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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.
Denial without specificity in civil cases, it is tantamount to admission of allegations in the pleadings, and thus could lead
to a judgment on the pleadings. This is not allowed in criminal cases.
Quantum of evidence guilt should be proof beyond reasonable doubt in criminal cases, while only preponderance of
evidence is required in civil cases.
Jurisdiction of courts in civil actions, laws governing:
1. Constitution
2. Judiciary Act of 1848 (RA 296)
3. BP 129 and its amendments
4. Law creating the family court (1997)
5. Law creating the Sandiganbayan
General Law on jurisdiction: BP 129 and its amendments.
Note: The cases formerly taken in cognizance by the abolished Juvenile and Domestic Relations Court came under the
jurisdiction of the RTC under BP 129, which is in the concept of exclusive original jurisdiction. Then came the special law
creating the Family Court, which provides that the said court has exclusive original jurisdiction over cases involving
marriage, adoption, cases involving minors, habeas corpus involving minors, and other civil or criminal cases involving
minors.
BP 129 vs. special law on jurisdiction the special law generally prevails. (General law shall give way to special law, except
if the special law specifically provides otherwise or that the law allows parties to stipulate pertaining to the matter of
jurisdiction.)
Jurisdiction is a matter of substantive law.
This is not necessarily true. (Dean Jara) Substantive law deals with jurisdiction over the subject matter and/or jurisdiction
over the nature of the action. This is the aspect of jurisdiction governed by BP 129 and the other substantive laws on
jurisdiction.
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.
Sec. 9 BP 129 last sub provides for the jurisdiction of the CA.
3. Exclusive appellate jurisdiction over all final judgments, resolutions, orders or awards of Regional Trial
Courts and quasi-judicial agencies, instrumentalities, boards or commission, including the Securities and
Exchange Commission, the Social Security Commission, the Employees Compensation Commission and
the Civil Service Commission, Except those falling within the appellate jurisdiction of the Supreme Court
in accordance with the Constitution, the Labor Code of the Philippines under Presidential Decree No.
442, as amended, the provisions of this Act, and of subparagraph (1) of the third paragraph and
subparagraph 4 of the fourth paragraph of Section 17 of the Judiciary Act of 1948.
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.
Art. VIII Sec. 5
Section 5. The Supreme Court shall have the following powers:
(1) Exercise original jurisdiction over cases affecting ambassadors, other public ministers and consuls, and
over petitions for certiorari, prohibition, mandamus, quo warranto, and habeas corpus.
(2) Review, revise, reverse, modify, or affirm on appeal or certiorari, as the law or the Rules of Court may
provide, final judgments and orders of lower courts in:
(a) All cases in which the constitutionality or validity of any treaty, international or executive
agreement, law, presidential decree, proclamation, order, instruction, ordinance, or regulation is in
question.
(b) All cases involving the legality of any tax, impost, assessment, or toll, or any penalty imposed in
relation thereto.
(c) All cases in which the jurisdiction of any lower court is in issue.
(d) All criminal cases in which the penalty imposed is reclusion perpetua or higher.
(e) All cases in which only an error or question of law is involved.
(3) Assign temporarily judges of lower courts to other stations as public interest may require. Such
temporary assignment shall not exceed six months without the consent of the judge concerned.
(4) Order a change of venue or place of trial to avoid a miscarriage of justice.
(5) Promulgate rules concerning the protection and enforcement of constitutional rights, pleading,
practice, and procedure in all courts, the admission to the practice of law, the integrated bar, and legal
assistance to the under-privileged. Such rules shall provide a simplified and inexpensive procedure for the
speedy disposition of cases, shall be uniform for all courts of the same grade, and shall not diminish,
increase, or modify substantive rights. Rules of procedure of special courts and quasi-judicial bodies shall
remain effective unless disapproved by the Supreme Court.
(6) Appoint all officials and employees of the Judiciary in accordance with the Civil Service Law.
The Constitution provides that the SC has original jurisdiction over cases involving ambassadors, other public ministers
and consuls, and over petitions for certiorari, prohibition, mandamus, quo warranto, and habeas corpus. Reading the
1987 Constitution with BP 129, we will find out that the same authority is given by BP 129 to other courts.
Concurrent Jurisdiction: (Subject to Doctrine of Hierarchy of Courts and direct recourse only in cases when redress desired
cannot be obtained in the lower courts or when it serves the broader interest of justice)
With RTC:
Cases affecting ambassadors, other public ministers and Consuls
With CA:
Petitions for certiorari, prohibition or mandamus against RTC
Petitions for Writ of Kalikasan
With RTC and CA:
Petition for habeas corpus
Petition for quo warranto
Petitions for certiorari, prohibition or mandamus against MTC and other bodies
With RTC, CA and Sandiganbayan:
Petition for Writ of Amparo
Petition for Writ of Habeas Data
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.
BP 129 provides that CA exercises original jurisdiction over certiorari, prohibition, mandamus, quo warranto and habeas
corpus.
BP 129 vests jurisdiction to the RTC to exercises original jurisdiction over certiorari, prohibition, mandamus, quo warranto
and habeas corpus.
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.
However, Certiorari, Prohibition and Mandamus have been greatly limited by certain procedural rules. The limitation is
known as hierarchy of courts. (See Rule 65) Thus, while theoretically a petition can be filed directly to the SC, one should
follow the procedure under the principle of hierarchy of courts. In Rule 65, it is expressly provided that petitions for
Certiorari, Prohibition and Mandamus (and even Quo Warranto. Dean Jara) should be filed directly only with two courts, a
RTC or the CA. On analysis, Sec. 4 Rule 65 is a severe limitation on the right of an aggrieved party to avail of Certiorari,
Prohibition and Mandamus as provided for in the Constitution.
Rule 65, Sec. 4. Where petition filed.
The petition may be filed not later than sixty (60) days from notice of the judgment, order or resolution sought to be
assailed in the Supreme Court or, if it relates to the acts or omissions of a lower court or of a corporation, board, officer or
person, in the Regional Trial Court exercising jurisdiction over the territorial area as defined by the Supreme Court. It may
also be filed in the Court of Appeals whether or not the same is in aid of its appellate jurisdiction, or in the Sandiganbayan
if it is in aid of its jurisdiction. If it involves the acts or omissions of a quasi-judicial agency, and unless otherwise provided
by law or these Rules, the petition shall be filed in and cognizable only by the Court of Appeals.
Among the basic principles of the enactment of BP 129 was to do away with the concept of concurrent jurisdiction. BP 129
has not been able to do away entirely with concurrent jurisdiction. BP 129 does not use the term concurrent in vesting
jurisdiction upon courts. The law classifies jurisdiction into original jurisdiction; appellate jurisdiction; exclusive original
jurisdiction, and exclusive appellate jurisdiction; unlike that under the old Judiciary Act of 1948 where the law expressly
contained provisions that conferred concurrent jurisdiction over different cases upon different courts, which resulted in
confusion. Generally, BP 129 has been able to do away with the concept of concurrence of jurisdiction, except with respect
to certiorari, prohibition, mandamus, quo warranto and habeas corpus. Since the Constitution and BP 129 allocate original
jurisdiction upon 3 courts, then it is safe to conclude that these 3 courts exercise original and concurrent jurisdiction over
these petitions.
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.
Islamic Da'wah Case BP 129
The SC traced the history of annulment of judgment as an action. SC mentioned that before BP 129, the SC had recognized
the regularity and propriety of filing a petition to annul an MTC judgment in the RTC.
Can an RTC entertain and decide on cases of annulment of judgments of another RTC prior to BP 129? Why?
Before BP 129, SC held yes, because the RTC is a court of general jurisdiction. This is the reason why in BP 129, Congress
deemed it necessary to incorporate a provision giving exclusive authority to the CA to annul a judgment rendered by the
RTC to do away with the anomalous situation where an RTC is able to annul judgments rendered by another RTC, as there
was no specific substantive law prior to BP 129 which allocated to other courts the authority to annul judgments of the RTC.
A person need not be a party to the judgment sought to be annulled. What is essential is that he can prove his allegation
that the judgment was obtained by the use of fraud and collusion and he would be adversely affected thereby (Islamic
Dawah Council v. CA, G.R. No. 80892, Sept. 29, 1989).
Can the SC annul the judgment of the CA?
No. The Constitution and BP 129 does not provide authority for the SC to annul judgments rendered by the CA. There is no
substantive law or special law authorizing SC to annul judgments rendered by the CA.
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.
Fraud is regarded as extrinsic where it prevents a party from having a trial or from preventing a party from having a trial or
from presenting his entire case to the court, or where it operates upon matters pertaining not to the judgment itself but to
the manner in which it is procured (Alaban v. CA, GR no. 156021, September 23, 2005).
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 as a ground for annulment of judgment refers to either lack of jurisdiction over the person of the
defending party or over the subject matter of the claim.
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)
What is annulment of judgment?
A: It is a remedy in law independent of the case where the judgment sought to be annulled was rendered. The purpose of
such action is to have the final and executor judgment set aside so that there will be renewal of litigation.
Note: A co-equal court cannot annul the final judgment of a similar court. CA has exclusive jurisdiction over actions
for annulment of judgments of RTC. An action to annul a judgment or final order of MTC shall be filed in the RTC
having jurisdiction in the former and it shall be treated as an ordinary civil action. (Secs. 1 &10, Rule 47).
Q: When may it be availed of?
A: The remedy of annulment of judgment may be availed of when the ordinary remedies of new trial, appeal, petition for
relief or other appropriate remedies are no longer available through no fault of the petitioner (Sec. 1, Rule 47).
Q: Who may avail this remedy?
A: A person need not be a party to the judgment sought to be annulled. What is essential is that he can prove his allegation
that the judgment was obtained by the use of fraud and collusion and he would be adversely affected thereby (Islamic
Dawah Council v. CA, G.R. No. 80892, Sept. 29, 1989).
The extraordinary action to annul a final judgment is restricted to the grounds provided by law to prevent it from being
used by a losing party to make a mockery of a duly promulgated decision that has long become final and executory.
Q: Where should the petition be filed?
A:
Judgments of RTC
Filed with the CA
Basis It has exclusive original jurisdiction over said action
under Sec. 9 (2), BP 129
CA may dismiss the case outright; it has the discretion on
whether or not to entertain the petition.
Judgments of MTC
Filed with the RTC
Basis RTC as a court of general jurisdiction under Sec. 19
(6), BP 129
RTC has no such discretion. It is required to consider it as an
ordinary civil action.
If a judgment of an MTC can be the subject of annulment by CA or RTC as the case may be, can we also seek annulment
of the decisions by a quasi-judicial or administrative body?
Under BP 129, annulment of judgment, as procedurally explained in Rule 47, does not extend to the quasi-judicial or
administrative body, unless such provision was allowed by the charter of such administrative or quasi-judicial body.
Rule 47 refers to an action filed by a petitioner to annul a judgment rendered by an RTC in a civil case. This is what
literally BP 129 provided where CA is given the authority to annul decisions made by an RTC in a civil action. Therefore, if
the action is not a civil action or rendered by a quasi-judicial or administrative body, we cannot use Rule 47. (possible Bar
Q area)
Since Rule 47 says that the annulment contemplated in BP 129 refers to a judgment in a civil action, does it mean to say
that the judgment of an RTC acting as a criminal court cannot be subject to annulment of judgment by the CA under Rule
47?
No. If the judgment of the RTC is a judgment in a criminal case, we cannot use Rule 47 as it is specifically stated in the said
rule that annulment of judgment is availing only to civil cases decided by the RTC. Rule 47 is not a remedy to annul
decisions or judgments rendered by the RTC as a criminal court. A decision of an RTC in a criminal case can be annulled by
filing a case for habeas corpus. Petition for habeas corpus is the equivalent in criminal cases of petition for annulment of
judgments in civil cases.
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.
Is there a difference between Rule 47 (petition for annulment of judgment rendered by an RTC in a civil case) and
petition for habeas corpus?
There are substantial differences. Annulment under Rule 47 is a direct attack of a final and executory judgment, the only
purpose of which is to nullify and set aside a court decision in a civil case. But in a criminal case where the decision of the
RTC may not be valid due to lack of jurisdiction or extrinsic fraud, the remedy is petition for habeas corpus, which is an
indirect attack on the judgment of an RTC in the criminal case. When a habeas corpus petition is filed in order to nullify a
decision on a criminal case, the principal relief which the petitioner seeks is to declare the petitioner has been deprived of
his liberty unlawfully. It is not principally to set aside the judgment rendered by the RTC in a criminal case.
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.
Judicial record must be discredited. Judgment of the court must be discredited by such impeachment. In
BP 129, there are no grounds for annulment mentioned at all. They are mentioned in Rule 47 and Rule
132.
Rule 132 Sec. 29 . How judicial record impeached. Any judicial record may be impeached by evidence
of: (a) want of jurisdiction in the court or judicial officer, (b) collusion between the parties, or (c) fraud
in the party offering the record, in respect to the proceedings.
3 grounds under Rule 132 to impeach judgment:
1. lack of jurisdiction
2. extrinsic fraud
3. collusion
Grounds under Rule 47to impeach judgment:
1. absence of jurisdiction over the subject matter
2. absence of jurisdiction over the person of the accused
3. Extrinsic fraud (this encompasses collusion as found under Rule 132)
Thus, there is no conflict between Rule 132 and Rule 47.
Accion Reinvindicatoria
An action for the recovery of
ownership, which necessarily includes
the recovery of possession.
RTC has jurisdiction if the value of the
property exceeds P20,000 or P50,000
in Metro Manila.
MTC has jurisdiction if the value of the
property does not exceed the above
amounts.
Accion reinvindicatoria and accion publiciana RTC exercising original jurisdiction if property is worth above 20k/50k, as
the case may be.
Is it possible a real action is at the same time one incapable of pecuniary estimation?
Yes. A good example of a real action that is incapable of pecuniary estimation is foreclosure of real estate mortgage. It is
not capable of pecuniary estimation as the determinative issue here is the right of the mortgagee to foreclose, not the
value of the property.
What do we do in determining jurisdiction of an action is a real action but is incapable of pecuniary estimation? What
factor will be determinative to determine jurisdiction of the court?
SC held that if the action carries the feature of real action and one incapable of pecuniary estimation, then the
determinative factor is the feature of incapable of pecuniary estimation. Thus, RTC has exclusive jurisdiction of foreclosure
actions, even if the assessed value of the property involved is less than the jurisdictional amount of the RTC. As long as the
action is foreclosure of mortgage, the RTC has jurisdiction.
The feature of foreclosure of mortgage as a real action will only be important in determining the venue, not the jurisdiction.
A similar action which applies the same principle is expropriation. Expropriation of a piece of land is one involving real
action, but it does not take into account the assessed value of the land in determining jurisdiction. Thus, it is real action,
although incapable of pecuniary estimation, as the right to expropriate is the main issue, not the value of the land involved.
JURISDICTION IN MONEY CLAIMS
When it comes to personal actions, under BP 129, the determining factor will be the amount sought to be recovered if it is a
claim for money, or if it is recovery of personal property, it is the value of the personal property as alleged in the complaint.
The determining factor for jurisdiction in a pure collection suit is the principal sought to be recovered, exclusive of charges
interest, attorneys fees, damages etc. If the amount sought to be recovered by the plaintiff is 1M, it may be cognizable by
the RTC if it represents the aggregate amount of the claim, the principal amount being within the jurisdictional value of the
MTC. If the principal is only 200k and the rest are charges, damages, interest, etc., then the MTC has jurisdiction over the
case.
What if the plaintiff seeks only recovery of damages inclusive of actual, moral, nominal, etc.?
Ex. Plaintiff sought 100K actual, 500K moral and 500k exemplary damages. How do we determine jurisdiction here?
Complaints purely for damages = the aggregate (total) amount of damages will determine jurisdiction, not the specific
amounts claimed. Thus, in the example, the RTC has jurisdiction. Even if the complaint specified the amount of damages for
each aspect, the aggregate amount shall determine the jurisdiction.
JURISDICTION OVER RECOVERY OF PERSONAL PROPERTY
BP 129 as amended takes into account the assessed value only in the case of real properties. Personal property values have
no bearing in jurisdiction. The value as stated in the complaint shall be determinative (whether the figure is true or not).
Ex. Plaintiff sought recovery (replevin) of the car, claiming that is worth 800k (even if it is not true).If defendant
challenges the value, stating the car is 30 years old, and willing to submit evidence to show true value, will the court
entertain the defendants motion?
