that is the first particular fact that will be
established in settlement of estate of deceased persons. The court will
issue an order, let us say, in admitting the will to probate, the court will
make a finding that the testator is already dead. Then, there will also be a
finding as to the formal validity of the will.
With respect to the jurisdiction, the RoC is not expected to give us the
standard in determining the jurisdiction of courts in settlement proceedings.
The courts will rely on what BP 129 provides. In BP 129, there are 2 courts
which are given authority to take cognizance of estate proceedings, the
MTC and the RTC, depending upon the gross value of the estate, the same
amount used as a standard in ascertaining the jurisdiction of MTC or RTC
in money claims. But it is the gross value of the estate that will be the
principal factor. Unlike in action reinvindicatoria, the assessed value of the
property will be the standard that will be determining the jurisdiction of
court.
In special proceedings, one Rule that you should always bear in mind is
that when a court entertains a special proceeding, that court, RTC or MTC,
acts with a very limited jurisdiction. So, if the settlement is in the RTC,
although the RTC is characterized as a court of general jurisdiction under
BP 129, when an RTC tries a proceeding for settlement of the estate, the
RTC acts with a limited jurisdiction. The same is true with the rest of special
proceedings. When the RTC acts as a habeas corpus or amparo or habeas
data court, the RTC acts with a very limited jurisdiction. In other words,
what can be resolved by the RTC in these special proceedings will only be
the issue that is raised in the petition. It cannot be expanded. For instance,
when the RTC acts as a settlement court, and there is a dispute between a
stranger and the executor, concerning the ownership of a piece of land
which the executor claims to be owned by the estate of the deceased, and
which according to the stranger is owned by him, the settlement court has
no authority to rule on that issue. Title of this real property has to be
resolved in an independent proceeding, an ordinary action of accion
reinvindicatoria.
To illustrate why a habeas corpus, amparo or habeas data court has limited
jurisdiction, in a petition for habeas corpus, if the habeas corpus court
makes a finding that the petitioner has been unlawfully deprived of his
liberty by the respondent, the habeas corpus court cannot award damages
for unlawful deprivation of liberty. It is enough for the habeas corpus court
to say that there was unlawful deprivation of liberty. But the court cannot go
further by awarding damages in favor of the petitioner. That is always the
rule that we follow in special proceedings. Any court in a special proceeding
acts within a limited jurisdiction. The jurisdiction is limited to the issue that
should be resolved by the special proceeding involved.
It is not also correct to assume that when a person dies, his estate can be
settled only through this special proceeding of settlement of estate. It is
very clear from the Rules that if a person dies, the heirs can agree among
themselves to settle his estate without going to court through the scheme of
extra-judicial partition. They can agree to divide among themselves what
has been left by the decedent. They can do so voluntarily. But there are
certain essentials like there must be no will that has been left by the
decedent, that there are no creditors, and that all heirs are of age, or if
some are minors or incapacitated, they are properly represented properly
by a guardian.
If a person dies, he has left sizable properties, and the spouse and the
children are in good terms, there is no will, and there are no creditors, then
the surviving spouse and the children can simply execute what is called a
deed of extra-judicial partition. If there is one heir, then he will just institute
a document called an affidavit of self-adjudication. The deed of extra-
judicial partition or affidavit of self-adjudication will have to be registered
with the Office of the Registry of Property, especially when there are
properties involved, in order to enable the parties or the only heir to get a
title in their or his own name. By virtue of the presentation of the deed of
extra-judicial partition or affidavit of self-adjudication, if there are titled
properties that have been left, the title of the deceased will be cancelled,
and a new one will be issued in the name of his heirs or only case, as the
case may be.
The situation of the creditors, if there are any, entails a bigger problem,
because the RoD has the ministerial duty to accept a deed of extra-judicial
partition or affidavit of self-adjudication for registration. The RoD simply
cannot compel the parties to that deed of extra-judicial partition or affidavit
of self-adjudication to present proof that there are really no creditors of the
estate. The RoD will have to rely on the say so of the parties who have
signed the deed of extra-judicial partition or affidavit of self-adjudication.
And in that deed or affidavit, the parties are required to state that there is
no will, and that there are no debts. So if these parties are telling a lie, they
know that there are creditors but they state otherwise, then the creditors
will be at the losing end. They need protection for their claims.
What the law provides is that if the estate settled consists of both personal
and real properties, before the RoD will accept these documents for
registration, the interested parties must file a bond equivalent to the value
of the personal properties. Again, the parties can easily avoid this
requirement by simply stating in the deed that there are no personal
properties involved, so they need not pay the bond. If there are no personal
properties of the estate, then there is no requirement for the interested
parties to submit a bond to the RoD.
So if the estate consists purely of real titled properties, the RoD will admit
the documents for the registration, he will cancel the title of the decedent
and issue new ones in the name of the interested parties. But at the back of
the title of the new owners, there is annotated a lien, that the property is
subject to the claims of any creditors within a period of 2 years. The 2-year
period, according to jurisprudence, is really extended by another 2 years.
The SC ruled that if there is a title carrying this annotation, a person
interested in the property, like an heir who has been deprived of his share,
or even a creditor, can file an ordinary civil action for the annulment of the
writ of extra-judicial partition within 4 years from the discovery of fraud. So
that 2-year period, if we apply that decision of the court, will be extended to
another 4 years, and the 4-year period shall be counted from the discovery
of fraud. It is fraudulent for the heirs or interested parties to extra-judicially
partition the estate of a deceased person without including all the heirs. So
an heir so excluded can always contend that there was fraud in the
execution of that document, and he has a period of 4 year within which to
file an ordinary action for the setting aside or annulment of the deed of
extra-judicial partition.
Note: It is only a bar against the parties who had not taken part in the
extra-judicial proceedings, but not against third persons not parties thereto.
(Herrera, Remedial Law III-A, 39)
Note: While the Rules of Court provide that the decedent must not have left
any debts, it is sufficient if any debts he may have left have been paid at
the time the extra-judicial settlement is entered into (Guico v. Bautista, G.R.