No. The court shall rely only on the allegations in the complaint. Once the court acquires jurisdiction, it cannot be ousted;
the court proceeds with the case until finally adjudicated.
What if it is found during trial that the car is actually worth far less than the value claimed? Will the court remand the
case to the lower court?
No. It will continue to hear until final judgment. There will be adherence of jurisdiction of the court over the case. The
court will continue trying the case until it is finally adjudicated.
The only way to oust jurisdiction in this regard is if Congress files a law abandoning the principle of adherence of
jurisdiction over a particular case. Dean Jara
With respect to MTCs, notwithstanding the expanded jurisdiction thereof, practically all cases decided by the RTC
pertaining to personal property can also be decided by the MTC, depending only on the value of the property involved.
Ex. Estate proceedings, accion reinvindicatoria, accion publiciana
Note: MTC is still a court of limited jurisdiction despite the expanded jurisdiction under BP 129 as amended. It can try only
the cases given to it under substantive law. The provision in BP 129 making the RTCs courts of general jurisdiction is not
given to MTCs. BP 129 stated explicitly that the RTC shall have exclusive original jurisdiction over all actions that are not
specially assigned to any other court. This is not contained in the allocation of jurisdiction of MTCs.
Vesting of authority to MTCs Sec. 33, the Totality test, is used in determining jurisdiction
Totality test is a proviso for ascertainment of jurisdiction, more encompassing than that provided in the Rules.
Difference in Totality Test in the Rules vs. Totality Test in BP 129:
RoC totality test in Rule 2 concerns causes of action for money, as to the amount. The totality of the money claims shall
be determinative of jurisdiction of courts.
BP 129 the totality test refers to of all claims or causes of actions in a complaint, whether they refer to the same or
different parties or arising out of the same or differing transactions. This is more encompassing in scope.
BP 129 has contained therein the provision on delegation of jurisdiction to the MTC and also the special jurisdiction of
the MTC.
The MTC, in its delegated jurisdiction, acts as if it were an RTC.
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).
Habeas Corpus proceedings can be heard in the MTC, but only in situations where petition was filed in the RTC, but no
judges are available in the RTC, so the petition is transferred to an MTC wherein a judge is available. The MTC gains
jurisdiction as habeas corpus cases are urgent. In fact, habeas corpus cases are always given special preference by the
courts; and thus, if no RTC judges are available to hear the petition, the clerk of court in the RTC must transfer the case to
the MTC, and MTC must hear the petition promptly. BP 129 does not authorize the filing of the habeas corpus case
directly in the MTC. Petition for habeas corpus filed in the MTC can be challenged on jurisdictional grounds because BP 129
does not vest unto an MTC an authority to entertain a petition for habeas corpus. It is only under circumstances where
there are no RTC judges available to entertain a petition for habeas corpus when an MTC judge can now analyze and study
the propriety the issuing of the writ of habeas corpus.
Ex. HLURB has exclusive original jurisdiction to adjudicate disputes between subdivision buyer/s vs. subdivision
developers. In cases of breach of contract under the NCC on matters pertaining to the jurisdiction of quasi-judicial bodies,
the trial court cannot take cognizance of these matters, although BP 129 gives jurisdiction to regular courts over such
matters, given the fact that there is a substantive law vesting jurisdiction to the HLURB to decide on such disputes. This is
because it is presumed that the HLURB is better equipped than a regular court to decide on such cases due to its expertise.
What if the subdivision developer filed in the MTC a complaint for ejectment of a subdivision buyer who allegedly
violated the terms of the contract? The subdivision developer sought to recover the property from the buyer, among
other prayers. The subdivision buyer challenged that MTC has no jurisdiction over the case, and that it is HLURB which is
the proper body to take cognizance of the complaint. Does HLURB have jurisdiction over the ejectment case?
SC held that the primary jurisdiction of the HLURB does not extend to complaints of ejectment filed by one party against the
other. In the case of primary jurisdiction vested by substantive law to quasi-judicial bodies, the authority of the quasijudicial body is interpreted strictly. Ejectment could really be a dispute between developer and buyer, but since the
complaint was for recovery of physical possession of the property (or even accion publiciana), SC held that regular courts
should take cognizance.
Note: Complaint for ejectment by subdivision developer vs. subdivision buyer was actually a suit for recovery of possession
of property.
Residual Jurisdiction found in appeal cases (Rules 41 and 42); jurisdiction enjoyed by the trial court to act on certain
matters for a very limited period, even if the case is on appeal.
Constitutional limits provided in the Constitution limiting SCs authority in promulgating rules:
1. uniformity in all courts of the same grade
2. speedy and inexpensive determination of the case
3. does not modify, increase or decrease substantive rights
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.
A litigant challenged a rule on criminal procedure (Rule 115 Rights of the Accused). Litigant stated that Rule 115 is not
procedural, and modified substantive rights as espoused in the Constitution, and should be deleted in the RoC.
SC denied the petition. SC said that while the authority of the SC is to promulgate rules on proceedings, practice and
procedure, and that substantive rights should not be covered by the provisions of the Rules, SC said that it is practically
impossible for rules of procedure to be devised without incorporating certain provisions that are dealing substantive law.
The standard is that we take the Rules as a whole, and determine whether it is procedural in character. If the answer is yes,
and there are certain provisions speaking about substantive rights, that should not be a justification of deleting these
provisions in the RoC.
Also, SC noted that the NCC, a substantive law, contains procedural articles concerning court processes such as those
concerning unlawful detainer and forcible entry, but NCC still remain a substantive law.
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.
Amendment of the Complaint
In Complaints properly filed by the plaintiff, the plaintiff can amend the complaint as a matter of right under Rule 10,
provided an answer has not yet been filed. (Amendment as a matter of right). If amendment is to implead a new defendant,
the court will accept such amended complaint as it is a matter of right. As to the new defendant, the period to file an
answer will relate to the filing of the original complaint (Relating Back Doctrine).
But, if a new cause of action is introduced along with the new defendant, it is not an amendment, as a new cause of action
is being included.
The classification of actions
Civil Actions
Criminal Actions
Special Civil Actions
Special proceedings
In the definition of a civil actions it is very clear that we do not necessarily follow the definition of a cause of action as
defined in Rule 2. A cause of action is a violation of a right belonging to the plaintiff by a defendant. For a cause of action to
accrue, the plaintiff must allege he has a right, and then allege that the defendant had violated that right.
Elements:
Plaintiff must allege he has a right.
Plaintiff must allege the defendant has violated for that right.
The implication of given by the definition of a cause of action is that the right holder must wait for a violation of his right
before he can have a cause of action against such person who violated his right and have a reason to go to court. That cause
of action should always be related to the definition of a civil action found in Section 3(a) Rule 1.
A civil action is one by which a party sues another for the enforcement or protection of a right, or the prevention or
redress of a wrong.
Rule 2 SEC. 2. Cause of action, defined.A cause of action is the act or omission by which a party violates
a right of another.
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.
Common Standard: Determine whether these rights belong to the same person or to different persons.
Several rights of one person violated by one and the same act = 1 cause of action = 1 complaint.
Several rights of several persons violated by one and the same act = several causes of action = separate complaints.
If a person drives his car negligently, and causes damage or wrecks 3 cars, how many causes of action accrue against him
using the standard given by the court?
Using the standard, determine whether the three cars belong to one person only or the cars belong to three different
persons. If the 3 cars belong to only one person, only one cause of action will accrue. The owner of the cars can only file one
case against the negligent driver. Otherwise, that will be splitting of causes of action. The owner had only one right that was
violated by the negligent driver. But if these 3 cars belong to 3 different owners, there are 3 separate causes of action.
Because there are 3 causes of action that arise, they can file separate complaints, and they dont have to be joined.
Conceivably, one owner can file his case in the RTC if he claims the damages suffered by him amounted to more than 500k.
Another owner can file his case in the MTC if he claims that his car incurred damages amounting to 200k. The filing of these
complaints by 3 different owners will depend on the amount of damages each will respectively claim in their respective
complaints. The fact that there are 3 different causes of action does not mean that they should go to the same court in
order to recover the damages suffered by them.
In the first example where the 3 damaged cars were owned by one owner, there is only one cause of action. The owner of
the 3 cars can only file one complaint for recovery of damages. Can he properly and rightfully go to court right away?
No. If we rely solely on substantive law alone, it would seemingly be yes. But if we apply other procedural principles, the
owner may be precluded from filing a complaint right away. The owner has to first satisfy certain conditions precedent
before cause of action could accrue. If these conditions precedent are not satisfied, the filing of the complaint shall be
premature and shall cause the dismissal of his complaint.
Conditions precedent given under procedural rules and substantive law are as follows:
1. prior barangay conciliation
2. arbitration clause
3. certification on non-forum shopping
4. exhaustion of administrative remedies
5. earnest efforts towards a compromise
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.
Arbitration clause invariably provides that in case of breach of contract, the parties must first undergo arbitration before
a complaint can be filed by the innocent party.
Exhaustion of administrative procedures is another condition precedent to the accrual of a cause of action.
In the NCC, in disputes between members of the same family, it must be shown that earnest efforts to reconcile or
compromise have been attempted but was unsuccessful.
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.
Splitting a cause of action abhorred by the court.
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.
Rule 2 SEC. 4. Splitting a single cause of action; effect of.If two or more suits are instituted on the
basis of the same cause of action, the filing of one or a judgment upon the merits in any one is available
as a ground for the dismissal of the others.
Rule 7 SEC. 5. Certification against forum shopping. The plaintiff or principal party shall certify under
oath in the complaint or other initiatory pleading asserting a claim for relief, or in a sworn certification
annexed thereto and simultaneously filed therewith: (a) that he has not theretofore commenced any
action or filed any claim involving the same issues in any court, tribunal or quasi-judicial agency and, to
the best of his knowledge, no such other action or claim is pending therein; (b) if there is such other
pending action or claim, a complete statement of the present status thereof; and (c) if he should
thereafter learn that the same or similar action or claim has been filed or is pending, he shall report that
fact within five (5) days therefrom to the court wherein his aforesaid complaint or initiatory pleading has
been filed.
Failure to comply with the foregoing requirements shall not be curable by mere amendment of the
complaint or other initiatory pleading but shall be cause for the dismissal of the case without prejudice,
unless otherwise provided, upon motion and after hearing. The submission, of a false certification or
non-compliance with any of the undertakings therein shall constitute indirect contempt of court, without
prejudice to the corresponding administrative and criminal actions. If the acts of the party or his counsel
clearly constitute willful and deliberate forum shopping, the same shall be ground for summary dismissal
with prejudice and shall constitute direct contempt, as well as a cause for administrative sanctions.
Sanctions for splitting causes of action:
1. filing of one could be used to dismiss the other due to litis pendencia
2. if one of the case has been decided, the other case can be dismissed due to res judicata
3. if there are 2 concurrent cases, the cases can be dismissed on ground of forum shopping.
It is now settled that if the party is guilty of splitting his cause of action, he is also guilty of forum shopping. There is no
need to elaborate as to whether there is forum shopping as long as it can be shown that there is splitting causes of
action.
Why does the Rules prohibit splitting?
It is because, the effect of splitting a cause of action could be harmful to our courts. If splitting is allowed, and one case
each will be filed for example in the RTC and MTC, there is the possibility that one court will decide differently from the
other and would result in the courts looking funny, even if the same facts, the same parties and the same pieces of
evidence were presented therein. The rule on splitting is designed more for protecting the integrity of our courts. The
likelihood that different courts will render conflicting decisions involving the same issue, the same parties and the same
pieces of evidence and thus destroy the credibility of the judicial system is sought to be prevented.
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.
Rule 9SECTION 1. Defenses and objections not pleaded.Defenses and objections not pleaded either in
a motion to dismiss or in the answer are deemed waived. However, when it appears from the pleadings
or the evidence on record that the court has no jurisdiction over the subject matter, that there is
another action pending between the same parties for the same cause, or that the action is barred by a
prior judgment or by statute of limitations, the court shall dismiss the claim.
(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.)
Can we have the defendant have the remedy of dismissal of both cases filed in RTC and MTC?
Yes, on the ground of forum shopping. If a plaintiff is guilty of forum shopping, the court shall order the dismissal of all
cases. But the qualification is that the dismissal is without prejudice, not an adjudication on the merits. Exception to the
dismissal being without prejudice is that if the forum shopping was DELIBERATE, then dismissal is with prejudice.
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.
Litis pendencia and res judicata are NON-WAIVABLE defenses. Courts can motu propio dismiss the case on these grounds
under Rule 9.
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.
Can we not apply Rule 10 (Amendment to conform to evidence)?
SC held that we dont apply amendment to conform to evidence, if in the first place the plaintiff does not have a cause of
action at the time of the filing of the complaint. It is essential under the Swagman Rule that a complaint should be filed
after the cause of action has accrued. If there is no cause of action that has accrued and a complaint is filed, the court will
have no authority to decide the case, even if that obligation matures and becomes defaulted during the trial of the case.
We apply Rule 10 only if there is a cause of action at the time of the filing of the complaint.
Swagman Hotel vs. CA
Facts: Sometime in 1996 and 1997, Swagman through Atty. Infante and Hegerty, its president and vicepresident, respectively, obtained from Christian loans evidenced by three promissory notes dated 7
August 1996, 14 March 1997, and 14 July 1997. Each of the promissory notes is in the amount of
US$50,000 payable after three years from its date with an interest of 15% per annum payable every three
months. In a letter dated 16 December 1998, Christian informed the petitioner corporation that he was
terminating the loans and demanded from the latter payment of said loans.
On 2 February 1999, Christian filed with the RTC a complaint for a sum of money and damages against the
petitioner corporation, Hegerty, and Atty. Infante.
The petitioner corporation, together with its president and vice-president, filed an Answer raising as
defenses lack of cause of action. According to them, Christian had no cause of action because the three
promissory notes were not yet due and demandable.
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.
SWAGMAN RULE: At the time of the filing of the complaint, the plaintiff must have a cause of action. He must be able to
show that his right was violated by the time the complaint was filed. Otherwise, he cannot make use of amendment to
conform to evidence.
SEC. 5. Joinder of causes of action.A party may in one pleading assert, in the alternative or otherwise,
as many causes of action as he may have against an opposing party, subject to the following conditions:
(a) The party joining the causes of action shall comply with the rules on joinder of
parties;
(b) The joinder shall not include special civil actions or actions governed by special rules;
(c) Where the causes of action are between the same parties but pertain to different
venues or jurisdictions, the joinder may be allowed in the Regional Trial Court provided
one of the causes of action falls within the jurisdiction of said court and the venue lies
therein; and
(d) Where the claims in all the causes of action are principally for recovery of money,
the aggregate amount claimed shall be the test of jurisdiction.
If the plaintiff files a complaint against the defendant for accion reinvindicatoria, and the assessed value of the property is
1k only, and the second cause of action is the recovery of money, obviously the actions are misjoined. This is because
accion reinvindicatoria, the property being only 1k, is cognizable only by the MTC.
SC decided a case where one of the parties contended joinder when there was actually misjoinder of causes of action.
The complaint filed by the plaintiff against the defendant, the first cause of action was for partition, and second cause of
action was for rescission of a donation. Both causes of action were cognizable by the RTC.
If we rely solely on Sec. 5 Rule 2, is there misjoinder of actions? Why?
Yes. This is because a complaint for Partition is a special civil action while rescission is an ordinary civil action. They are
governed by different procedures, and thus there is misjoinder of causes of action under Rule 2 Sec. 5(b).
On the same facts above, the defendant did not notice the misjoinder and did nothing, whereas the court did nothing
also. The judge most likely waited for the defendant to move to split the misjoinder causes. But since nothing was done
by defendant, the judge proceeded to try the two misjoined cases.
Under the rules, can a court, motu propio, order the severance of one of the misjoined causes of action?
Yes. The court can do so. Under the Rules, there is no need for a motion from the defendant if the court finds out that
causes of action are misjoined . It can motu propio order the severance of cases. This is done for the benefit of the court,
because if the court will wait for the defendant to make a motion, to raise the misjoinder of causes, the court will find
himself confused with the procedure he will follow. This is because partition will involve a different procedure from
ordinary civil actions. In fact, under our Rules now, partition is a multi-stage proceedings. Rescission is an ordinary civil
actions.
The court went ahead and tried the case, until a decision was finally issued by the court. Only then did the defendant
raised, on appeal to the SC, the misjoinder of causes of action.
If nobody objected, the court may proceed in the disposition of the case. If the court decided on the case, the decision will
still be valid. SC made a qualification that these misjoined causes should be within the jurisdiction of the trial court under
BP 129. In other words, this rule on misjoined causes could be a ground for severance of these causes. But it if it is not
raised timely, and the court decided on the case, the courts decision is valid as long as the trial court has jurisdiction over
the misjoined causes.
Does the RTC have jurisdiction over a complaint for Partition? Does the RTC have jurisdiction over rescission of a
donation?
Note that a case for partition is one incapable of pecuniary estimation. So even if there are misjoined causes in one
complaint, but this misjoinder is not raised before the trial court, the parties are deemed to have waived this issue of
misjoinder of causes of action, the judgment rendered by the court is valid and the same can be executed if it is duly
entered.
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.
Limitations to the prerogative
Unlike joinder of parties, there is a rule against misjoinder of causes of action, in the same way there is a rule on misjoinder
of parties. There is no rule on non-joinder of causes of action, while there is non-joinder and misjoinder of parties. The
reason why there is no rule on non-joinder of causes is because it is permissive, it is always at the option of the plaintiff. The
plaintiff can join as many causes of action as he may have. The court cannot force him to do so. But there is a rule against
MISJOINDER of parties.
Misjoinder of causes occurs when the joinder of two or more causes violates the rules. Ex. Joinder of special and ordinary
causes of action in one complaint, it is prohibited for being in violation of the rule that actions covered by different rules of
procedure cannot be joined, although both may be cognizable by the same court.
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.
Rule 3 SEC. 6. Permissive joinder of parties.All persons in whom or against whom any right to relief in respect to or
arising out of the same transaction or series of transactions is alleged to exist, whether jointly, severally, or in the
alternative, may except as otherwise provided in these Rules, join as plaintiffs or be joined as defendants in one
complaint, where any question of law or fact common to all such plaintiffs or to all such defendants may arise in the action;
but the court may make such orders as may be just to prevent any plaintiff or defendant from being embarrassed or put to
expense in connection with any proceedings in which he may have no interest.
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)
2. Compulsory joinder of indispensible parties party must be joined so that final adjudication of the issue can be had.
- even if the court tries a case without impleading an indispensible party, such non-joinder will render the proceedings
void. The decision is void and will never be entered, and thus cannot be made final and executory.
Indispensible partyparties in interest without whom no final determination can be had.
Rule 3, SEC. 7. Compulsory joinder of indispensable parties.Parties in interest without whom no final
determination can be had of an action shall be joined either s plaintiffs or defendants.
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.
Necessary partythe joinder of such party is not compulsory.
Rule 3 SEC. 8. Necessary party.A necessary party is one who is not indispensable but who ought to be
joined as a party if complete relief is to be accorded as to those already parties, or for a complete
determination or settlement of the claim subject of the action.
What is the sanction if the complaint is filed without impleading indispensible party?
It is not per se a ground for dismissal as very clearly stated in Section 11, Rule 3; but if the defendant uses another ground
used, specifically failure to state a cause of action, then the complaint will be dismissed.
Rule 3 SEC. 11. Misjoinder and non-joinder of parties.Neither misjoinder nor non-joinder of parties is
ground for dismissal of an action. Parties may be dropped or added by order of the court on motion of
any party or on its own initiative at any stage of the action and on such terms as are just. Any claim
against a misjoined party may be severed and proceeded with separately.
SC held differently in several cases:
It held that failure to state a cause of action is evident when an indispensable party is not impleaded. A cause of action
envisions the existence of a right violated and a wrongdoer who did such violation. The proceedings taken by the court are
considered void in terms of those who were not impleaded, being indispensable parties. Even if the court decided the case,
the judgment therein will be unenforceable since such decision will be subject to question by those parties not
impleaded.
There were also decisions stating otherwise. SC stated than non-joinder/misjoinder is not a ground for dismissal. If a
motion to dismiss is filed, SC stated that the court should order amendment of the complaint instead of dismissing it. In
Rule 16 on alternatives of a court on ruling a motion to dismiss, SC says a trial court has 3 options: deny, dismiss or to
order amendment of the complaint. Thus, trial court can order denial of a motion to dismiss by ordering amendment.
4 alternatives to resolve misjoinder/non-joinder of indispensable parties:
1. Grant motion
2. Deny motion
Indispensable Parties
Parties in interest without whom no final determination can
be
had of an action shall be joined either as plaintiffs or
defendants. (Sec.7, Rule 3)
Must be joined under any and all conditions because the
court cannot proceed without him (Riano, Civil Procedure: A
Restatement for the Bar, p. 224, 2009 ed.)
No valid judgment if they are not joined
Note: In the absence of an indispensable party renders all
subsequent actions of the court null and void for want of
authority to act, not only as to the absent parties but even
as to those present (Riano, Civil Procedure: A Restatement
for the Bar, p. 221, 2009 ed.)
Necessary Parties
A necessary party is one who is not indispensable but who
ought to be joined as a party if complete relief is to be
accorded as to those already parties, or for a complete
determination or settlement of the claim subject of the
action. (Sec.8, Rule 3)
Note: Should be joined whenever possible, the action can
proceed even in their absence because his interest is
separable from that of indispensable party (Ibid p.224)
The case may be determined in court but the judgment
therein will not resolve the entire controversy if a necessary
party is not joined
The presence of a necessary party is not determinant to the resolution of the action, but can be impleaded if only to satisfy
completely the issue.
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.
If plaintiff ignored the court order to implead the necessary party, is Rule 17 applicable?
No, Rule 3 should apply, which provides for the sanction if plaintiff refuses to obey an order to implead necessary party. The
case will continue. But, the plaintiff would be deemed to have waived any right of action against necessary party. If later on,
the plaintiff decides to file a complaint against such necessary party, the complaint will not prosper, as the necessary party
can claim that the right to file a claim against him has been paid, waived, abandoned or otherwise extinguished under Rule
16.
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.
Do we consider the class as indispensable or necessary parties?
SC held that all in the class involved in the litigation are considered indispensable parties.
Should they all be identified?
SC held that there is no need. Only a representative number can be impleaded as they represent all of the class.
Determination made on such representative class is tantamount to determination for all of the members of the class.
Why did SC hold that all such members of the class are deemed indispensable?
SC stated that the last sentence of Sec. 12 Rule 3 states that Any party in interest shall have the right to intervene to
protect his individual interest. A member of a class in a class suit has a right to intervene.
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.
The heirs of the deceased may be allowed to be substituted for the deceased, without requiring the
appointment of an executor or administrator and the court may appoint a guardian ad litem for the minor
heirs.
The court shall forthwith order said legal representative or representatives to appear and be substituted
within a period of thirty (30) days from notice.
If no legal representative is named by the counsel for the deceased party or if the one so named shall fail
to appear within the specified period, the court may order the opposing party, within a specified time, to
procure the appointment of an executor or administrator for the estate of the deceased and the latter
shall immediately appear for and on behalf of the deceased. The court charges in procuring such
appointment, if defrayed by the opposing party, may be recovered as costs.
A contract of agency is present when a lawyer is engaged by his client, an agency which exists until the client dies. The
lawyer has to inform the court about the death of his client. The court may then cause substitution of the representatives
of the estate of the deceased.
Trial courts can incorporate in their decision an advisory to the defeated party to appeal the matter to the SC.
Venue can be subject to stipulation of parties.
Elements:
1. Stipulation has the feature of exclusivity
2. Written, and
3. It must have been entered into before the commencement of the action
Caveat: If the stipulation will cause undue inconvenience to parties, then such stipulation can be dispensed with by parties.
In a real action, the venue, in absence of any stipulation designating a specific venue, is the place where the property or a
part thereof is located.
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.
Accion reinvindicatoria and publiciana recovery of title or ownership a real action that at the same time an in personam
action.
Settlement of estate involving personal properties of the deceased personal action
Sweet Lines case(on venue)
The place where the principal office was located would cause undue inconvenience for the complainants, hence the
agreement stipulating that cases should be filed in Cebu is void. Rule 4 is designed for the convenience of complaining
parties, not for the benefit of defendants.
The rule on venue does not apply to CA, CTA and SC. It is only applicable to trial courts and other lower courts.
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.
If the complainant fails to appear repeatedly during the conferences called by the Barangay Court, the Barangay Court can
order the dismissal of the complaint, and that dismissal is with prejudice. The complainant loses his right to recover against
the respondent.
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.
This applies to civil actions, as well as special civil actions in appropriate cases.
Ex. Complaint for interpleader
Complaint for forcible entry and unlawful detainer, although these are special civil actions
This does not apply to:
~Rule 65 cases, nor in petition for relief cases.
~Cases that involve public officers or LGUs.
~Certiorari, Prohibition, Mandamus usually involves exercise of public duties (especially of a judge)
~It does not apply to expropriation or quo warranto.
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.
If parties agreed in writing that a barangay court shall be the arbitration court, this can be repudiated within 5 days from
filing said agreement.
The Barangay Court, as an arbitration court, can make arbitral awards. A party can cause annulment of said award based on
vices of consent. No other ground need be presented (such as lack of jurisdiction, etc.)
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.
Execution of the barangay court.
While it can make a levy on execution, it is limited to personal properties belonging to respondents. It cannot levy on real
properties owned by respondents. It can also sell these levied personal properties at public auction to satisfy the
compromise agreement. If there is no satisfaction of the claim, the remedy is for the judgment creditor to file a case of
collection in the MTC to satisfy the compromise agreement.
Montaez vs. Miguel enforcement of compromise agreement by barangay courts (2012)
The case substantially has the following facts:
The claim of the creditor was 500k. Both parties submitted the matter for conciliation in the barangay court. The claim of
500k was reduced substantially in the proceedings, 250k paid in installments. The debtor failed to comply. The agreement
was not repudiated. The creditor filed a complaint in the regular court for recovery of the 500k. CA held that the only
recourse of the creditor was to enforce the compromise agreement as provided in LGC and the implementing circulars, the
creditor having lost the right to claim the 500k.
SC HELD that the barangay court approved compromise agreement being final and executory, if the debtor fails to comply,
the failure to comply is considered as a repudiation of that compromise agreement. SC cited Art. 2041 of the NCC which
states that when a party fails to comply with the compromise agreement, the agreement is rescinded by operation of law,
and thus the creditor is entitled to recover the original claim in the courts of justice.
There is no need to file rescission of the compromise agreement in this instance. The effect is that the creditor who has
agreed to the compromise agreement will be reverted to his original position as a creditor claiming the amount in his
original claim before the compromise agreement.
Mere refusal or failure to comply with compromise agreement is tantamount to repudiation of the compromise
agreement.
Note: Judgment based upon a compromise is immediately executory. A party can sought execution thereof immediately.
Failure to comply can lead to rescission of that 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.
There are cases which follow summary procedure that is cognizable by RTC. However, these cases involve family-related
cases. They are not civil actions involving summary procedures under the rules.
Summary proceedings prohibit filing of certain pleadings and motions.
The only Pleadings allowed:
Complaint
Answer
Compulsory Counterclaim/crossclaim
Motion to dismiss under Rule 16 is prohibited, unless the ground is absence of jurisdiction over the subject matter and
absence of prior barangay conciliation (failure to follow condition precedent).Although prohibited, what is prohibited is a
motion to dismiss filed by the defendant.
Summary Dismissal is allowed given, by the court itself, no motion being given.
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.
Ordinarily, under ordinary procedures, a court cannot simply dismiss the case without a correlative motion to dismiss.
The defendant is given time to file a responsive pleading for a shorter period than in ordinary procedure. Period is nonextendible (10 days). If defendant ignores the period, but files a motion for extension of 5 days to file an answer, the court
can ignore it, considering it as if it was not filed. If such a motion was filed, and there was failure of the defendant to file an
answer within 10 days, plaintiff can move for judgment on the pleadings.
If the defendant is prohibited from filing a motion to dismiss, but the defendant, after evaluating the complaint that the
case should be dismissed based on any ground in Rule 16, can he still make use of these grounds to cause dismissal
eventually?
Yes. The defendant should follow Rule 16 by making use of the grounds as an affirmative defense in his answer, and later
on raise these issues.
Motion to declare defendant in default a prohibited pleading in summary procedure.
If defendant failed to answer on time, the plaintiff can move for judgment on the pleadings.
In ordinary proceedings, a motion to declare defendant in default must be initiated by plaintiff before the court can declare
defendant in default. Unless such motion is made, the court can do nothing.
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.
Preliminary conference identical to pre-trial in ordinary proceedings. Submission of affidavits and position papers, no
presentation of evidence.
A trial is not absolutely prohibited in summary proceedings, as certain criminal cases are governed by summary
proceedings. A trial has to be conducted. The court cannot deprive defendant/accused from cross-examining the witnesses.
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.
In small claims procedure, the judgment is immediately final and executory, no appeal available. Motion for new trial,
motion for reconsideration and petition for relief from judgment are not available. The only remedy available to an
aggrieved party is under Rule 65, Certiorari. Thus, there is no appeal, plain, speedy or adequate remedy available.
Does it mean that the aggrieved party in small claims procedure is treated more kindly than in summary procedure?
No. The availability of Rule 65 in Small Claims procedure is not really a benefit. A petition under Rule 65 does not stop the
respondent court from carrying out its decision.
Unlike in an appeal, usually, execution is not allowed, except in forcible entry and unlawful detainer. In case of unlawful
detainer, payment of supersideas bond and the payment of current rate of rentals can stop enforcement of the summary
proceedings judgment.
The only way Rule 65 can prevent immediate execution in small claims is that the court taking cognizance of Rule 65 will
issue a TRO or writ of preliminary injunction upon application of appellant. There is a need to post an injunction bond to
avail of the TRO or writ of preliminary injunction.
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.
The rules now allow a parties/litigants to make use of 9 pleadings, but numerous motions.
Classes of pleadings:
1. Claim pleading (7 kinds)
2. Responsive pleading (2 kinds)
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
Defendant may make use of certain claim pleadings under appropriate circumstances. Ex. Answer with counterclaim and
cross-claim.
RULE 7 CERTIFICATION OF NON-FORUM SHOPPING
Classification of pleadings under Rule 7:
1. Initiatory Pleadings there should be a certification on non-forum shopping, the violation thereof could lead to adverse
consequences such as dismissal with or without prejudice; the court imposes docket fees, violation thereof will render the
case to be that which does not fall under the courts jurisdiction; payment of docket fees required.
2. Non-initiatory Pleadings needs no certification of non-forum shopping; no docket fees required.
The classification under Rule 7 is made for the purpose of determining whether such pleading will require the inclusion of a
certification of non-forum shopping.
General Rule: If an initiatory pleading is filed in court without the payment of the requisite docket fees, the court does
not acquire jurisdiction over the initiatory pleading. Payment of docket fees carries with it the authority of the court to
entertain the complaint.
With respect to a compulsory counterclaim, courts do not consider it an initiatory pleading, which will necessitate the
payment of docket fees.
In 2010, SC decided that if the defendant files an answer with permissive counterclaims, and fails to pay docket fees, the
court has neglected to collect docket fees thereto, and the court tries the case resulting in its dismissal and granting the
permissive counterclaim (the defendant won), the decision (even if already entered) over the permissive counter-claim is
void due to lack of jurisdiction, there being no showing that the court acquired jurisdiction over the counter-claim. The
defendant has the duty to remind the clerk of court that docket fees should be collected against the defendant so as to
enable the execution of a decision in favor of the defendant.
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.
In several circulars, in certain proceedings, a complaint need not state just ultimate facts. In a complaint filed under
summary proceedings, plaintiff is encouraged to include in his complaint evidentiary facts and to attach his evidence in the
document. In Kalikasan proceedings, the plaintiff is required to attach to his complaints all the evidence that are in the
possession of the plaintiff (documentary, testamentary or object). In Kalikasan cases, the defendant should include his
evidence in the answer, aside from specific denials.
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.
Insofar as the answer is concerned, it is the pleading in response to a complaint. It may contain positive or negative
defenses or both along with evidentiary facts. The defendant, however, cannot move for the court to order the plaintiff to
present evidentiary facts in his complaint as the statement of the ultimate facts alone in the complaint are sufficient.
Problems arise when an answer interposes a negative defense.
Negative Defense
In civil cases, a negative defense is always an important part of the answer. (Specific denial)
What is the standard to follow that a denial is specific?
It is found in Sec. 10 Rule 8 (Relate Rule 6 with this).