No. L-14921, Dec. 31, 1960). It is a disputable presumption that the
decedent left no debts if no creditor files a petition for letters of
administration within two years after the death of the decedent.
Q: What is a bond?
A: It is the value of the personal property certified by the parties under oath
and conditioned upon payment of just claims under Section 4, Rule 74.
Note: Publication alone does not suffice to bind the excluded heirs to the
extra-judicial settlement unless he did not participate in the proceedings.
But if the parties cannot settle extrajudicially, then the only recourse will be
to go to court, so that the court will decide the manner by which the
properties of the estate should be divided among the heirs. In this situation,
the parties are not required file a case for settlement of the estate. There is
still another option given in these special civil actions. The special civil
action of Partition under Rule 69 is also available as a remedy in order to
divide the estate of the decedent.
The SC has repeatedly held that if there is a will, that will must be
submitted to the court for probate, so that it can be a source of a right given
to an heir, a devisee or legatee. Without an order from the court allowing or
admitting the will for probate, a person who benefited from the provisions of
that will cannot enforce his right. There must always be first an order
coming from the court admitting the will or allowing the probate of the will.
There should only be one settlement court. A court that takes cognizance of
settlement of the estate of a deceased person does so to the exclusion of
all other courts. There is a clear message that in settlement proceedings,
we should only have one settlement court.
The authority of a settlement court will extend to any part of the country
where the decedent left some properties. A settlement court in Manila will
have jurisdiction over properties left in Cebu or Mindanao. And it is very
simple for the court to acquire jurisdiction over these properties, because
when the court issues letter testamentary or letters of administration, the
administrator is required to submit an inventory of the estate of the
deceased. This inventory must be complete, an inventory of properties
possessed by the administrator or executor or the properties that have
come to the knowledge of the administrator, though not in his physical
possession. So the settlement courts authority will be throughout the
country insofar as the properties left behind by the decedent is concerned.
There is another term used in the Rule aside from letters testamentary or
administration, and it is called letters of administration with a will annexed.
You should also note that when a testator names the person as executor of
the estate, that is only a nomination. It is the court that will appoint him as
executor. The proof that he is now an executor is called letters
testamentary; the proof of the authority of an administrator is called letters
of administration.
FINAL ORDERS
If you go through the provisions of Rule 109, Appeals in Special
Proceedings, right away you will notice that if special proceedings were
governed by the rules of ordinary civil actions, some of the final orders in
special proceedings may be interlocutory in ordinary civil actions. For
instance, appointing an administrator or executor, if we use the rules in
ordinary civil actions, this appointment will be interlocutory, because it does
not put an end to the case, unlike final order in ordinary civil actions which
put an end to the case. But in settlement proceedings, what was
interlocutory under ordinary civil proceedings will be a final order in special
proceedings, of which the appointment of an administrator/executor is a
good example. The appointment of an administrator/executor will not put an
end to the proceedings. In fact, an appointment of an
administrator/executor will mark other proceedings to be taken by the court
in settling the estate. But since special proceedings are governed by their
own rules, and it says that the appointment of an administrator/executor or
admitting of a will to probate are all final orders and hence appealable. In
fact if we go through the whole process of settlement proceeding, although
it is the policy of the RoC to terminate proceedings speedily, with as much
as practicable a period of 2 years from institution of the settlement
proceedings, Rule 109 negates this state policy because of the Rule in 109
that all final orders are appealable. In the course of reading special
proceedings, there are several final orders that can be issued by the
settlement court, and all these final orders can be appealable. The
settlement proceedings will not be terminated until all these issues brought
on appeal had been resolved by the appellate court and the records
returned to the settlement court.
Will it cause any prejudice to the heirs or creditors if Juan dela Cruz is
appointed as special administrator?
There will be no prejudice to anybody. This is because as special
administrator, Juan dela Cruz is not given all the powers of a regular
administrator. All that he can do is to manage the properties of the estate,
to preserve the estate. He will not be able to entertain claims of creditors.
That is the sole prerogative of a regular administrator/executor of an estate.
Can an oppositor also appeal from the order of the court appointing
Juan dela Cruz as special administrator?
We cannot. Under Rule 109, the appointment of a special administrator is
interlocutory, it is not appealable. The remedy will be Rule 65, to challenge
the appointment as special administrator. But it will not give the oppositors
any undue advantage, since we have learned under Rule 65, the
assumption of Juan dela Cruz as special administrator will not be
prevented, unless the higher court issues a writ of preliminary injunction or
TRO. Without these injunctive writs, Juan dela Cruz can start with the
performance of the office of a special administrator.
The great difference between a special administrator and a regular
administrator of an estate is that a regular administrator is empowered to
entertain claims of creditors to be filed against the estate, while a special
administrator cannot. In fact, the statute of non-claims given in Rule 86 will
only come to life after the appointment of a regular administrator/executor.
We cannot talk about statute of non-claims if the court has only appointed a
special administrator.
STATUTE OF NON-CLAIMS
Rule 86 SEC. 5. Claims which must be filed under the
notice. If not filed, barred; exceptions.All claims for money
against the decedent, arising from contract, express or implied,
whether the same be due, not due, or contingent, all claims for
funeral expenses and expenses for the last sickness of the
decedent, and judgment for money against the decedent, must
be filed within the time limited in the notice; otherwise they
are barred forever, except that they may be set forth as
counterclaims in any action that the executor or
administrator may bring against the claimants. Where an
executor or administrator commences an action, or prosecutes
an action already commenced by the deceased in his lifetime,
the debtor may set forth by answer the claims he has against
the decedent, instead of presenting them independently to the
court as herein provided, and mutual claims may be set off
against each other in such action; and if final judgment is
rendered in favor of the defendant, the amount so determined
shall be considered the true balance against the estate, as
though the claim had been presented directly before the court
in the administration proceedings. Claims not yet due, or
contingent, may be approved at their present value.
Once the administrator/executor has assumed office, the first thing that he
should do under Rule 86 is to ask the court to issue a Notice to Creditors.
This will be published. This is a notice to all the creditors of an estate to
submit their claims within a period of not less than 6 months nor more than
12 months from the first publication of the Notice to Creditors. This period
of not less than 6 months nor more than 12 months within which creditors
should file their claims is called the Statute of Non-Claims. Rule 86 spells
out the concept and the consequences of the Statute of Non-Claims. It is a
very short prescriptive period.
So you will not find any ordinary civil action commenced by a creditor
against the estate of a deceased creditor. That simply is not allowed by the
Rules. But you can find a complaint, ordinary civil action, where the action
is Creditor vs. Estate of Deceased Debtor, but the circumstances are
different from one another. When you meet a case captioned thusly, the
debtor must have died after the institution of that action. If the debtor is
already dead, the creditor will not be allowed an ordinary civil action for the
recovery of the indebtedness. The only recourse of the creditor after the
death of the debtor is to file a claim in the settlement court within the period
so provided by law.
In Rule 3, Section 20, if the debtor in a claim for money dies during the
pendency of the case, RoC provides that the case will be prosecuted until
final judgment. But what Rule 3 requires is that there will be substitution of
parties, and if there are no heirs willing to act as the defendant, it is
ultimately the administrator/executor who will be named as the substitute
defendant. This is the only instance where we can have an ordinary civil
action for the recovery of money where the defendant is the estate of the
deceased debtor represented by the administrator/executor.
Remember the antecedent facts: The debtor died during the pendency of
the case. At the time the action was commenced, the debtor was still alive.
If the debtor is already dead, a creditor cannot file an ordinary civil action
for the recovery of the indebtedness. The creditor must file a claim in the
settlement court within the Statute of Non-claims.
In the same facts of the problem involving PNB with an unsecured 2M loan,
we assume that PNB made a promissory note, which was signed by the
now deceased debtor. So, the unsecured loan of 2M was put into writing.
The obligation is now reduced into writing. Under the NCC, if there is a
money claim supported by a written document, prescription period is 10
years. The creditor can enforce his claim within 10 years. But suddenly,
here is Rule 86 giving PNB a very short period for which to enforce the
claim.
Will it not defeat substantive law? Are we not reducing the
prescriptive period enjoyed by PNB from 10 years to 12 months? Can
RoC defeat substantive law?
There is really a conflict in the RoC and NCC in this instance. What the SC
said is that the provisions of Rule 86 will prevail over the NCC. We reduce
the prescriptive period contained in the NCC which is 4 years, 6 years or 10
years are shortened to 6 months to 12 months from first printing of the
Notice to Creditors. The justification given by the SC is that the statute of
non-claims as contained in the Rule 86 is not a product of the SC. It is just
a copy of the old civil procedure. At that time, the old code of civil
procedure was also a substantive law insofar as prescription was
concerned. SC went further by saying, even under the NCC on the chapter
of prescription, it is provided that the NCC provisions will be without
prejudice to periods of prescription that are found in special or other laws.
In other words, the period of prescription given in the NCC is the general
law on prescription. If there are other laws on prescription which
contravene the NCC, then the NCC will have to give way over the
provisions of the other laws. Rule 86 is just an exact copy of the period of
prescription that was contained in the old code of civil procedure, which has
not been repealed by the provisions of the NCC. We still maintain this
statute of non-claims as a prescriptive period, not less than six months nor
more than 12 months from the date of first publication of the Notice to
Creditors.
But the RoC do not require all creditors to submit their claims within this
statute of non-claims. You have also to take into account the provisions of
Rule 87. If there are creditors but their claims are not for money, and
instead involve recovery of real or personal property, they are not covered
by the statute of non-claims. Or if these creditors claim, although for
money, stem out of a tort committed by decedent during this lifetime, they
are not governed by the statute of non-claims.
In our example, where the debtor dies during the pendency of an action for
the recovery of the loan, the administrator/executor has taken his place as
a substitute defendant. If the administrator/executor subsequently loses the
case, the creditor will have an award in his favor for payment of 2M. Even if
that award is supported by a final and executory judgment, the creditor
should still file a claim against the estate within 6 months and 12 months, in
the period for statute of non-claims. Otherwise, the claim will be barred.
The second option relies on the collateral. Foreclose the mortgage. And if
there is any deficiency, with respect to the deficiency, submit a contingent
claim within the statute of non-claims. So in this second option, the
mortgage is not abandoned, but foreclosed instead, and the creditor is
required to file a contingent claim for any deficiency.
In the third option, the secured creditor will rely entirely on his security. He
can foreclose the mortgage. But if there is a deficiency, he can no longer
recover the deficiency against the estate. He will have to be satisfied with
what he received in the foreclosure of the mortgaged property.
We said that a court will not accept even for filing an ordinary complaint for
the recovery of money arising from a contract if the defendant was already
dead, even if we implead as defendant the estate of the deceased
defendant. Even if the court accepts it for filing, it will be subsequently
dismissed because the filing is not the proper filing for the commencement
of a complaint. How do we expect creditors to file a claim? In our example,
do we expect PNB to file an action against the administrator/executor for
the recovery of the loan? So, in filing a claim for money, what do we expect
the creditors to submit if they are not expected to file an ordinary claim in
court?
In Rule 109, the order for each and every claim is considered as a final
order. So if the court eventually denies all the 10 claims, and the creditors
feel aggrieved, expect the creditors to appeal to the CA or SC as the case
may be. There will be 10 appeals emanating from the same proceedings.
While these appeals are going on, the settlement court will have to wait
until they are finally adjudicated. So that is why although the policy of the
state is to speedily dispose of settlement proceedings, by providing in the
Rules a clear period within which a settlement proceedings should be
terminated and closed, it is Rule 109 that will necessarily cause a delay in
the closure of settlement proceedings, because of the number of appeals
that can be taken in each and every final order that can be granted by the
settlement court. Under the Rules, the resolution of each money claim is a
final order.
Let us assume that all claims had been resolved and granted by the
court, and the administrator/executor does not appeal. The final order
became final and executory, it will now be entered. Can the creditors,
whose claims have been approved, file in the settlement court a
motion for execution under Rule 39?
No. The settlement court is not bound to issue or to order an execution of
its own final order, even if the final order is favorable to a creditor with a
claim for money.