3 modes where a specific denial can be had:
1. Total denial of the allegations in the complaint with accompanying statements in which he will have to rely his defenses
on
2. Part denial and part admission
3. Just a statement by defendant that he has no knowledge or information about the truth of the allegation and therefore
defendant specifically denies the allegation
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.
Another form of denial frowned upon by jurisprudence are the following: I specifically deny paragraph_ because I had not
dealt with the plaintiff or I specifically deny paragraph _ of the complaint. They are considered as negative pregnant.
They are specific denials that contain no ground relied upon in support of the denial, and thus are considered as general
denial. The remedy of the defendant is to amend the answer as a matter of right as provided in Rule 10.
Counter-claim
It is a claim made by a defendant against a plaintiff.
Permissive vs. Compulsory counterclaim.
Study Compulsory Counterclaim as discussed in the Rules.
Compulsory Counterclaim
One which arises out of or is necessarily connected with the
transaction or occurrence that is the subject matter of the opposing
partys claim (Sec.7, Rule 6)
Permissive Counterclaim
It does not arise out of nor is it necessarily connected with the subject
matter of the opposing partys claim
It does not require for its adjudication the presence of third parties of
whom the court cannot acquire jurisdiction
It may require for its adjudication the presence of third parties over
whom the court cannot acquire jurisdiction
Must be within the jurisdiction of the court where the case is pending
and cognizable by regular courts of justice otherwise, defendant will
have to file it in separate proceeding which requires payment of docket
fee
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.
If the amount to be recovered is beyond the jurisdictional amount of the MTC, the compulsory counterclaim is converted to
a permissive counterclaim. If the amount to be recovered is below the jurisdictional amount of the RTC, the counterclaim is
still treated as a compulsory counterclaim.
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.
Under our present rules, allegations of usury MUST be contained in a complaint or similar pleadings. The law is not
specific, but given the liberal interpretation of the rules, it leads to the conclusion that as long as the allegations of usury
are contained in a complaint or similar pleading like counter-claim or cross-claim, there is a need for specific denial. The
responsive pleading would be an answer, not a reply. If the allegation of usury is contained in a counterclaim/cross-claim,
the responsive pleading is an answer to the counterclaim/cross-claim. If the allegation of usury is contained in an answer,
there is no need to specifically deny in the reply.
The only exception applicable is when the answer is founded on an actionable document. The law says that when the
defense is founded on an actionable document, the plaintiff, if he wants to make a denial of the actionable document,
must do so specifically and under oath. Otherwise, the genuineness and due execution of that actionable document will
be deemed admitted (a judicial admission).
What is an actionable document?
A: Referred to as the document relied upon by either the plaintiff and the defendant. (Araneta, Inc. vs. Lyric Factor
Exchange, Inc. 58 Phil 736) E.g. A promissory note in an action for collection of a sum of money. (Riano, Civil Procedure: A
Restatement for the Bar, p. 101, 2009 ed.)
Note: This manner of pleading a document applies only to an actionable document, i.e., one which is the basis of an action
or a defense. Hence, if a document does not have the character of an actionable document, it need not be pleaded strictly
in the manner prescribed by the rules (Ibid p.102)
How are actionable documents pleaded?
A: By setting forth:
1. The substance of such document in the pleading and attaching said document thereto as an exhibit
2. Include the contents of the document verbatim in the pleading (Sec. 7, Rule 8).
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.
For example, the defendant alleges payment in his answer supported by a receipt issued by the plaintiff, acknowledging full
liquidation of the indemnity. Under law, if the claim or demand is based on an actionable document, it is imperative upon
the impleader to allege on the pleading the actionable document.
Can the plaintiff simply file an affidavit in opposing the actionable document?
The only way that a plaintiff can make a specific denial under oath against the actionable document alleged in an answer is
by way of a reply. This is because, this is the only pleading that is available that responds to an answer. If the plaintiff makes
a reply setting up a specific denial, he should also see to it that the specific denial is under oath. If he did not do so, the
genuineness and due execution of the actionable document is deemed admitted.
Take note of the exceptions in the Rules as to non-availability of the judicial admission of the genuineness and due
execution of an actionable document if there is no specific denial under oath. There are 2 exceptions:
1. When the adverse party does not admit being a party to that document, or
2. Even if such party is a party to the document, there being an order issued by the court for the inspection of the original
document, the said party does not comply with that order.
The mode of impleading an actionable document was held by the SC to be mandatory. If the party impleading such did
not follow the modes provided in the Rules for impleading of an actionable document, the party will not be allowed to
present proof of his cause of action or defense as the case may be, as the attachment of the actionable document or
adding of the contents of that actionable document in the allegations of the pleadings will adversely affect the other
party.
claim is unrelated to the subject to the case. If the court denies the motion for admission of a third party complaint, the
remedy of the defendant is to file a separate complaint against the third party defendant.
It is in third party complaints that will best illustrate the meaning of ancillary jurisdiction of a trial court.
Q: What is a third (fourth, etc.) party complaint?
A: A third (fourth, etc.) party complaint is a claim that a defending party may, with leave of court, file against a person not a
party to the action, called the third (fourth, etc.) party defendant, for contribution, indemnity, subrogation or any other
relief, in respect of his opponent's claim. (Sec.11, Rule 6)
Q: Distinguish a third-party complaint from the rules on bringing in new parties.
A: A third-party complaint is proper when not one of the third-party defendants therein is a party to the main action.
Whereas in bringing in new parties, if one or more of the defendants in a counterclaim or cross-claim is already a party to
the action, then the other necessary parties may be brought in under the rules on bringing in new parties
Q: Why is leave of court necessary in third (fourth, etc.) -party complaint?
A: To obviate delay in the resolution of the complaint such as when the third-party defendant cannot be located; or
unnecessary issues may be introduced; or the introduction of a new and separate controversy. (Herrera, Vol. I, p. 705, 2007
ed.)
Q: What are the tests to determine whether the third-party complaint is in respect of plaintiffs claim?
A:
1. Whether it arises out of the same transaction on which the plaintiffs claim is based, or, although arising out of another
or different transaction, is connected with the plaintiffs claim;
2. Whether the third-party defendant would be liable to the plaintiff or to the defendant for all or part of the plaintiffs
claim against the original defendant; and
3. Whether the third-party defendant may assert any defenses which the third-party plaintiff has or may have to the
plaintiffs claim.
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).
A third party complaint is not proper in an action for declaratory relief. (Commissioner of Customs v. Cloribel, G.R. No. L21036, June 30, 1977).
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.).
Q: Abby obtained a favorable judgment against UNICAP for a sum of money. For failure to get full payment, Abby went
after UNICAPs debtor Ben. Ben is a policy holder of Insular. The courts sheriff then served a notice of garnishment to
Insular over several account receivables due to Ben. Insular refused to comply with the order alleging adverse claims
over the garnished amounts. The trial court ordered Insular to release to Abby the said account receivables of Ben under
the policies. Insular then filed a petition for certiorari with the CA alleging that the trial judge gravely abused his
discretion when he issued the garnishment order despite its adverse claim on the garnished amounts. The CA gave due
course to the petition and annulled the order of the trial court. Is the Court of Appeals correct?
A: No. Neither an appeal nor a petition for certiorari is the proper remedy from the denial of a third-party claim. Since the
third-party claimant is not one of the parties to the action, he could not, strictly speaking, appeal from the order denying its
claim, but should file a separate reinvindicatory action against the execution creditor or a complaint for damages against
the bond filed by the judgment creditor in favor of the sheriff. The rights of a third-party claimant should be decided in a
separate action to be instituted by the third person (Solidum v. CA, G.R. No. 161647, June 22, 2006).
FORMS OF A PLEADING
A pleading must always be signed. An unsigned pleading will be treated as a sham pleading. You cannot submit an unsigned
pleading. The court motu propio can order the striking out of the pleading.
Who will sign the pleading?
The litigant can sign the pleading. Or, his counsel can sign for him. Either or both can sign the 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.
But generally, the signature of the counsel is enough for a pleading to be accepted by the court.
Q: What is the effect of lawyers signature?
A: The signature of counsel constitutes:
1. A certificate by him that he has read the pleadings;
2. That to the best of his knowledge, information and belief there is good ground to support it; and
3. That it is not interposed for delay. (Sec. 3, Rule 7)
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.)
Q: What are the pleadings that should be verified?
A: The following should be verified:
1. Petition for relief from judgment
2. Petition for review from the RTCs to the CA
3. Petition for review from the CTA and quasi-judicial
agencies to the CA
4. Appeal by certiorari from the CA to the SC
5. Petition for annulment of judgments or final orders
and resolutions
6. Complaint for injunction
7. Application for appointment of receiver
8. Application for support pendente lite
9. Petition for certiorari against the judgments, final
orders or resolutions of constitutional commissions
10. Petition for certiorari, prohibition, mandamus, quo
warranto
(1996 Bar Question)
If the law requires a pleading to be verified, but the pleading is not verified or there is insufficient verification, the
absence or insufficiency would mean that the pleading is effectively an unsigned pleading. Therefore it produces no legal
effect.
With respect to verification, the general rule is we do not require that pleadings should be verified. It is only in instances
where the law requires verification that the pleading should be verified. Also, take note that Rule 7 is very emphatic as to
how to verify a pleading.
Q: How are pleadings verified?
A: It is verified by an affidavit. This affidavit declares that the:
1. Affiant has read the pleading; and
2. Allegations therein are true and correct of his personal knowledge or based on authentic records (Sec. 4, Rule 7)
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.
But the SC keeps on ignoring the Rules on verification. Although it would appear in Rule 7 that absence of verification could
be a fatal defect, the SC keeps on ruling that the absence of verification is only a formal defect. If you come across a
question concerning the need to verify a pleading or determining the adequacy of a verification in a pleading, and you are
asked what is the effect, based on rulings by the SC, in instances required by law for submission of a pleading with an
inadequate verification is only a formal defect.
A complaint, a permissive counterclaim, cross-claim, a third/fourth party complaint, all of these being initiatory
pleadings, must have a certification of non-forum shopping. Does it mean to say that Verification of a pleading is now the
general rule, given that in Rule 7, initiatory pleadings must carry with them a certification of non-forum shopping?
No. Certification of Non-forum shopping is different from verification of a pleading.
Verification of a pleading refers to the allegations in the pleading. The verification states that one has read the pleading
and that it is correct based on his personal knowledge or based on authentic records. The contents of certification of nonforum shopping does not have anything to do with the contents of an initiatory pleading, as it simply certifies that no
similar case had been filed in any other court, tribunal or body, and to notify the court right away if one should come to
know of such fact.
In the case of a Certification of Non-Forum Shopping, the SC appears to have adapted the rule of substantial compliance as
to the requirements of the certifications contents. Take note that the Rules say that all principal plaintiffs should sign the
certification. Otherwise, the certification will be ineffective. This defect is not curable by amendment under Rule 7.
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.
REQUIREMENTS OF A CORPORATION EXECUTING THE VERIFICATION/CERTIFICATION OF NON-FORUM SHOPPING
Q: What is the rule when the plaintiff is a juridical person?
A: The certification against forum shopping where the plaintiff is a juridical entity like a corporation, may be executed by
properly authorized person. This person may be a lawyer of a corporation. As long as he is duly authorized by the
corporation and has personal knowledge of the facts required to be disclosed in the certification, such may be signed by the
authorized lawyer (National Steel Corporation vs. CA, 388 SCRA 85; Riano, Civil Procedure: A Restatement for the Bar, p. 70,
2009 ed.)
Q: Corporation XYZ is the petitioner in a civil case. Alexander, president of corporation XYZ, signed the certification
against forum shopping in behalf of said corporation without presenting any proof of authority from the corporation. Is
the certification against forum shopping valid? If not, how may it be cured?
A: No. When the petitioner in a case is a corporation, the certification against forum shopping should be signed by its duly
authorized director or representative. The authorized director or representative of the corporation should be vested with
authority by a valid board resolution. A proof of said authority must be attached with the certification (PAL v. FASAP, G.R.
No. 143088, Jan. 24, 2006).
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.
Thus, in civil cases, the failure to state a cause of action or to improperly allege such is waivable, the remedy being an
amendment to conform to evidence. The court may order such amendment be made.
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.)
Q: In what situations where declaration of default is proper?
A: It is proper in 3 situations:
1. Defendant did not file any answer or responsive pleading despite valid service of summons;
2. Defendant filed an answer or responsive pleading but beyond the reglementary period; and
3. Defendant filed an answer to the court but failed to serve the plaintiff a copy as required by the Rules.
EFFECT OF AN ORDER OF DEFAULT
Q: What are the effects of an order of default?
A:
1. The party declared in default loses his standing in court. The loss of such standing prevents him from taking part in the
trial [Sec. 3(a), Rule 9];
2. While the defendant can no longer take part in the trial, he is nevertheless entitled to notices of subsequent proceedings
[Sec. 3 (a), Rule 9]. It is submitted that he may participate in the trial, not as a party but as a witness; and
3. A declaration of default is not an admission of the truth or the validity of the plaintiffs claims (Monarch Insurance v. CA,
G.R. No. 92735, June 8, 2000).
RELIEF FROM AN ORDER OF DEFAULT
Q: What are the reliefs from an order of default?
A:
1. After notice of order and before judgment The defendant must file a verified motion to set aside the order of default
upon proper showing that:
a. His failure to answer was due to fraud, accident, mistake or excusable negligence; and
b. That he has a meritorious defense. [Sec. 3(b), Rule 9] (2000 & 1999 Bar Question)
2. After judgment and before judgment becomes final and executory He may file a motion for new trial under Rule 37. He
may also appeal from the judgment as being contrary to the evidence or the law (Talsan Enterprises, Inc. v. Baliwag Transit,
Inc., G.R. No. 169919, Sept. 11, 2009)
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)
4. Where the defendant has however, been wrongly or improvidently declared in default, the court can be considered to
have acted with grave abuse of discretion amounting to lack or excess of jurisdiction and when the lack of jurisdiction is
patent in the face of the judgment or from the judicial records, he may avail of the special civil action of certiorari under
Rule 65 (Balangcad v. Justices of the CA, G.R. No. 83888, Feb. 12, 1992)
EFFECT OF A PARTIAL DEFAULT
Q: What is the effect of partial default?
A:
GR: The court will try the case against all defendants upon the answer of some.
XPN: Where the defense is personal to the one who answered, in which case, it will not benefit those who did not answer
e.g. forgery. (1995 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.
ACTIONS WHERE DEFAULT ARE NOT ALLOWED
Q: When is default not allowed?
A:
1. Actions for annulment;
2. Declaration of nullity of marriage and legal separation [Sec. 3(e), Rule 9]; and
3. In special civil actions of certiorari, prohibition and mandamus where comment instead of an answer is required to be
filed.
There are several instances where declaration of default is prohibited like mortgage, the rules on summary procedures,
Writ of Amparo, Writ of Habeas Data, and marriage related cases. It is not correct to say that it is absolute in civil actions
that if a defendant does not file his responsive pleading, he can be declared in default. What is clear is the general rule: If a
complaint is filed, summons is served upon the defendant, but defendant does file an answer within the reglementary
period, the defendant can be declared to be in default upon motion of the plaintiff.
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.
Suppose Plaintiff files a motion for declaration of defendant in default, but the motion was for that of an ex-parte
motion to declare defendant in default. The reasoning is that since the defendant had not bothered to file an answer,
there is no use of serving notice to the defendant. This is for the plaintiff to prevent the defendant from entertaining the
idea that he must file an answer to prevent being declared in default. Is plaintiff correct?
No. Rule 9 is very clear that a copy of the motion to declare defendant in default should be served upon the defendant. If
such copy is not served upon the defendant, that motion will not be acted upon by the court.
What if the defendant filed an answer after receiving a copy of the motion to declare him in default, can the court still
declare him in default?
Yes, if the court follows strictly Rule 9. But, as a matter of policy, an answer filed out of time will not result in the defendant
in being declared in default. SC held repeatedly that as much as possible the technical aspects of default should not be
applied strictly in the interest of furtherance of justice. Even if the period to answer has already expired, but an answer is
filed out of time, the courts will still admit that answer and deny the motion to declare the defendant in default. The reason
why SC adopted this policy is because at present, under Rule 9, if defendant is declared in default, the court can right away
render a judgment in default against defendant without conducting a trial. Under Rule 9, the court is given 2 choices: to
render a judgment of default based on the complaint (judgment on the pleadings), or to order the complainant to present
evidence ex-parte in support of his allegations. At least in the second option, there can be presentation of evidence, unlike
in the first option where only the pleadings will be the basis of the judgment. And if there is a trial ex-parte on default
ordered by the court, the defendant will not be allowed to participate in the proceedings, unless he is able to secure an
order to lift the default.