Does the judgment creditor have any other recourse?
None. He cannot make use of Rule 39.
A creditor cannot tell himself that since his claims had been approved by
the court, all that he needs to do is to wait for the full payment. There is no
assurance that a creditor in a settlement proceeding could even be paid. If
he is going to be paid, there is no assurance that he will get the full amount
of his claim, it could only be a part. This is when the court will start to use
the NCC provisions on preference and concurrence of credits.
In preference and concurrence of credits, there are credits that are more
preferred than other credits. There is need to pay these preferred creditors
before the rest of the creditors can be paid. And the Rules are very clear in
saying that when there are more assets that liabilities in the estate, the
estate being insolvent, the settlement court is duty-bound to observe the
preference and concurrence of credits.
How about the heirs? Can these heirs enter into possession of some
of the properties under liquidation?
They may not. The purpose of a settlement proceeding is primarily to
protect the state and most of the creditors of the deceased. Until the
creditors of the decedent are fully satisfied, the heirs cannot take over
possession and control any of any properties of the estate. The entity that
has full control of the estate of a deceased person is the settlement court,
probate court or intestate court as the case may be.
What the settlement court is prohibited from doing is to allow the surviving
spouse and the heirs to take over possession and control over properties of
the estate before the creditors are fully paid or the estate has been
exhausted for the payment of these creditors.
Supposing that the statute of non-claims has already expired, and the
court has already resolved the validity of these claims, but the
administrator/executor reports to the court that there are not much
liquid assets of the estate. Can the court authorize the
administrator/executor to pay creditors whose claims had been
approved through the mechanism known as accion en pago (pay
using properties belonging to the estate)?
Generally, dacion en pago is not allowed in settlement cases. A court will
not allow or authorize an administrator/executor to settle a monetary
obligation with properties of the estate. The procedure outlined in the Rules
where assets are enough to pay, but the assets are not in cash is for the
administrator/executor to ask the convert for authority to convert the hard
assets (properties) into liquid assets (cash) by selling the properties of the
estate.
If the administrator is directed to pay off already his creditors because there
are already enough funds, and the creditor neglects to pay the creditors,
can the creditors this time make use of Rule 39, to file a motion for
execution?
They still cannot. We do not use Rule 39 in settlement proceedings. If the
administrator/executor disregards the order of the court directing him to pay
his creditors, the creditors can move to cite him in contempt of court, or the
court can even remove him as an administrator/executor and appoint
another.
If all the creditors have been paid, and there are enough assets left for
distribution to the surviving heirs, legatees or devisees, if there is a
will, the next problem to be resolved by the court is determining who
the heirs are. We have learned that a settlement court is a court of
very limited jurisdiction. Does it possess authority to determine who
the heirs are?
Yes, that is part of the limited jurisdiction of a settlement court.
So if the settlement court can determine who the heirs are, the court is
likewise authorized to determine the distributive share of each of these
heirs.
The declaration by the settlement court as to who the hers are is another
final order that can be appealed to a higher court. It is not an interlocutory
order.
Even if the heirs have already been determined by the court, the other
problem now is how to divide the estate and distribute the estate
among the heirs. If they cannot agree on the manner of division, can
they file a special civil action for partition?
They cannot if there is a pending settlement proceeding in court. The
partition of the estate, how they will divide the property, is within the
authority of the settlement court to determine. So if they want the
settlement court to have the ultimate responsibility to divide the property,
they can submit that issue to the settlement court.
If they do not want the settlement court to settle that issue, the compulsory
heirs, the devisees and legatees can agree on what is usually called in
settlement proceedings as a project of partition. A project of partition is
usually agreed upon voluntarily among the heirs. They sign it and then
submit it to the court for approval. Once approved by the court, the court
will issue another order directed to the administrator called an order of
distribution.
If the administrator/executor neglects to distribute, again the remedy is not
Rule 39, it is simply to cite the administrator/executor in contempt or the
court will ask him to resign or be removed by the court from that office.
If all the creditors had been paid, and the heirs have received their
distributive shares according to the project of partition, will the
proceedings now be terminated?
Before termination, there is a final stage before the court will issue an order
of closure, the order which will terminate the proceeding. It is essential that
the court should conduct a hearing and approve the final accounting of the
administrator/executor. Under the Rules, an administrator/executor is
required to submit an accounting once a year. If all these submissions have
been approved in the past, then there is no more need to repeat them
during final accounting. If you also again read Rule 109, each and every
approval by the settlement court of an accounting is a final order. If there is
a final accounting submitted and that is approved by the court, it is a final
order. If that is appealed, the settlement court in the meantime will not issue
an order of closure. When there is already an order of closure, the period to
appeal therefrom has expired, then the order of closure will be entered.
That will mark the end of the proceedings.
Supposing that after the order of closure has been entered and the
proceedings have been terminated, here comes an heir who claims that he
has been deprived of his distributive share in the estate, and here comes a
creditor who claims he is a creditor for money but he was unaware that
there was a settlement proceeding.
Can the heir file his own petition for the settlement of estate for the
same decedent? Can the creditor also commence his own petition for
the settlement of the estate?
No to both remedies. There should be only one settlement court allowed,
and it has already terminated the proceedings.
But insofar as the creditor for money is concerned, he does not have this
privileged for asking for reopening, because his claim for money must have
been filed during the running of the statute of claims. If he has failed to do
so, following the provisions of Rule 86, the creditors claim shall be barred
forever.
So, the person who can ask for reopening will be an heir, not a creditor of
the estate.
The notice, which is also jurisdictional together with the publication, refers
to a notice by registered mail that must be strictly adhered to by the
settlement court. Otherwise, if not strictly adhered to insofar as the heir is
concerned, he can always contend that the court has not acquired
jurisdiction over his person. That could be used by this heir deprived of his
share in order to challenge the nature of the order of closure as a judgment
in rem.
The SC has not fixed any period at all within which a motion or petition for
the reopening should be filed. It seems that it is not possible to fix a period
within which a period for reopening could be filed, because if we place a
period of prescription, the only remedy that will be left to the heir will be to
file his own petition for the settlement of the estate, which is not allowed
under these Rules. So, as of now, there is really no fixed period within
which a petition for the reopening of the settlement proceedings could be
filed.
ACTION FOR It must be availed of within 5 years from the time the
RESCISSION right of action accrues. (Art. 1149, NCC)
Also applicable in judicial proceedings
ACTION FOR GR: It is based on an implied or constructive trust
RECONVEYANC which prescribes in 10 years from the date of
E OF REAL registration or date of issuance of certificate of title or
PROPERTY from actual discovery of fraud if the registration was
made in bad faith.
XPN: If the plaintiff is in possession of the property
and did not pass to innocent purchaser for value and
good faith, action is imprescriptible. (Marquez v.
CA, G.R. No. 125715, Dec. 29, 1998) Also applicable
in judicial proceedings.
REOPENING BY Upon motion of a person who either:
INTERVENTION a. Has a legal interest in the matter in litigation;
IN SUMMARY b. Has such legal interest in the success of either of
SETTLEMENT the parties, or an interest against both; or
c. Is so situated as to be adversely affected by the
distribution of property in the custody of the court or
of an officer.
Rule 91 ESCHEAT
The special proceeding after settlement is escheat. Although escheat
comes right after settlement, it does not mean to say that escheat is an
integral part of an estate settlement proceeding. Escheat proceedings are
independent of settlement proceedings, although the nature of escheat
proceedings contemplated in the Rules is also one where a person has
died and there is no will, and then there are no persons who claim to be
entitled to the estate. But if you read the last section of escheat, there is
another proceeding contemplated which could be different from escheat.
We call it a reversion proceeding.
The escheat contemplated in the Rules is one where a person has died, left
no will and there are no person who claim to be entitled to the estate as
heirs or any other capacity whatsoever.
Can the settlement court convert itself into an escheat court if in the
settlement proceedings, there are no claimants to the estate under
settlement there being only creditors, but no heirs, devisees or
legatees?
No. It cannot convert itself into an escheat court. In an escheat proceeding
where decedent had left no will, nor are there any heirs or creditors, the
proceeding should be commenced by the solicitor-general via an
independent petition for escheat.
REVERSION
With respect to the reversion, it is also a proceeding in rem according to the
SC. Although, there is a particular individual who is impleaded for the
recovery of properties that are ill-gotten. The SC said these are also
proceedings in rem. And with respect to a reversion filed by the Sol-Gen
involving real properties, the SC recently ruled on the issue as to whether
proceeding for the recovery of a real property is cognizable by an MTC or
RTC, depending upon the assessed value of the property based on the
standards under BP 129, the SC said that it is possible that a reversion
proceeding involving titled property will be cognizable by an MTC if the
assessed value of the property is within the jurisdiction of the MTC as
embodied in BP 129. But even if the assessed value of that property is
within the jurisdictional amount assigned to the MTC, the MTC will have no
jurisdiction if it will involve the setting aside of a judgment or annulment of a
judgment that has already been rendered in the past by the court, more
particularly if that judgment has been a duly entered judgment. SC said
MTC will have no authority over that reversion proceeding because the
reversion will include another aspect, that is annulment of judgment, over
which an MTC does not have any jurisdiction under BP 129.
It is the order of discharge or release that will be issued by the court after
conducting a hearing, which could be a summary hearing, after a return
was submitted by the respondent to the court. So that is a complementary
order issued by the habeas corpus court that will now authorize the
detainer to release the detainee.
With respect to jurisdiction, the provisions of the law creating the Family
Court, the Constitution as well as BP 129 have long been the subject of
discussions, because under the law creating a Family Court, the court has
exclusive original jurisdiction over petitions for custody of children and
habeas corpus in relation to custody of children. The intention of the law is
quite clear by merely reading the substantive law creating the Family Court.
The family court has exclusive original jurisdiction over petitions for habeas
corpus in relation to custody of a minor. And of course, in the Constitution,
the SC has also original jurisdiction over petitions for habeas corpus,
together with certiorari, prohibition, mandamus, etc. And then, under BP
129, the CA is likewise vested with original jurisdiction over the same
petitions. That includes habeas corpus. The RTC likewise has original
jurisdiction over petitions for habeas corpus.
So, there seems to be an inconsistency or conflict between the
Constitution, BP 129 and the law creating a Family Court which assigned to
a family court exclusive original jurisdiction over petitions for habeas corpus
in relation to custody of a minor.
The SC has already settled this issue. The SC has already ruled that
notwithstanding the provisions of the Family Court Law assigning exclusive
original jurisdiction to a family court over petitions for habeas corpus in
relation to custody of a minor, the SC, CA and the RTC still exercise
jurisdiction over petitions for habeas corpus.
If the petition is sufficient in form and in substance, the habeas corpus court
can right away issue the writ of habeas corpus. There is no need for the
court to hear the side of the respondent. So if we stop at these principles of
habeas corpus, it would seem that habeas corpus is a prerogative writ of
liberty, it is designed to favor of a detainee who claims that he is being
deprived of his liberty by means of an unlawful detention.
Note: Issuance of a writ of habeas corpus may not lie in order to revive a
settled issue of the validity of the writ of preliminary injunction issued in an
agrarian case allegedly on the ground of the existence of a tenancy
relationship between the parties arising from their arrest for having
assaulted persons in authority. (Bernarte v. CA, G.R. No. 107741, Oct. 18,
1996).
Loss of the records of the case after petitioner, by his own admission, was
already convicted by the trial court of the offense charged will bar the
issuance of a writ of habeas corpus. The loss must have occurred prior to
the filing of the information against him. (Feria v. CA, G.R. No. 122954,
Feb. 15, 2000).
It has been noted that the ORDER contains a provision enjoining the
prosecution of the Accused in the Criminal Case. That is error. If the
Accused was illegally detained because he was arrested without a
preliminary examination, what should have been done was to set aside the
warrant of arrest and order the discharge of the Accused, but without
enjoining the Municipal Judge from conducting a preliminary examination
and afterwards properly issuing a warrant of arrest. Habeas Corpus
proceedings are not meant to determine criminal responsibility. (Alimpoos
v. CA, G.R. No. L-27331, July 30, 1981).