Rule 9 is very explicit in stating that the award in default judgments cannot be greater than that prayed for in the
complaint, even if there is an ex-parte presentation of evidence showing evidence thereto. This limiting of award is only
allowed in default cases where plaintiff is allowed to present evidence ex-parte.
Default Under Rule 18 Pre-Trial
Plaintiff does not appear during pre-trial or failed to submit pre-trial brief = dismissal of the complaint.
Defendant does not appear during pre-trial or non-submission of pre-trial brief on time = ex parte presentation of evidence
by plaintiff and court can render judgment based thereon.
Comparison between Rule 9 and Rule 18 Default
Rule 9
In Rule 9, defendant shall be declared in default for not filing
an answer.
The court cannot grant a relief more than that alleged in the
complaint.
In Rule 9, the defendant in default has not filed an answer at
all. The court is considered to have been taking pity on a
defendant who had surrendered.
Rule 18
Under Rule 18, a plaintiff shall be declared in default for not
appearing during pre-trial or failure to submit a pre-trial
brief, while a defendant shall be declared in default for not
appearing or submitting a pre-trial brief on time.
The court can grant a relief more than that alleged, based
on what the plaintiff can prove based on his evidence
presented.
In Rule 18, the defendant already filed an answered. The
defendants failure to comply with attending a pre-trial
conference or file a pre-trial brief is meted with severe
sanction. Also, the fact that the court gives the plaintiff the
opportunity to present his evidence, what the plaintiff
proves on evidence shall be the basis of the judgment of the
court.
During ex parte presentation during pre-trial, the plaintiff was able to prove damages of 2M. However, the complaint
alleges only 1M. The court awarded 2M. Is the court correct? Why?
Yes, the court is correct. This is because the defendant has failed to comply with a court order to either appear in pre-trial
or to submit a pre-trial brief, and thus the court can sanction defendant at default. Also, since the court allows the plaintiff,
as provided under Rule 18, to present evidence to prove his allegations, what the plaintiff was able to prove shall be the
basis of the courts judgment.
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.
Can there be a judgment in default against the non-answering defendants?
No, the court cannot do that. In case of several defendants, of which some have filed an answer, the most that the court
can do is to declare the non-answering defendants in default. The court cannot declare the answering defendants in default
as there is no reason to do that. Insofar as the non-answering defendant is concerned, they shall be declared in default but
there could be a separate judgment that will be rendered.
Can the answering defendant call the defendants in default as witnesses?
Yes. Defendants declared in default can be witnesses, although he will not be allowed to participate as a litigant.
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.
Since it is disadvantageous for a non-answering defendant to be declared in default, what are the remedies given by law
to the defaulting defendant?
To file a motion to lift the order of default at any time before judgment, the motion, filed with an affidavit of merit along
with his proposed answer, alleging the reasons of why he defaulted and alleging that he has a good defense as stated in the
proposed answer.
If the motion to lift the order of default is denied, it is inappealable, being an interlocutory decision.
Denial to lift order of default Rule 65 can be had, but appellant must show that the court acted with lack or in excess of
jurisdiction
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.
BILL OF PARTICULARS
Motion for leave to file bill of particulars there is inadequacy of the allegations contained in the complaint.
As a rule, Rule 16, as to a bill of particulars, the inadequacy of the allegations in a complaint is not a ground for the filing of
a motion to dismiss the complaint.
Can there be an instance when a trial court may dismiss a case on ground of inadequacy or vagueness in the allegations
in the complaint?
Yes, by way of exception. The only instance when a defendant may file motion to dismiss due to vagueness or inadequacy
of the allegations in the complaint, instead of filing motion for bill of particulars, is when the RTC is sitting as a commercial
court. In this case, where there is indefiniteness or vagueness in the allegations of the complaint, defendant may file a
motion to dismiss. This is because, in commercial courts, a motion for bill of particulars is forbidden as outlined in the
circular for commercial courts.
In ordinary civil cases, motion for bill of particulars is available to both sides. They should be in the form of a motion.
While a motion for bill of particulars should comply with the requisites of a motion, so as not to be deemed as a useless
piece of paper, when the motion is submitted to the court, the court can act upon the motion right away, without waiting
for the hearing set for the motion, either granting or denying such motion.
By its very nature, a motion for a bill of particulars should be filed by a defendant before submitting an answer, or in case of
a plaintiff, a reply. It is useless if a defendant files a motion for bill of particulars after he has already filed his answer. It is
understood that if a defendant has filed an answer, it would mean that he has understood fully the allegations stated in the
complaint.
What is a bill of particulars and when can it be availed of?
A: Before responding to a pleading, a party may move for a definite statement or for a bill of particulars of any matter
which is not averred with sufficient definiteness or particularity to enable him properly to prepare his responsive
pleading. If the pleading is a reply, the motion must be filed within 10 days from service thereof(Sec. 1, Rule12). (2003 Bar
Question)
Note: Its purpose is to aid in the preparation of a responsive pleading. An action cannot be dismissed on the ground that
the complaint is vague or definite. (Galeon v. Galeon, G.R. No. L-30380, Feb. 28, 1973).
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.)
If the defendant disobeyed the court order to amend his answer or to supply bill of particulars, the situation will be as if the
defendant has not filed an answer at all. The next recourse of the plaintiff is to file a motion to declare the defendant in
default. This is one instance where the defendant can be declared in default even though he had filed an answer on time.
Therefore, if the defendant did not amend his answer or file a bill of particulars, the court can order the striking out of the
answer and thereafter, upon motion, the defendant can be declared in default. This Rule is found under Rule 29 (Refusal To
Comply With Modes of Discovery).
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.)
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.
Service of Summons upon a unregistered/unlicensed foreign corporation with no resident agent that transacted in RP:
In a 2011 Circular, summons upon a foreign private corporation can be served in four ways, with leave of court:
1. Personal service of summons upon a foreign private corporation not doing business in RP, with assistance of DFA and the
court of the country where the foreign corporations main office is located;
2. Publication of the summons in the country where the foreign corporation has its office
3. By facsimile message or by any electronic device authorized by the trial court
4. A combination of any one of the three as authorized by the court.
With respect to domestic private corporations, service of summons must be effected as stated in the Villarosa vs. Benito
case. It must be served upon the officers of the corporation stated specifically in the RoC (President, Managing Partner,
GM, Treasurer, Corporate Secretary or in-house counsel of the corporation).In the Villarosa case, the branch manager
was the one served with summons, which is not among those officers listed in the Rules. Thus, the trial court did not
acquire jurisdiction over the corporation. This is still the rule observed.
EB Villarosa & Partner Co. Ltd. Vs. Benito
It should be noted that even prior to the effectivity of the 1997 Rules of Civil Procedure, strict
compliance with the rules has been enjoined. In the case of Delta Motor Sales Corporation vs.
Mangosing, the Court held:
A strict compliance with the mode of service is necessary to confer jurisdiction of the
court over a corporation. The officer upon whom service is made must be one who is
named in the statute; otherwise the service is insufficient. x x x.
The purpose is to render it reasonably certain that the corporation will receive prompt
and proper notice in an action against it or to insure that the summons be served on a
representative so integrated with the corporation that such person will know what to
do with the legal papers served on him. In other words, to bring home to the
corporation notice of the filing of the action. x x x.
The liberal construction rule cannot be invoked and utilized as a substitute for the
plain legal requirements as to the manner in which summons should be served on a
domestic corporation. x x x. (underscoring supplied).
Service of summons upon persons other than those mentioned in Section 13 of Rule 14 (old rule) has
been held as improper. Even under the old rule, service upon a general manager of a firms branch office
has been held as improper as summons should have been served at the firms principal office. In First
Integrated Bonding & Ins. Co., Inc. vs. Dizon, it was held that the service of summons on the general
manager of the insurance firms Cebu branch was improper; default order could have been obviated had
the summons been served at the firms principal office.
And in the case of Solar Team Entertainment, Inc. vs. Hon. Helen Bautista Ricafort, et al. the Court
succinctly clarified that, for the guidance of the Bench and Bar, strictest compliance with Section 11 of
Rule 13 of the 1997 Rules of Civil Procedure (on Priorities in modes of service and filing) is mandated and
the Court cannot rule otherwise, lest we allow circumvention of the innovation by the 1997 Rules in order
to obviate delay in the administration of justice.
Accordingly, we rule that the service of summons upon the branch manager of petitioner at its
branch office at Cagayan de Oro, instead of upon the general manager at its principal office at Davao
City is improper. Consequently, the trial court did not acquire jurisdiction over the person of the
petitioner.
The fact that defendant filed a belated motion to dismiss did not operate to confer jurisdiction
upon its person. There is no question that the defendants voluntary appearance in the action is
equivalent to service of summons. Before, the rule was that a party may challenge the jurisdiction of the
court over his person by making a special appearance through a motion to dismiss and if in the same
motion, the movant raised other grounds or invoked affirmative relief which necessarily involves the
exercise of the jurisdiction of the court, the party is deemed to have submitted himself to the jurisdiction
of the court. This doctrine has been abandoned in the case of La Naval Drug Corporation vs. Court of
Appeals, et al., which became the basis of the adoption of a new provision in the former Section 23, which
is now Section 20 of Rule 14 of the 1997 Rules. Section 20 now provides that the inclusion in a motion
to dismiss of other grounds aside from lack of jurisdiction over the person of the defendant shall not be
deemed a voluntary appearance. The emplacement of this rule clearly underscores the purpose to
enforce strict enforcement of the rules on summons. Accordingly, the filing of a motion to dismiss,
whether or not belatedly filed by the defendant, his authorized agent or attorney, precisely objecting to
the jurisdiction of the court over the person of the defendant can by no means be deemed a submission
to the jurisdiction of the court. There being no proper service of summons, the trial court cannot take
cognizance of a case for lack of jurisdiction over the person of the defendant. Any proceeding undertaken
by the trial court will consequently be null and void.
Service of summons in case of a partnership:
What the rules require is that summons must be made upon a GM or managing partner as the case may be.
If there are 4 partners in the partnership, service upon any of the partners will be a valid service of summons. All
partners under the NCC are considered as managing partners. Since all partners under the NCC are presumed to be
managing partners, service upon anyone will be a valid service of summons.
It is in the acquisition of jurisdiction over natural persons that there is conflict in jurisprudence.
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.
However, in 2009, the SC decided a case involving the validity of a substituted service of summons not in accordance with
the Rules. If substitute service of summons is not in accordance with Sec. 7 of Rule 14, the service is invalid, the court does
not acquire jurisdiction over the defendant. Any proceedings taken by the court are invalidated.
Given the skill of debtors to conceal their properties however, the decision of the respondent Judge
should be set aside and held pending in the archives until petitioner tracks down the whereabouts of
the defendants person or properties.
In 2008, Santos vs. PNOC was decided, which changed the principles held under Citizens Surety vs. Herrera.
Santos vs. PNOC Defendant in an Action in personam can be subject to courts jurisdiction (2008)
The defendant did not file an answer within the reglementary period. The lawyer of the plaintiff did not move for
publication of summons, but filed only a motion to allow him to present evidence ex parte. The judge rendered a decision in
favor of the plaintiff. When defendant learned of the decision, he moved for reconsideration thereof. The Court then
gained jurisdiction over the person of the defendant mad a voluntary appearance when the defendant filed his motion for
reconsideration.
Santos vs. PNOC Digest
Facts: PNOC Exploration Corporation, respondent, filed a complaint for a sum of money against petitioner
Pedro Santos Jr. in the RTC of Pasig. The amount sought to be collected was the petitioners unpaid
balance of the car loan advanced to him by respondent when he was still a member of its board of
directors.
Personal service of summons were made to petitioner but failed because the latter cannot be located in
his last known address despite earnest efforts to do so. Subsequently, on respondents motion, the trial
court allowed service of summons by publication. Respondent caused the publication of the summons in
Remate, a newspaper of general circulation in the Philippines. Thereafter, respondent submitted the
affidavit of publication and the affidavit of service of respondents employee to the effect that he sent a
copy of the summons by registered mail to petitioners last known address.
Petitioner still failed to answer within the prescribed period despite the publication of summons. Hence,
respondent filed a motion for the reception of its evidence ex parte. Trial court granted said motion and
proceeded with the ex parte presentation and formal offer of its evidence.
Petitioner filed an Omnibus Motion for Reconsideration and to Admit Attached Answer, alleging that the
affidavit of service submitted by respondent failed to comply with Section 19, Rule 14 of the Rules of
Court as it was not executed by the clerk of court. Trial court denied the said motion and held that the
rules did not require such execution with the clerk of court. It also denied the motion to admit petitioners
answer because the same was filed way beyond the reglementary period.
Petitioner appeals to the CA via a petition for certiorari but failed and even sustained the trial courts
decision and ordered the former to pay the amount plus legal interest and cost of suit. Hence, this
petition.
Issues:
(1) Whether or not there is lack of jurisdiction over the petitioner due to improper service of summons.
(2) Whether or not the rule on service by publication under Section 14, Rule 14 of the Rules of Court
applies only to actions in rem, not actions in personam.
(3) Whether or not the affidavit of service of the copy of the summons should have been prepared by the
clerk of court and not respondents messenger.
Held:
(1) Section 14, Rule 14 provides that in any action where the defendant is designated as an unknown
owner or the like or when his whereabouts are unknown and cannot be ascertained by diligent inquiry,
service may, by leave of court, be effected upon him by publication in a newspaper of general
circulation and in such places and for such times as the court may order. Since petitioner could not be
personally served with summons despite diligent efforts to locate his whereabouts, respondent sought
and was granted leave of court to effect the service of summons upon him by publication in a newspaper
of general circulation. Thus, petitioner was proper served with summons by publication and that there is
jurisdiction over his person.
(2) The in rem/in personam distinction was significant under the old rule because it was silent as to the
kind of action to which the rule was applicable but this has been changed, it now applies to any action.
The present rule expressly states that it applies in any action where the defendant is designated as an
unknown owner, or the like, or whenever his whereabouts are unknown and cannot be ascertained by
diligent inquiry. Hence, the petitioners contention that the complaint filed against him is not covered by
the said rule because the action for recovery of sum of money is an action in personam is not applicable
anymore.
(3) The service of summons by publication is complemented by service of summons by registered mail
to defendants last known address. This complementary service is evidenced by an affidavit showing
the deposit of a copy of the summons and order for publication in the post office, postage for prepaid,
directed to the defendant by registered mail to his last known address. The rules, however, do not
require that the affidavit of complementary service be executed by the clerk of court. While the trial
court ordinarily does the mailing of copies of its orders and processes, the duty to make the
complementary service by registered mail is imposed on the party who resorts to service by
publication.
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.
Palma vs. Galvez (When the whereabouts of defendant is unknown, there is no need for publication of summons.)
Reiterates Santos vs. PNOC there is no need , under Sections 14 to 16 in Rule 14, for the conversion of an action in
personam to that in rem before a court could 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.
In civil cases, the trial court acquires jurisdiction over the person of the defendant either by the
service of summons or by the latters voluntary appearance and submission to the authority of the
former. Private respondent was a Filipino resident who was temporarily out of the Philippines at the time
of the service of summons; thus, service of summons on her is governed by Section 16, Rule 14 of the
Rules of Court, which provides:
Sec. 16. Residents temporarily out of the Philippines. When an action is
commenced against a defendant who ordinarily resides within the Philippines, but who
is temporarily out of it, service may, by leave of court, be also effected out of
the Philippines, as under the preceding section. (Emphasis supplied)
The preceding section referred to in the above provision is Section 15, which speaks of
extraterritorial service, thus:
SEC. 15. Extraterritorial service. When the defendant does not reside and is
not found in the Philippines, and the action affects the personal status of the plaintiff or
relates to, or the subject of which is, property within the Philippines, in which the
defendant has or claims a lien or interest, actual or contingent, or in which the relief
demanded consists, wholly or in part, in excluding the defendant from any interest
therein, or the property of the defendant has been attached within the Philippines,
service may, by leave of court, be effected out of the Philippines by personal service as
under section 6; or by publication in a newspaper of general circulation in such places
and for such time as the court may order, in which case a copy of the summons and
order of the court shall be sent by registered mail to the last known address of the
defendant, or in any other manner the court may deem sufficient. Any order granting
such leave shall specify a reasonable time, which shall not be less than sixty (60) days
after notice, within which the defendant must answer.