In case of an illegal arrest, the petition for a writ of habeas corpus will still
not prosper if the detention has become legal by virtue of the filing before
the trial court of the complaint against him and by the issuance of an order
denying bail. (Velasco v. CA, G.R. No. 118644, July 7, 1995).
The writ of habeas corpus cannot be issued in cases in which the Bureau
of Immigration has duly ordered the deportation of undocumented aliens,
specifically those found guilty of illegally entering the Philippines with the
use of tampered and previously cancelled passports. (Tung Chin Hui v.
Rodriguez, G.R. No. 141938, April 2, 2001).
Rule 102 SEC. 13. When the return evidence, and when
only a plea. If it appears that the prisoner is in custody
under a warrant of commitment in pursuance of law, the
return shall be considered prima facie evidence of the
cause of restraint; but if he is restrained of his liberty by any
alleged private authority, the return shall be considered
only as a plea of the facts therein set forth, and the party
claiming the custody must prove such facts.
You will notice that in Rule 102 although the court can issue the writ can be
issued without hearing the other side as long as the petition is sufficient in
form and substance, there is nothing in Rule 102 which fixes a date when a
return should be filed in the habeas corpus. So, we rely on the discretion of
the court as to when a return should be filed by the respondent. So the
court can require the respondent to file the return after 15 days, 20 days or
30 days as the case may be.
Why is this Rule very prejudicial to the detainee? Let us say the respondent
is the chief of the PNP, he is required to file a return. He submits a verified
return saying that they are detaining petitioner based on court processes
authorizing detention by the PNP. Insofar as the habeas corpus court is
concerned, the detention is presumably lawful. So it is up to the petitioner
to contravene this disputable presumption of regularity in the performance
of service by the PNP. From a purely evidentiary angle, that will make it
hard for the petitioner to disprove the disputable presumption created in
Section 13, that the detention is prima facie presumed to be an orderly and
lawful detention.
Why do we say this? Because if the respondent has in his favor that the
detention is prima facie proper, then, he does not have to present any
evidence at all about the lawfulness of the detention. He enjoys a
presumption created by law. It is the burden of the petitioner to disprove
that presumption, to present the quantum of evidence necessary to dispute
the presumption of regularity given in the Rules and by substantive law.
But if the one detaining is not a public officer, a private individual, then we
dont apply this disputable presumption of regularity. For instance, if a
woman gives birth to an infant in a clinic, and when she wants to leave the
clinic, the clinic tells the woman that she is allowed to leave, but the infant
must be left behind and will stay there until the woman has fully paid the
medical bills. That could be the subject of habeas corpus, because the
lawful custody of the mother is being unlawfully withheld from her, as
means of leverage against the woman to enforce payment of hospital bills.
And if there is a return submitted by the owner of the clinic, it is up to him to
prove that the detention is lawful. The quantum will only be preponderant
evidence, which is the same quantum the petitioner will also be required to
submit to court.
In other words, when it comes to habeas corpus, if you look at it solely from
a procedural point of view, the aces are in the hand of the respondent
public officer. He can file a very simple return that is effectively a general
denial, if we are going to apply the rules for ordinary civil actions. The
statement of denial of custody is a general denial as it does not give the
circumstances upon which he relies upon to support that denial. That is
allowed in habeas corpus. This because, habeas corpus is not a civil
action, and therefore, the rules of ordinary civil procedure cannot be
applied to a petition for habeas corpus.
There are several procedural defects that a petition of habeas corpus will
have to waive if we rely solely on Rule 102. These defects were pointed out
a while ago. A general denial is allowed. We cannot compel a respondent
to give particulars in support of that denial.
When the habeas corpus court releases a person on a finding that his
confinement or detention is unlawful. But in declaring that his confinement
is unlawful, the court will effectively say that there really is something wrong
with the judgment that has been rendered by the court. But the habeas
corpus court does not say that the court did not have jurisdiction over the
subject matter or the person, or that there was fraud committed during the
pendency of the case.
You will also notice the improvements in the circulars on amparo and
habeas data practically rectifies the stringent rules that we have always
applied to habeas corpus. For instance, compared to habeas corpus, in a
petition for amparo, there an express acknowledgement in the circular that
anybody can file a petition for a writ of amparo. An NGO or any stranger
can file a petition for a writ of amparo; unlike in habeas corpus where
although the Rules say that the detainee or any person on this behalf can
file, we do not have that restrictive interpretation that the SC has made in
habeas corpus cases. So, a stranger can file a petition for a writ of amparo,
and he does not have the burden to show why a writ of amparo should be
issued, although the victim is not at all related to him, he will have the
proper standing in court insofar as the filing of amparo is concerned.
NOTE: The filing of a petition by the aggrieved party suspends the right of
all other authorized parties to file similar petitions. Likewise, the filing of the
petition by an authorized party on behalf of the aggrieved party suspends
the right of all others, observing the order established herein. (Sec. 2).
Last year, the court decided the case entitled Bambico vs. Nieva (June
2012). The SC clearly spelled out the principle that in a petition for amparo,
there should be an allegation essential to the succession for the
prosecution of the petition that the respondents or the defendants are
agents of the state; or even if the respondents are only private citizens,
there should be an allegation that these respondents have been instructed
or they have been used by government agents in causing the enforced
disappearance or violation of the constitutional right of the petitioner. SC
said if there is no such allegation as to the participation of government
agents, the petition for amparo will fail. It will simply be a criminal act that
has been committed by private individuals. That is not a part of the circular,
that when the SC was given a chance to explain the concept of amparo in
relation to conventions entered into among several states of which the
Philippines is a member, the SC emphasized this essential allegation: that
there should be a participation by the state or by agents of the state in
causing the enforced disappearance of the petitioner.
Also from another procedural angle, in habeas corpus, a habeas corpus
court has the final say in fixing the submission of a return. In amparo, there
is a 72 hour period fixed in the circular. And then, if you will notice in the
circular on amparo, there is a long deliberation of prohibited pleadings and
motions, similar to that in summary procedure, small claims procedure, and
even in habeas date. Whereas there are no prohibited pleadings and
motions in Rule 102 with respect to a petition for habeas corpus.
You will also notice a big difference in amparo and habeas corpus. The
appeal in amparo cases is always to the SC under Rule 45. And the issues
that could be raised, even if it is the SC that will be hearing it, could be both
issues of fact and issues of law, although the mode of appeal is under Rule
45. This is a departure from the usual principle that we apply when we
appeal under Rule 45. The general rule that we apply in an appeal under
Rule 45 to the SC is that we can only raise questions of law. But when it
comes to amparo cases that are appealed to the SC under Rule 45, the
appellant can raise both questions of fact and questions of law.
You will also notice that in the circular on amparo, there is a provision which
says it can co-exist with other criminal, civil or administrative proceedings
that are filed with the competent court or body. So there is nothing wrong if
a petition for a writ of amparo involving enforced disappearance or
extralegal killing filed in an amparo court, and there is a criminal case is
filed before an RTC concerning the enforced disappearance. The two can
stand together, but with several qualifications.
If the criminal case is filed ahead of a petition for amparo, we can no longer
file a petition for writ of amparo as a special proceeding, but we can ask for
the issuance of a writ of amparo through a motion in that pending case. So
in that sense, amparo now becomes a provisional remedy in that case filed
ahead of a petition for amparo.
But if the criminal case is filed later than the petition for a writ of amparo,
there will only be a consolidation of cases. The petition for the writ of
amparo will retain its existence as a special proceeding but it will only be
consolidated with the criminal case.
A petition for adoption could carry with it 2 other special proceedings for
change of name and correction of entries in the records of the local civil
registrar, or it can stand by itself without the others. In one petition, we may
have 3 special proceedings. And these 3 special proceedings are
governed by different Rules.
Is this not a violation of the RoC? Does not civil procedure prohibit joinder
of causes of action when these causes of action are governed by different
Rules? Well, it does, that is true. In Rule 2, that is one of the limitations to
joinder of causes of actions. A party may join as many causes of action he
may have, but he should see to it that these causes joined are not
governed by different procedures. If so, there will be misjoinder of causes
of action. The issues misjoined will be dropped, and the party will be forced
to file a separate ordinary civil action.
Why then does the circular on adoption allow a petition for adoption
change of name and correction of entries when they are governed by
different procedures?
If you read the Domestic Adoption Act, Rule 103 on Change of Name and
Rule 108 on Cancellation Or Correction Of Entries In The Civil Registry,
you will immediately realize that the procedures to be followed are really
different from one another. Their essentials are different, jurisdictional
requirements are different, but we allow joinder because these are special
proceedings, they are not ordinary civil actions, and therefore, they cannot
be governed by Rule 2 on the prohibition concerning misjoinder of action.
In special proceedings, we do not apply generally the rules for ordinary civil
actions. They are governed by their own set of rules. That is why we allow
joinder of several special proceedings, although they are governed by
different rules.
But if we look only adoption as a special proceeding, then there are 2 laws
governing adoption in the country. The first is Inter-Country Adoption Law,
and the Domestic Adoption Act. The Domestic Adoption Act contains its
own rules under this law, and we do not necessarily follow anymore follow
the rules of adoption in the RoC. We should rely solely on what the
Domestic Adoption Act provides, although in most instances, the provisions
of the RoC would still be applicable because the provisions of the Domestic
Adoption Act are reiterations of the procedures given in the RoC.
So who will eventually issue the decree of adoption under the ICAB?
It is a foreign court. It is the court of the country where the adopter resides.
The adopter will come to the Philippines only when he is going to fetch the
adoptee. So throughout the life of this administrative proceeding, it is likely
the adopter has not gone to the Philippines at all. He is an alien residing
abroad. He manifests his intent to adopt a legally free Filipino minor. And
there is an agency that will get in touch with another agency stationed in
the Philippines, and these two agencies will be getting in touch with one
another as to the requirements and as to the possibility of the adopter
adopting the proposed adoptee. So when the ICAB is finally convinced that
the adoption is for the benefit of the adoptee, the ICAB will require the
adopter to come to the Philippines to fetch the adoptee. That is the only
time when we require the adopter to come to the Philippines, only for the
purpose of fetching the adoptee. So that after the two had left for abroad,
the adoptee will necessarily will be at the mercy of the adopter. No one will
be able to protect the adoptee once he is allowed to leave the country.
There are remedies concerning repatriation if the relationship turns out to
be sour, but that will always be to the prejudice of the adoptee.
It is the foreign court where the adopter resides that will issue the decree of
adoption, because it is with that foreign court where the formal petition for
adoption was filed, not in our family courts nor the ICAB.
The venue is where the adoptee resides. But when it comes to adoption,
the venue is the place of residence of the adopter. It is only the adoptee
who can avail of the special proceeding for the revocation or rescission of
the adoption. The adopter cannot avail of this remedy. So if it is the adopter
who is the victim of abusive conduct by the adoptee, the adopter cannot go
to court for the rescission or revocation of the decree of adoption. But if it is
the adoptee who is the victim of abusive conduct by the adopter, he can
avail of this remedy.
Note: Rule 108, when all the procedural requirements thereunder are
followed, is the appropriate adversary proceeding to effect substantial
correction and changes in the entries of civil register (Lee v. CA, G.R. No.
L-118387, Oct. 11, 2001).
Q: What are the requisites of adversarial proceedings?
A:
1. Proper petition is filed where the Civil Registrar and all parties interested
are impleaded;
2. The order of hearing must be published once a week for three
consecutive weeks;
3. Notice must be given to the Civil Registrar and all parties affected
thereby;
4. The civil registrar and any person interested, may within 15 days from
notice or from the last date of publication, files his opposition thereto; and
5. Full blown trial. (Republic v. Valencia, supra.)
The last special proceeding which can be attached to a petition for adoption
is that in Rule 108, correction of entries in the records of the local civil
registrar. For purposes of the Bar, we should be concerned principally with
what entries in the records of the local civil registrar could be changed
administratively or under Rule 108.