The RTC found that since private respondent was abroad at the time of the service of summons,
she was a resident who was temporarily out of the country; thus, service of summons may be made only
by publication.
We do not agree.
In Montefalcon v. Vasquez, we said that because Section 16 of Rule 14 uses the words may
and also, it is not mandatory. Other methods of service of summons allowed under the Rules may
also be availed of by the serving officer on a defendant-resident who is temporarily out of
the Philippines. Thus, if a resident defendant is temporarily out of the country, any of the following
modes of service may be resorted to: (1) substituted service set forth in section 7 ( formerly Section 8),
Rule 14; (2) personal service outside the country, with leave of court; (3) service by publication, also
with leave of court; or (4) in any other manner the court may deem sufficient.
In Montalban v. Maximo, we held that substituted service of summons under the present
Section 7, Rule 14 of the Rules of Court in a suit in personam against residents of
the Philippines temporarily absent therefrom is the normal method of service of summons that will
confer jurisdiction on the court over such defendant. In the same case, we expounded on the rationale
in providing for substituted service as the normal mode of service for residents temporarily out of
the Philippines.
x x x A man temporarily absent from this country leaves a definite place of residence, a
dwelling where he lives, a local base, so to speak, to which any inquiry about him may
be directed and where he is bound to return. Where one temporarily absents himself,
he leaves his affairs in the hands of one who may be reasonably expected to act in his
place and stead; to do all that is necessary to protect his interests; and to
communicate with him from time to time any incident of importance that may affect
him or his business or his affairs. It is usual for such a man to leave at his home or with
his business associates information as to where he may be contacted in the event a
question that affects him crops up. If he does not do what is expected of him, and a case
comes up in court against him, he cannot just raise his voice and say that he is not
subject to the processes of our courts. He cannot stop a suit from being filed against
him upon a claim that he cannot be summoned at his dwelling house or residence or his
office or regular place of business.
Not that he cannot be reached within a reasonable time to enable him to
contest a suit against him. There are now advanced facilities of communication. Long
distance telephone calls and cablegrams make it easy for one he left behind to
communicate with him.
Considering that private respondent was temporarily out of the country, the summons and
complaint may be validly served on her through substituted service under Section 7, Rule 14 of the Rules
of Court which reads:
SEC. 7. Substituted service. If, for justifiable causes, the defendant cannot be
served within a reasonable time as provided in the preceding section, service may be
effected (a) by leaving copies of the summons at the defendants residence with some
person of suitable age and discretion then residing therein, or (b) by leaving the copies
at defendants office or regular place of business with some competent person in charge
thereof.
We have held that a dwelling, house or residence refers to the place where the person named in
the summons is living at the time when the service is made, even though he may be temporarily out of
the country at the time. It is, thus, the service of the summons intended for the defendant that must be
left with the person of suitable age and discretion residing in the house of the defendant. Compliance
with the rules regarding the service of summons is as important as the issue of due process as that of
jurisdiction.
Section 7 also designates the persons with whom copies of the process may be left. The rule
presupposes that such a relation of confidence exists between the person with whom the copy is left
and the defendant and, therefore, assumes that such person will deliver the process to defendant or in
some way give him notice thereof.
In this case, the Sheriff's Return stated that private respondent was out of the country; thus, the
service of summons was made at her residence with her husband, Alfredo P. Agudo, acknowledging
receipt thereof. Alfredo was presumably of suitable age and discretion, who was residing in that place
and, therefore, was competent to receive the summons on private respondent's behalf.
Notably, private respondent makes no issue as to the fact that the place where the summons was
served was her residence, though she was temporarily out of the country at that time, and that Alfredo
is her husband. In fact, in the notice of appearance and motion for extension of time to file answer
submitted by private respondent's counsel, he confirmed the Sheriff's Return by stating that private
respondent was out of the country and that his service was engaged by respondent's husband. In his
motion for another extension of time to file answer, private respondent's counsel stated that a draft of
the answer had already been prepared, which would be submitted to private respondent, who was in
Ireland for her clarification and/or verification before the Philippine Consulate there. These statements
establish the fact that private respondent had knowledge of the case filed against her, and that her
husband had told her about the case as Alfredo even engaged the services of her counsel.
In addition, we agree with petitioner that the RTC had indeed acquired jurisdiction over the person
of private respondent when the latter's counsel entered his appearance on private respondent's behalf,
without qualification and without questioning the propriety of the service of summons, and even filed
two Motions for Extension of Time to File Answer. In effect, private respondent, through counsel, had
already invoked the RTCs jurisdiction over her person by praying that the motions for extension of time
to file answer be granted. We have held that the filing of motions seeking affirmative relief, such as, to
admit answer, for additional time to file answer, for reconsideration of a default judgment, and to lift
order of default with motion for reconsideration, are considered voluntary submission to the
jurisdiction of the court. When private respondent earlier invoked the jurisdiction of the RTC to secure
affirmative relief in her motions for additional time to file answer, she voluntarily submitted to the
jurisdiction of the RTC and is thereby estopped from asserting otherwise.
Considering the foregoing, we find that the RTC committed a grave abuse of discretion amounting to
excess of jurisdiction in issuing its assailed Orders.
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.
What is the advantage of using these principle in Citizens Surety vs. Herrera? (Actions in rem that is in personam at the
same time)
The advantage is that if the plaintiff first moves for preliminary attachment over properties of the defendant and then later
ask the court for publication of summons, when compared to just the plaintiff asking for publication of summons without
asking for preliminary attachment, is that there is a security enjoyed by the plaintiff when the property of the defendant is
attached through a writ preliminary attachment. If you read Rule 57, that is precisely the purpose of preliminary
attachment over the property of the defendant, to provide security to the applicant to whatever judgment rendered in
favor of the plaintiff.
But the present tendency of the court is not to apply anymore the principle in Citizens Surety vs. Herrera insofar as
publication of summons is concerned. There is no more need for converting an action in personam to an action in rem or
quasi-in rem.
If there is a preliminary attachment of a property belonging to the defendant, the act of actual attachment of the property
is the act which converts the case from in personam to that of in rem or quasi-in rem. This is because the property is now
within the jurisdiction of the trial court.
MOTIONS
Q: What is a motion?
A: It is an application for relief other than by a pleading. (Sec. 1, Rule 15)
Q: What shall the notice of hearing specify?
A: It shall specify the time and date of the hearing which shall not be later than ten (10) days after the filing of the motion
and it shall be addressed to the parties concerned (Sec. 5, Rule 15).
Note: Failure to comply with the mandatory requirements of the rule regarding notice of hearing is pro forma and presents
no question which merits the attention of the court (Bacelonia v. CA, G.R. No. 143440, Feb. 11, 2003).
Q: What is the rule on hearing of motions?
A:
GR: Every written motion shall be set for hearing by the applicant.
XPN: Motions which the court may act upon without prejudicing the rights of the adverse party (Sec. 4, 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.
Requirements of a written motion:
1. service upon the adverse party
2. must be set for hearing
Notice of Hearing is usually addressed by lawyers to the branch clerk of court. This is an error. The notice of hearing MUST
be addressed to the adverse party or the counsel thereof. Remember that the SC has emphasized that a motion that does
not comply with the requirements set down in the Rules shall be treated as a scrap of paper.
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.
Can the defendant properly file an answer and a motion to dismiss at the same time?
Under Rule 16, it is allowed that the grounds for a motion to dismiss to be simply incorporated in the answer. Under Rule
16, if the defendant does submit his responsive pleading right away, he can incorporate in his answer the grounds in Rule as
affirmative defenses. If a defendant files his answer with affirmative defenses enumerated under Rule 16 as grounds to
dismiss, he being allowed to do that, once the answer is filed with the court, the defendant can ask to court to conduct a
preliminary hearing on his affirmative defenses. The court can grant it as if the defendant has filed previously a motion to
dismiss.
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.
Because of the application of these non-waivable defenses, it is conceivable and it is proper for the defendant to
successively file motions to dismiss containing these non-waivable defenses. A motion to dismiss founded on a waivable
defense shall preclude the filing of another motion to dismiss based on other grounds under Rule 16, except those nonwaivable defenses. There will be waiver of the other grounds because of the Omnibus Motion Rule, but not those defenses
which are non-waivable.
In the resolution of a motion to dismiss, Rule 16 gives to the court three choices: grant the motion, deny the motion, or
order an amendment to the pleading.
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.
4 options of the court:
1. grant
2. deny
3. order the amendment of the pleadings
4. refer the matter to conciliation or mediation or arbitration, as the case may be, and suspend further hearings
Is there any procedural advantage if the defendant simply files an answer setting up as affirmative defenses those
enumerated in Rule 16?
Yes there is. If the defendant files an answer with affirmative defenses based on grounds under Rule 16, and after
preliminary hearing of the affirmative defenses, the court orders the dismissal of the case, the defendant will be given an
opportunity to recover his claim for damages based on any counterclaims (compulsory or permissive) or whatever relief he
may have sought in his answer (answer with affirmative defenses, permissive and compulsory counterclaims, and other
relief). You will note that in Rule 16, the dismissal will not affect any counterclaim or cross-claim or any other claim
submitted by the defendant in his answer. The defendant cannot file a Motion to Dismiss with a counterclaim or cross-claim
or any other claim submitted by the defendant before the court. A motion to dismiss is not a pleading. It is only in an
answer where we can have a cross-claim against a co-defendant or counterclaim against the plaintiff.
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.
TIJAM vs. SIBONGHANOY Digest
January 08, 1963 5 days after the surety received notice of the decision, it filed a motion asking for
extension of time within which to file a motion for reconsideration. Appellees action was filed in the
Court of First Instance of Cebu, July 19, 1948 for the recovery of 1,908.00 Pesos.
RA 296, Judiciary Act 1948 Section 88 of which placed within the jurisdiction of MTC all civil actions
where the value of the subject matter or the amount of demand does not go beyond 2,000 Pesos,
exclusive of interest and costs that the Court of First Instance of Cebu has no Jurisdiction.
The Court is in Opinion that Surety is now barred by laches from invoking the plea at this late hour for the
purpose of annulling everything done heretofore in the case with its active participation.
Definition of Laches:
Failure of neglect, for an unreasonable and unexplained length of time, to do that which, by exercising
due diligence, could or should have been earlier, it is negligence or commission to assert a right within a
reasonable time, warranting a presumption that the party entitle to assert it has abandoned it or declines
to assert it.
Tijam vs. Sibonghanoy
In this case, the trial court did not have jurisdiction over the subject matter of the case, but the defendant kept silent about
the issue of absence of jurisdiction, and allowed the case to proceed up to the CA. Upon receipt of the adverse decision in
the CA, the appellee challenged the validity of the decision of the RTC and the CA, stating that the court had lacked
jurisdiction from the start. SC held that there was estoppel by laches. The case has been pending for 15 years up to the
appeal, the defendant appearing in the case for all those years. SC said that although the decision may be challenged by
lack of jurisdiction over the subject matter even for the first time on appeal, the defendant is guilty of estoppel by laches,
by his negligence to raise this issue as promptly as possible. He can no longer challenge the decision of the court.
In Rule 9, there is no exception at all to non-waivable defenses, including lack of jurisdiction over the subject matter.
In Rule 47 (Annulment of Judgment), the Tijam Doctrine was incorporated therein. Lack of jurisdiction over the subject
matter is excepted by estoppel by laches as a defense.
Rule 47 SEC. 3. Period for filing action.If based on extrinsic fraud, the action must be filed within four
(4) years from its discovery; and if based on lack of jurisdiction, before it is barred by laches or estoppel.
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.
Soliven vs. Fast Forms 2004(Estoppel in pais is a good defense although there is lack of jurisdiction over the subject matter)
The aggregate sum to be recovered was 800k. A complaint for collection of money was filed in the RTC. The amount to be
actually collected was less than the jurisdictional amount of the RTC based on BP 129 (exclude interest, damages, cost and
Attorneys fees). There was an answer by defendant with a counterclaim. The court, unaware it lacked jurisdiction over the
case, as nobody brought it up. The court rendered a judgment in favor of the plaintiff. The counsel for the defendant found
that the court had no jurisdiction. The defendant filed motion for reconsideration and raised lack of jurisdiction, praying for
dismissal of the case. RTC denied the motion, as the defendant was in estoppel to challenge the courts jurisdiction just
because an adverse result was had. It reached the SC. SC held that the defendant cannot challenge any more the
jurisdiction of the court. SC stated that there is estoppel in pais, the act of the defendant in actively participating in the case
and seeking affirmative relief via a counterclaim renders defendant in estoppel to contest the jurisdiction of the RTC,
although the court may not really have jurisdiction over the subject matter.
Facts: Marie Antoinette R. Soliven, petitioner, filed a complaint for sum of money with damages against
Fast-Forms Philippines, Inc., respondent. The complaint alleges that respondent, through its president Dr.
Eduardo Escobar, obtained a loan from petitioner in the amount of PhP 170,000.00 payable within a
period of 21 days, with an interest of 3%. On the same day, respondent issued a post-dated check in favor
of petitioner in the amount of PhP 175,000.00. About three weeks later, respondent, through Dr. Escobar,
advised petitioner not to deposit the postdated check as the account from where it was drawn has
insufficient funds. Instead, respondent proposed to petitioner that the PhP 175,000.00 be rolled-over,
with a monthly interest of 5% which petitioner agreed. Subsequently, respondent issued several checks in
the total of PhP 76,250.00 in favor of petitioner as payment for interests corresponding to the months of
June, August, September, October and December. Later, despite petitioners repeated demands,
respondent refused to pay its principal obligation and interests due.
Respondent, in its answer with counterclaim, denied that it obtained a loan from petitioner, and that it
did not authorize its then president, Dr. Eduardo Escobar, to secure any loan from petitioner or issue
various checks as payment for interests.
After trial on the merits, the court a quo rendered a decision in favor of petitioner.
Respondent then filed a motion for reconsideration questioning for the first time the trial courts
jurisdiction. It alleged that since the amount of petitioners principal demand (PhP 195,155.00) does not
exceed PhP 200,000.00, the complaint should have been filed with the MTC pursuant to R.A. 7691.
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.
Is the Soliven case applicable to criminal cases?
No.
Figueroa vs. People 2009
The accused was arraigned for reckless imprudence resulting to homicide. This was filed in the RTC instead of MTC. The
prosecutor was not aware of the RTCs lack of jurisdiction. The counsel of the accused also assumed the same. Nobody
raised the issue of jurisdiction in the RTC, so the case went on. Trial was had, where both parties presented their respective
evidence. The accused was found guilty. On appeal, the accused interposed the defense of lack of jurisdiction. The solicitor
general cited Soliven vs. Fast Forms as defense. Active participation means that the litigant is in estoppel from challenging
the validity of the proceedings. The CA agreed with the solicitor general.
SC held that the judgment is void as estoppel in pais is inapplicable in a criminal case. Lack of jurisdiction in a criminal
case can be cited as a defense even on appeal. The rights of the accused being at stake, estoppel in pais is inapplicable.
When is a litigant estopped by laches from assailing the jurisdiction of a tribunal? This is the paramount
issue raised in this petition for review of the February 28, 2001 Decision of the Court of Appeals (CA) in
CA-G.R. CR No. 22697.
*******
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 appellate court, however, in the challenged decision, considered the petitioner to have actively
participated in the trial and to have belatedly attacked the jurisdiction of the RTC; thus, he was already
estopped by laches from asserting the trial courts lack of jurisdiction. Finding no other ground to reverse
the trial courts decision, the CA affirmed the petitioners conviction but modified the penalty imposed
and the damages awarded.
**********
The ruling in People v. Regalario that was based on the landmark doctrine enunciated in Tijam v.
Sibonghanoy on the matter of jurisdiction by estoppel is the exception rather than the rule. Estoppel by
laches may be invoked to bar the issue of lack of jurisdiction only in cases in which the factual milieu is
analogous to that in the cited case. In such controversies, laches should have been clearly present; that
is, lack of jurisdiction must have been raised so belatedly as to warrant the presumption that the party
entitled to assert it had abandoned or declined to assert it.