In the case of citizenship in the records in the local civil registry, as entered
in the birth certificate of a person, do not forget the case of Republic vs.
Valencia. That is the leading case where the SC said that the entry in the
citizenship from Chinese to Filipino can be allowed. Although, it is
substantial, that is not a mere clerical error. It is not simply innocuous, we
are changing the citizenship from Chinese to a Filipino. SC said that it can
be done under Rule 108 as long as the court will conduct a full-blown
hearing, different than the hearing contemplated in Rule 108, which is a
summary hearing.
It gives to the local civil registrar the authority to change the gender of a
person. But, the limitation in that law authorizing the local civil registrar the
authority to change the gender of a person is by reason only of a clerical
error or innocuous error.
Before this new law was enacted last year, the SC had already established
certain rules concerning sex change. The general rule, according to SC is
that we do not allow under Rule 108 a change of sex if the sex change by
reason of human intervention. For instance, if a man decides to become a
female via a medical procedure, and after such operation, he applies for
change of entry of gender from male to female (Republic vs. Silverio). SC
held that is not allowed. If there is human intervention, that will not be
allowed under Rule 108.
That was the general rule until the SC was confronted by the case of
Cagandahan (a hermaphrodite). In the case of Cagandahan, the SC
allowed the change from male to female because the SC cannot do
anything about the problem really. Even the doctor of the infant could not
determine the gender of the infant. SC called it intersexuality. If the person
is intersexual, and on the birth certificate the infant is made to appear as
female, but as years go by, upon reaching the teenage years, the features
suddenly changes from female to male, there could be sex change, SC
said, because of the reason of absence of human intervention, by reason of
the constitution form birth of the child. So, we have no sex change under
Rule 108 based on the requirements given by the SC in the Cagandahan
case.
Now, here comes a new law, which authorizes a local civil registrar, to allow
administratively a correction of entry from male to female, if the entry is
proven really to be clerical or innocuous as the case may be. Under that
law, the local civil registrar or the consul to a foreign country could also use
this prerogative, provided that they are presented with records from the
birth of this individual, which will convince him that the entry made in the
certificate of birth is wrong. In other words, if the school records or
baptismal records of the child invariably indicates that the child is really a
female, but then the record shows that he is male, and then there is the
certification by a government doctor that there was no human intervention
that was made. According to this new law, the local civil registrar has the
authority to administratively change the entry concerning the gender of a
person.
This new law also enlarges the authority of a local civil registrar to change
entries. Under the old law, the local civil registrar was authorized to only
change administratively the first name and the nickname. Now it includes
therein the gender, if it is purely clerical or innocuous error, date of birth,
month of birth, but not the year of birth.
So, from the local civil registrar, we can go up to the Civil Registrar
General, then appeal to the Office of the President following the political
law principle of exhaustion of administrative remedies. So form the Office of
the President, we have nowhere else to go, so the only recourse now is to
make use of Rule 43, file a petition for review in the CA.
Q: May the trial court issued an order declaring the nullity of marriage
under Rule 108 and change the status from married to single?
A: No, it is proper only in ordinary adversarial proceedings. (Lim v.
Republic, G.R. No. 8932, May 31, 1957)
Alternative Answer:
It should not be granted. The publication of an order of hearing under
Section 4 of Rule 108 cured the failure to implead an indispensable party. A
petition for correction is an action in rem, an action against a thing and not
against a person. The decision on the petition binds not only the parties
thereto but the whole world. An in rem proceeding is validated essentially
through publication. Publication is notice to the whole world that the
proceeding has for its object to bar indefinitely all who might be minded to
make an objection of any sort against the right sought to be established. It
is the publication of such notice that brings in the whole as a party in the
case and vests the court with jurisdiction to hear and decide it (Republic v.
Kho, G.R. No. 170340, June 29, 2007; Alba v. CA, G.R. No. 164041, July
29, 2005; Barco v. CA, G.R. No. 120587, Jan. 20, 2004). (2007 Bar
Question)
Note: The bond of the guardian is a continuing one against the obligors
and their estates until all of its conditions are fulfilled. The mere fact that
defendant was removed as guardian did not relieve her or her bondsmen
from liability during the time she was duly acting as such guardian.
(Guerrero v. Teran, G.R. No. L-4898, Mar. 19, 1909)
Q: What would the court do if an issue arises as to who has the better
right or title to the properties conveyed in the guardianship
proceeding?
A:
GR: The issue should be threshed out in a separate ordinary action as it is
beyond the jurisdiction of the guardianship court.
XPN: When the wards right or title to the property is clear and
undisputable, the guardianship court may issue an order directing its
delivery or return.
Q: What are the grounds for the appointment of a guardian over the
person or property, or both, of a minor?
A:
1. Death, continued absence, or incapacity of his parents;
2. Suspension, deprivation or termination of parental authority;
3. Remarriage of surviving parent, if the latter is found unsuitable to
exercise parental authority; or
4. When the best interests of the minor so require (Sec. 4, A.M. No. 03-02-
05-SC).
Note: The court shall order a social worker to conduct a case study of the
minor and all the prospective guardians and submit his report and
recommendation to the court for its guidance before the scheduled hearing.
(Sec.9, A.M. No. 03-02-05-SC).
The substantive law gives to the guardian the authority whether or not the
claim against the ward is valid and therefore should be paid by him. He
does not need express authority from the court to be able to pay a valid
indebtedness incurred by the ward.
If you are asked to explain that this is the rule we follow, why not just
give everything to the family court? After all, that is the expertise of
the family court, a guardianship action. Why do we leave to an RTC
the guardianship of an incompetent who is a minor?
That fault is traceable to the Congress in enacting the law creating the
Family Court. In that law, the family court was given exclusive original
jurisdiction over petitions for guardianship involving a minor. The Congress
failed to notice that there could also be guardianship involving a non-minor,
that is if the ward is an incompetent. So, the SC applied literally this rule of
exclusive original jurisdiction given to a Family Court. It has authority only
when the guardianship involves a minor. But when the guardianship is over
an incompetent who is not a minor, it still an RTC that has jurisdiction under
the provisions of BP 129.