In Sibonghanoy, the defense of lack of jurisdiction was raised for the first time in a motion to dismiss filed
by the Surety almost 15 years after the questioned ruling had been rendered. At several stages of the
proceedings, in the court a quo as well as in the Court of Appeals, the Surety invoked the jurisdiction of
the said courts to obtain affirmative relief and submitted its case for final adjudication on the merits. It
was only when the adverse decision was rendered by the Court of Appeals that it finally woke up to raise
the question of jurisdiction.
Clearly, the factual settings attendant in Sibonghanoy are not present in the case at bar. Petitioner Atty.
Regalado, after the receipt of the Court of Appeals resolution finding her guilty of contempt, promptly
filed a Motion for Reconsideration assailing the said courts jurisdiction based on procedural infirmity in
initiating the action. Her compliance with the appellate courts directive to show cause why she should
not be cited for contempt and filing a single piece of pleading to that effect could not be considered as
an active participation in the judicial proceedings so as to take the case within the milieu of
Sibonghanoy. Rather, it is the natural fear to disobey the mandate of the court that could lead to dire
consequences that impelled her to comply.
The Court, thus, wavered on when to apply the exceptional circumstance in Sibonghanoy and on when to
apply the general rule enunciated as early as in De La Santa and expounded at length in Calimlim. The
general rule should, however, be, as it has always been, that the issue of jurisdiction may be raised at any
stage of the proceedings, even on appeal, and is not lost by waiver or by estoppel. Estoppel by laches, to
bar a litigant from asserting the courts absence or lack of jurisdiction, only supervenes in exceptional
cases similar to the factual milieu of Tijam v. Sibonghanoy. Indeed, the fact that a person attempts to
invoke unauthorized jurisdiction of a court does not estop him from thereafter challenging its
jurisdiction over the subject matter, since such jurisdiction must arise by law and not by mere consent
of the parties. This is especially true where the person seeking to invoke unauthorized jurisdiction of
the court does not thereby secure any advantage or the adverse party does not suffer any harm.
Applying the said doctrine to the instant case, the petitioner is in no way estopped by laches in assailing
the jurisdiction of the RTC, considering that he raised the lack thereof in his appeal before the appellate
court. At that time, no considerable period had yet elapsed for laches to attach. True, delay alone,
though unreasonable, will not sustain the defense of "estoppel by laches" unless it further appears that
the party, knowing his rights, has not sought to enforce them until the condition of the party pleading
laches has in good faith become so changed that he cannot be restored to his former state, if the rights
be then enforced, due to loss of evidence, change of title, intervention of equities, and other causes. In
applying the principle of estoppel by laches in the exceptional case of Sibonghanoy, the Court therein
considered the patent and revolting inequity and unfairness of having the judgment creditors go up their
Calvary once more after more or less 15 years. The same, however, does not obtain in the instant case.
We note at this point that estoppel, being in the nature of a forfeiture, is not favored by law. It is to be
applied rarelyonly from necessity, and only in extraordinary circumstances. The doctrine must be
applied with great care and the equity must be strong in its favor. When misapplied, the doctrine of
estoppel may be a most effective weapon for the accomplishment of injustice. Moreover, a judgment
rendered without jurisdiction over the subject matter is void. Hence, the Revised Rules of Court
provides for remedies in attacking judgments rendered by courts or tribunals that have no jurisdiction
over the concerned cases. No laches will even attach when the judgment is null and void for want of
jurisdiction. As we have stated in Heirs of Julian Dela Cruz and Leonora Talaro v. Heirs of Alberto Cruz,
It is axiomatic that the jurisdiction of a tribunal, including a quasi-judicial officer or
government agency, over the nature and subject matter of a petition or complaint is
determined by the material allegations therein and the character of the relief prayed
for, irrespective of whether the petitioner or complainant is entitled to any or all such
reliefs. Jurisdiction over the nature and subject matter of an action is conferred by the
Constitution and the law, and not by the consent or waiver of the parties where the
court otherwise would have no jurisdiction over the nature or subject matter of the
action. Nor can it be acquired through, or waived by, any act or omission of the parties.
Moreover, estoppel does not apply to confer jurisdiction to a tribunal that has none
over the cause of action. x x x
Indeed, the jurisdiction of the court or tribunal is not affected by the defenses or theories set up by the
defendant or respondent in his answer or motion to dismiss. Jurisdiction should be determined by
considering not only the status or the relationship of the parties but also the nature of the issues or
questions that is the subject of the controversy. x x x x The proceedings before a court or tribunal
without jurisdiction, including its decision, are null and void, hence, susceptible to direct and collateral
attacks.
Note from Dean Jara:
If you are confronted with a problem on lack of jurisdiction in a civil case, apply Soliven case. If it is a criminal case, adopt
Figueroa.
NAPOCOR vs. Province of Quezon 2010 reiterated the validity of Soliven in civil cases.
The NPC is estopped from
questioning the CBAAs jurisdiction
The assailed CTA en banc decision brushed aside the NPCs sin perjuicio arguments by declaring
that:
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.
However, on appeal before the CBAA, [NPC] assigned several errors, both in fact and in law,
pertaining to the LBAAs decision. Thus, petitioner is bound by the appellate jurisdiction of the CBAA
under the principle of equitable estoppel. In this regard, [NPC] is in no position to question the
appellate jurisdiction of the CBAA as it is the same party which sought its jurisdiction and participated
in the proceedings therein. [Emphasis supplied.]
We agree that the NPC can no longer divest the CBAA of the power to decide the appeal after
invoking and submitting itself to the boards jurisdiction. We note that even the NPC itself found
nothing objectionable in the LBAAs sin perjuicio decision when it filed its appeal before the CBAA; the
NPC did not cite this ground as basis for its appeal. What it cited were grounds that went into the merits
of its case. In fact, its appeal contained no prayer for the remand of the case to the LBAA.
A basic jurisdictional rule, essentially based on fairness, is that a party cannot invoke a courts
jurisdiction to secure affirmative relief and, after failing to obtain the requested relief, repudiate or
question that same jurisdiction. Moreover, a remand would be unnecessary, as we find the CBAAs and
the CTA en bancs denial of NPCs claims entirely in accord with the law and with jurisprudence.
The defendant has a problem when a court issues a service of summons in violation of Rule 14. The defendant must file a
Motion to Dismiss on ground of lack of jurisdiction over person of the defendant. If he does file such motion, does not
the defendant admit that the court has jurisdiction over his person?
No. The filing of a motion to dismiss on that ground is the only remedy available to him to tell the court that the court had
not acquired jurisdiction over his person. In court cases, what the defendant can do is to tell that court right away that his
appearance before the court in filing the motion to dismiss should be considered as a special appearance only for the
purpose of telling the court that the court has no jurisdiction over his person.
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.
FAILURE TO STATE A CAUSE OF ACTION
SC in recent cases has emphasize the difference of lack of a cause of action and failure to state a cause of action:
Failure to state cause of action
Lack of cause of action
Insufficiency in the allegations of the complaint
Failure to prove or establish by evidence ones stated cause
of action
As a ground for dismissal
Raised in a motion to dismiss under Rule 16 before a
Raised in a demurrer to evidence under Rule 33 after the
responsive pleading is filed
plaintiff has rested his case
Determination
Determined only from the allegations of the pleading and
Resolved only on the basis of the evidence he has presented
not from evidentiary matters
in support of his claim
Failure to state a cause of action will be a ground to dismiss because of immaturity. It assumes that the plaintiff really has a
cause of action, and the fault will be due to the lawyer who crafted the complaint.
If there is an accion reinvindicatoria filed in the RTC, but there is no stated assessed value of the property involved, then
the defendant may file motion to dismiss for lack of jurisdiction for failure to state a cause of action. A hearing was had.
The plaintiffs attorney failed to see what the motion was about. The court will resolve the motion purely on the
allegations in the complaint. (There is no need to present evidence in this case, as no factual matter is in issue.) The court
granted the motion. The plaintiffs lawyer received the order of dismissal, and then he finally understood what was
wrong with his complaint. Can the lawyer for the plaintiff amend his complaint?
Yes. The plaintiff can still amend his complaint in order to incorporate the allegation the assessed value of the property.
This is because the order of dismissal will not be entered until after the lapse of 15 days, and the plaintiff can still amend
and rectify the error committed by inserting the assessed value of the property. He can do so as a matter of right,
because, according to SC, a motion to dismiss is not a responsive pleading, and as long as the amendment is the first
amendment, under Rule 10, it is an amendment is a matter of right. The defendant will have to file an answer to the
amended complaint.
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.
Based on the above problem, if the dismissal became final and executory, what can the plaintiff do?
Under Sec. 5 Rule 16, the rule makes a distinction of an Order of Dismissal under Rule 16 under letters f, h and i (in addition
to laches under the NCC) compared to other grounds, the dismissal is subject to the right of appeal. The remedy of the
plaintiff is to appeal the order of dismissal.
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.
Rule 16, SECTION 1. Grounds.Within the time for but before filing the answer to the complaint or
pleading asserting a claim, a motion to dismiss may be made on any of the following grounds:
(a) That the court has no jurisdiction over the person of the defending party;
(b) That the court has no jurisdiction over the subject matter of the claim;
(c) That venue is improperly laid;
(d) That the plaintiff has no legal capacity to sue;
(e) That there is another action pending between the same parties for the same cause;
(f) That the cause of action is barred by a prior judgment or by the statute of limitations;
(g) That the pleading asserting the claim states no cause of action;
(h) That the claim or demand set forth in the plaintiffs pleading has been paid, waived,
abandoned, or otherwise extinguished;
(i) That the claim on which the action is founded is unenforceable under the provisions of the
statute of frauds; and
(j) That a condition precedent for filing the claim has not been complied with.
SEC. 5. Effect of dismissal.Subject to the right of appeal, an order granting a motion to dismiss based on
paragraphs (f), (h) and (i) of section 1 hereof shall bar the refiling of the same action or claim.
Grounds recognized under the law that will render dismissal with prejudice under Sec. 5, Rule 16:
Rule 16, f. Res judicata/statute of limitations
Rule 16, h. paid, waived, abandoned, or otherwise extinguished
Rule 16, i. unenforceable under statute of frauds
(NCC) laches (Should be included here. Dean Jara)
In analyzing Rule 16, 17, 18 and 33, we should always read these Rules in relation with Section 1 of Rule 41.
Rule 41, SECTION 1. Subject of appeal.An appeal may be taken from a judgment or final order that
completely disposes of the case, or of a particular matter therein when declared by these Rules to be
appealable.
No appeal may be taken from:
(a) An order denying a motion for new trial or reconsideration;
(b) An order denying a petition for relief or any similar motion seeking relief from judgment;
(c) An interlocutory order;
(d) An order disallowing or dismissing an appeal;
(e) 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.
(f) An order of execution;
(g) A judgment or final order for or against one or more of several parties or in separate claims,
counterclaims, cross-claims and third-party complaints, while the main case is pending, unless the
court allows an appeal therefrom; and
(h) An order dismissing an action without prejudice.
(i) Laches and any other means recognized under the NCC (Dean Jara)
In all the above instances where the judgment or final order is not appealable, the aggrieved party may
file an appropriate special civil action under Rule 65.
Why is it necessary to relate a motion to dismiss under Rule 16 with Rule 41, which is a rule on appeal?
If you read Section 1 of Rule 41, there is an enumeration of orders where no appeal can be had, although they are
final in character.
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.
Why do we allow the plaintiff to file a petition under Rule 65 challenging the dismissal of his complaint for lack of
jurisdiction, although the order of dismissal has already been entered after the lapse of 15 day period?
Because under Rule 65, the period for filing the petition under this rule is 60 days, not 15 days. So if the 15-day period for
entry of judgment has lapsed, the plaintiff has 45 days more to file a petition under Rule 65.
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.
If we compare this dismissal under Rule 16 based on lack of jurisdiction on the ground of f, h and i, we can understand why
they are not appealable. The order of dismissal based on these items will be a judgment on the merits. If the claim of the
plaintiff alleged in the complaint has really been paid, waived, abandoned or otherwise extinguished as provided in the
NCC, then it would seem that he really has no claim at all with the defendant, and thus the complaint is dismissed with
prejudice. If the allegation of the defendant is that the claim has been paid, waived, abandoned or otherwise extinguished,
that motion presents a factual issue. During the hearing of that motion, the defendant will be given an opportunity to prove
that the claim has really been paid, waived, abandoned or otherwise extinguished. The hearing will be as if the court was
actually trying the case, the defendant being allowed to present witnesses, or present evidence of his allegation that the
claim has been paid, waived, abandoned or otherwise extinguished based on grounds recognized under substantive
law(enumerated in the NCC).
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.
Remember that procedurally, in a hearing on a motion to dismiss based on a question of law to a motion to dismiss
founded on factual issue. If founded on a legal issue, the court will not allow presentation of evidence. The court will simply
read the allegations in the complaint. If the issue is factual, the court will be forced to conduct a hearing for presentation of
evidence therein.
Let us say that the defendants motion is founded on letter h. During the hearing, the defendant presents evidence.
Then, the motion was submitted for resolution. The court denies the motion. What is the next move for the defendant if
the motion is denied?
The defendant should file an answer during the remaining period to file, which should not be less than 5 days from the
receipt of the order of denial.
The defendant files an answer. Can he incorporate the ground in the motion to dismiss that was denied as an affirmative
defense?
Yes, the defendant is allowed to do that. Under our rules, if there are objections or grounds not raised in the PLEADINGS,
these grounds are deemed waived.
Can the defendant, after filing his answer with his affirmative defense move for a preliminary hearing on his affirmative
defense?
No, the court will not allow such a hearing anymore as there had been a prior hearing for the same issue in the prior motion
to dismiss that was denied. Thus, although a defendant is allowed to use his ground under Rule 16 in a motion to dismiss
that was denied as an affirmative defense, he is not allowed to have another preliminary hearing as the said defenses had
been already subject to a hearing when the said defenses were contained as a ground for dismissal in the prior motion that
was denied.
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.
SC held that the court should confirm the notice of dismissal by the plaintiff. The plaintiffs notice of dismissal prevails over
the motion to dismiss filed by defendant.
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.
When can second dismissal is without prejudice under Section 1 Rule 17?
There can be two situations where dismissal under Section 1 Rule 17 is without prejudice?
1.If the first case was filed in a court which lacked jurisdiction thereto, then the 2nd one was filed in the competent court
and there was a 2nd dismissal, the 2nd dismissal is not res judicata. The two-dismissal rule will be considered if the case had
been filed in a court competent to hear it.
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 defendant, however, is given under Section 2 a chance to object. The defendant can insist that the dismissal be one
with prejudice. This is allowed as the dismissal is upon the initiative of the plaintiff, and the defendant is given the
opportunity to object. If you were the defendants counsel, advise the defendant to object, and state that the dismissal
should be one with prejudice. (I have no opposition to the dismissal initiated by the plaintiff, as long as the dismissal is with
prejudice.) If that is the tenor of the dismissal, that is res judicata. It will preclude the plaintiff from filing another case with
the same claims against the same defendant.
What if the defendant has a compulsory counterclaim?
There can be a dismissal, but defendant can ask that the court should continue hearing on the counterclaim set up by
defendant in his answer. In the alternative, the defendant can ask the court to try the compulsory counterclaim in a
separate case. This is one of the rare instances wherein a compulsory counterclaim could survive without the principal
action.
The general rule is that if the complaint is dismissed, the compulsory counterclaim is also dismissed. But not in Section 2
Rule 17. The complaint could be dismissed, but the compulsory counterclaim could survive. In fact the survival of the
compulsory counterclaim can even be threshed out in a separate complaint, wherein there can be another complaint filed
by the former defendant against the former plaintiff. But this will be an independent action.
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.
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.
Shimizu vs. Magsalin 2008 revolutionary decision concerning dismissals with prejudice under Section 17
Order of dismissal with prejudice should comply with Rule 36 and the Constitution. Otherwise, it shall be open to
collateral and direct attack. (A trial court should always specify the reasons for a complaints dismissal so that on appeal,
the reviewing court can readily determine the prima facie justification for the dismissal)
The Dismissal Order is Void
The nullity of the dismissal order is patent on its face. It simply states its conclusion that the case
should be dismissed for non prosequitur, a legal conclusion, but does not state the facts on which this
conclusion is based.
Dismissals of actions for failure of the plaintiff to prosecute is authorized under Section 3, Rule 17 of
the Rules of Court. A plain examination of the December 16, 2003 dismissal order shows that it is an
unqualified order and, as such, is deemed to be a dismissal with prejudice. Dismissals of actions (under
Section 3) which do not expressly state whether they are with or without prejudice are held to be with
prejudice*.+ As a prejudicial dismissal, the December 16, 2003 dismissal order is also deemed to be a
judgment on the merits so that the petitioners complaint in Civil Case No. 02-488 can no longer be refiled
on the principle of res judicata. Procedurally, when a complaint is dismissed for failure to prosecute and
the dismissal is unqualified, the dismissal has the effect of an adjudication on the merits.
As an adjudication on the merits, it is imperative that the dismissal order conform with Section 1,
Rule 36 of the Rules of Court on the writing of valid judgments and final orders. The rule states:
RULE 36
Judgments, Final Orders and Entry Thereof
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.
Sanctions for failure to attend pre-trial conference or to file brief:
Plaintiff = dismissal of complaint with prejudice;
Defendant = plaintiff is allowed to present his evidence ex parte.
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.
EX-PARTE PRESENTATION OF EVIDENCE UNDER RULE 18 VS. EX PARTE EVIDENCE UNDER RULE 9
Ex Parte Evidence under Rule 18 Defendant has filed an answer but fails to submit pre-trial brief or did not attend pretrial conference, plaintiff can be ordered to present evidence ex parte, court will make an award according with the
evidence presented by plaintiff (application of amendment to pleadings in order to conform to evidence).
Ex Parte Evidence under Rule 9 Defendant is in default, ex parte evidence can be presented, and the court will only award
those reliefs prayed for in the complaint.
Note: Amendment of pleading to conform to evidence is not applied in an ex-parte presentation of evidence under Rule 9
when the defendant is in default.
Rules applicable to pre-trial conference in a civil vs. criminal case = usual Bar Q source
Effect of pre-trial in civil case and criminal case about stipulations of facts.
Civil case stipulations of facts can be had; joint stipulation of facts can be had; in pre-trial conferences, parties are
encouraged to agree on existence of certain facts, making them part of the records of the case; Verbal stipulations of
facts can be allowed and considered valid. These stipulations need not be presented in evidence, as the court will take
judicial notice of these stipulations, and will be considered as judicial admissions.
Criminal case stipulation of facts should be reduced into writing, signed by the counsel of the accused and accused
himself, and approved in court. Otherwise, it will be inadmissible in court.
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.
This is allowed in civil cases only. It is inapplicable in a criminal case.
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.
Why do we allow the plaintiff to present evidence on an issue not raised in the pre-trial order, about his entitlement to
recover from the defendant the amount of 1M?
This is because of the rule of amendment to conform to evidence. In a civil case, we can jump from one issue to another so
long as parties agree. The issue in the pre-trial order could be different from that raised in the pleadings, and even issue
tried during trial could be different from that raised in the pre-trial order. The parties are given much flexibility and
allowance in a civil case to present evidence on any issue they so desire. The only limitation is that the other party might
object to evidence presented that is not related to the issue found in the pre-trial order, that the evidence is irrelevant and
immaterial. If evidence is allowed, the court shall issue judgment based on evidence presented, based on the rule of
amendment to conform to evidence.
timely appeal and not assailable by a special civil action of certiorari. Even if we overlook the
employment of the wrong remedy in the broader interests of justice, the petition would nevertheless
be dismissed for failure of Gonzalez to show grave abuse of discretion.
***
Thus, we held in Manila Electric Co. v. Pasay Transportation Co. that a submission to arbitration is a
contract. A clause in a contract providing that all matters in dispute between the parties shall be referred
to arbitration is a contract, and in Del Monte Corporation-USA v. Court of Appeals that *t+he provision to
submit to arbitration any dispute arising therefrom and the relationship of the parties is part of that
contract and is itself a contract. As a rule, contracts are respected as the law between the contracting
parties and produce effect as between them, their assigns and heirs.
The special proceeding under Sec. 6 of R.A. No. 876 recognizes the contractual nature of arbitration
clauses or agreements. It provides:
SEC. 6. Hearing by court.A party aggrieved by the failure, neglect or refusal of another
to perform under an agreement in writing providing for arbitration may petition the
court for an order directing that such arbitration proceed in the manner provided for in
such agreement. Five days notice in writing of the hearing of such application shall be
served either personally or by registered mail upon the party in default. The court shall
hear the parties, and upon being satisfied that the making of the agreement or such
failure to comply therewith is not in issue, shall make an order directing the parties to
proceed to arbitration in accordance with the terms of the agreement. If the making of
the agreement or default be in issue the court shall proceed to summarily hear such
issue. If the finding be that no agreement in writing providing for arbitration was
made, or that there is no default in the proceeding thereunder, the proceeding shall be
dismissed. If the finding be that a written provision for arbitration was made and there
is a default in proceeding thereunder, an order shall be made summarily directing the
parties to proceed with the arbitration in accordance with the terms thereof.
The court shall decide all motions, petitions or applications filed under the provisions of
this Act, within ten days after such motions, petitions, or applications have been heard
by it. [Emphasis added.]
***
Implicit in the summary nature of the judicial proceedings is the separable or independent
character of the arbitration clause or agreement. This was highlighted in the cases of Manila Electric Co.
v. Pasay Trans. Co. and Del Monte Corporation-USA v. Court of Appeals.
The doctrine of separability, or severability as other writers call it, enunciates that an
arbitration agreement is independent of the main contract. The arbitration agreement is to be treated
as a separate agreement and the arbitration agreement does not automatically terminate when the
contract of which it is part comes to an end.
The separability of the arbitration agreement is especially significant to the determination of
whether the invalidity of the main contract also nullifies the arbitration clause. Indeed, the doctrine
denotes that the invalidity of the main contract, also referred to as the container contract,
does not affect the validity of the arbitration agreement. Irrespective of the fact that the main contract
is invalid, the arbitration clause/agreement still remains valid and enforceable.
The separability of the arbitration clause is confirmed in Art. 16(1) of the UNCITRAL Model Law
and Art. 21(2) of the UNCITRAL Arbitration Rules.
The separability doctrine was dwelt upon at length in the U.S. case of Prima Paint Corp. v. Flood & Conklin
Manufacturing Co. In that case, Prima Paint and Flood and Conklin (F & C) entered into a consulting
agreement whereby F & C undertook to act as consultant to Prima Paint for six years, sold to Prima Paint a
list of its customers and promised not to sell paint to these customers during the same period. XXX
XXX The parties should be ordered to arbitration if, and only if, they have contracted to submit to
arbitration. Prima Paint was not entitled to trial on the question of whether an arbitration agreement
was made because its allegations of fraudulent inducement were not directed to the arbitration clause
itself, but only to the consulting agreement which contained the arbitration agreement. Prima Paint
held that arbitration clauses are separable from the contracts in which they are embedded, and that
where no claim is made that fraud was directed to the arbitration clause itself, a broad arbitration
clause will be held to encompass arbitration of the claim that the contract itself was induced by fraud.
There is reason, therefore, to rule against Gonzales when he alleges that Judge Pimentel acted with grave
abuse of discretion in ordering the parties to proceed with arbitration. Gonzaless argument that the
Addendum Contract is null and void and, therefore the arbitration clause therein is void as well, is not
tenable. First, the proceeding in a petition for arbitration under R.A. No. 876 is limited only to the
resolution of the question of whether the arbitration agreement exists. Second, the separability of the
arbitration clause from the Addendum Contract means that validity or invalidity of the Addendum
Contract will not affect the enforceability of the agreement to arbitrate. Thus, Gonzaless petition for
certiorari should be dismissed.
On the issue of the scope of judicial review, the Supreme Court disagreed with the Court of Appeals
position that an aggrieved party cannot seek recourse against an arbitral award directly with the Court
of Appeals.
According to the Supreme Court, a party aggrieved by an arbitral award has three (3) remedies, to wit:
(a) a petition in the proper trial court to issue an order to vacate the award under Republic Act No. 876
(which applies to domestic arbitration); (b) a petition for review with the Court of Appeals under Rule
43 of the Rules of Court on questions of fact, of law, or mixed questions of fact and law; and (c) a
petition for certiorari with the Court of Appeals under Rule 65 of the Rules of Court if the arbitrator
acted without or in excess of his jurisdiction or with grave abuse of discretion amounting to lack or
excess of jurisdiction.
Section 24 of R.A. No. 876
The grounds to vacate under Section 24 are:
(a) The award was procured by corruption, fraud, or other undue means; or
(b) That there was evident partiality or corruption in the arbitrators or any of them; or
(c) That the arbitrators were guilty of misconduct in refusing to postpone the hearing upon sufficient
cause shown, or in refusing to hear evidence pertinent and material to the controversy; that one or more
of the arbitrators was disqualified to act as such under section nine hereof, and willfully refrained from
disclosing such disqualifications or of any other misbehavior by which the rights of any party have been
materially prejudiced; or
(d) That the arbitrators exceeded their powers, or so imperfectly executed them, that a mutual, final and
definite award upon the subject matter submitted to them was not made.
Rule 43
The Supreme Court noted that Rule 43 of the Rules of Court expressly applies to awards, judgments, final
orders or resolutions of quasi-judicial agencies, including voluntary arbitrators authorized by law.
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.
It should be noted that the Philippine Alternative Dispute Resolution Act of 2004 (ADR Law) adopted
and incorporated the provisions of the UNCITRAL Model Law on International Commercial Arbitration
(Model Law), which limits recourse against an international arbitral award only to the grounds specified
under Section 34 of the Model Law (e.g., incapacity of a party to the arbitration agreement or the
invalidity of the arbitration agreement under the applicable law). Neither the Model Law, nor the New
York Convention on the Recognition and Enforcement of Foreign Arbitral Awards, to which the Philippines
acceded in 1967, recognize the setting aside of international/foreign on the broader grounds of errors of
law and/or fact or grave abuse of discretion.
Notably, the ruling in ABS-CBN treated the case as a domestic arbitration even though one of the
parties, i.e., WINS, was a Japanese corporation and a substantial portion of the obligation, i.e., the
distribution and sublicensing of the The Filipino Channel, was performed in Japan. Perhaps this may
be explained by the fact that the arbitral award in this case was rendered prior to the enactment of the
ADR Law. It was only under the ADR Law that a distinction was made between domestic arbitration and
international arbitration. Under the ADR Law, international arbitration shall be governed by the Model
Law, while domestic arbitration shall be governed by R.A. No, 876. The ADR Law adopts the definition
of international arbitration under Article 1(3) of the Model Law. Domestic arbitration, on the other
hand, defines domestic arbitration as arbitration that is not international.
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 there is a judgment by a court that the container contract is unenforceable, that will not affect the arbitration clause as
it is a separate contract by itself. This clause will still govern the relationship of parties concerning the filing of cases in
court or arbitration board as the case may be.
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 AntiSuit 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.
The Special ADR Rules recognize the principle of competence-competence, which means that the
arbitral tribunal may initially rule on its own jurisdiction, including any objections with respect to the
existence or validity of the arbitration agreement or any condition precedent to the filing of a request
for arbitration. A.M. No. 07-11-08-SC Special Rules on ADR
Restatement of the Rule:
Before the arbitral tribunal is constituted, the regular courts have jurisdiction to determine the issue of competence of a
tribunal. The moment the arbitral tribunal is constituted, the arbitral tribunal has jurisdiction.
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.
Competence-competence means that the arbitral body has the authority to rule on the issue as to whether or not it has
jurisdiction over the case and the enforceability and validity of its decisions. IT IS NOT EXCLUSIVELY GIVEN TO A COURT.
There could be a situation that an RTC will declare that the arbitration clause is unenforceable, but the arbitration board
declared such clause enforceable, the decision of the board will prevail.
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.)
What about the after-after ruling?
The same issue may be passed upon in an action to vacate or set aside the arbitral award (Rule 3.11) In this case, it is no
longer a prima facie determination of such issue or issues, but shall be a FULL REVIEW of such issue or issues with due
regard, however, to the standard of review for arbitral awards.
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.
Principle of Judicial Restraint there should be least intervention by courts of courts of justice insofar as arbitration
proceedings are concerned. So, if there is an ongoing arbitration, or even if there is a pending case there is a right to
compel one of the parties to submit to arbitration, the court should not interfere in the constitution of the arbitral board.
The reasoning behind is that when the parties crafted the arbitration clause, there is an implicit understanding between the
parties is that an arbitral board, and not a court of justice, should resolve their dispute. The court deems this as a valid
contract as it is the policy is to give autonomy to the parties in choosing the manner to adjudicate their disputes. They do
not need to go to a court of justice. They can go to an arbitration body, which is a faster and practical means of settling
their disputes.
Rule 2.4. Policy implementing competence-competence principle.The arbitral tribunal shall be accorded
the first opportunity or competence to rule on the issue of whether or not it has the competence or
jurisdiction to decide a dispute submitted to it for decision, including any objection with respect to the
existence or validity of the arbitration agreement. When a court is asked to rule upon issue/s affecting
the competence or jurisdiction of an arbitral tribunal in a dispute brought before it, either before or
after the arbitral tribunal is constituted, the court must exercise judicial restraint and defer to the
competence or jurisdiction of the arbitral tribunal by allowing the arbitral tribunal the first opportunity
to rule upon such issues.
Where the court is asked to make a determination of whether the arbitration agreement is null and
void, inoperative or incapable of being performed, under this policy of judicial restraint, the court must
make no more than a prima facie determination of that issue.
Unless the court, pursuant to such prima facie determination, concludes that the arbitration agreement
is null and void, inoperative or incapable of being performed, the court must suspend the action before
it and refer the parties to arbitration pursuant to the arbitration agreement.
A.M. No. 07-11-08-SC Special Rules on ADR
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.
Grounds for justifying a court of justice in issuing an order to vacate the award:
1. arbitrator engages in corrupt practices
2. arbitrator resolved issues not brought before him
3. arbitrator exceeded his authority
4. failure to disclose his relationship to one of the parties within 6 degrees.
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.
With respect to International Commercial Arbitration, which can be held in RP or outside. A foreign arbitral award will be
treated like a domestic arbitral award, not a foreign award. It is not considered a judgment rendered in a court of justice.
Even if confirmed by a foreign court, the prevailing party must petition for the recognition of the award in the RTC. It can be
enforced in RP by filing in RTC for a petition of recognition and enforcement of the arbitral award. Its execution will fall
under RTC jurisdiction, under Rule 39. The last section of Rule 39 talks about the judgment rendered by the foreign court.
Rule 39, SEC. 48. Effect of foreign judgments or final orders.The effect of a judgment or final order of a
tribunal of a foreign country, having jurisdiction to render the judgment or final order, is as follows:
(a) In case of a judgment or final order upon a specific thing, the judgment or final order is conclusive
upon the title of the thing; and
(b) In case of a judgment or final order against a person, the judgment or final order is presumptive
evidence of a right as between the parties and their successors in interest by a subsequent title.
In either case, the judgment or final order may be repelled by evidence of a want of jurisdiction, want of
notice to the party, collusion, fraud, or clear mistake of law or fact.
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).
Read the SC Circular and the cases.
Intervention
4 kinds of intervention expressly recognized by the court:
1. Intervention upon courts discretion
Rule 19 intervention upon courts discretion; a stranger to a case voluntarily introduces himself as a party, but must seek
court permission to do so via Motion for Intervention.
Motion for intervention should show:
1. intervenor had direct interest, or
2. he has a grievance against both parties in the pending case, or
3. he wants to side with one of the parties, or
4. is situated in a very unfortunate position wherein the judgment of the court could adversely affect his properties.
In this situation, intervention is not a matter of right as he is required to file a motion subject to the courts decision. In the
resolution of the motion, the court has the discretion to grant or deny the motion. If the motion is denied, the intervenor
can file a separate case against any one, or both, parties. If his case is already filed, he can seek to have the cases
consolidated, in the instance that consolidation is proper. If there is a consolidation, then the intervenors desire is also
satisfied, as he can no participate in the proceedings.
If motion is granted, intervenor is required to file a pleading (either a complaint- or an answer-in intervention).
Complaint-in-intervention filed if the intervenor either wants to side with the complainant or is filing a complaint against
both complainant and defendant in the main complaint.
Answer-in-intervention filed if the intervenor wants to side with the defendant.
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.).
Do we recognize a motion to intervene as a matter of right on the part of the intervenor, wherein the intervenor can
insist or compel the court to allow his intervention?
Yes, this is found in a class suit, where any member of the class has the right to intervene, and can ask the court for the
authority to intervene. The court has no option but to grant the intervention.
2. Court-mandated intervention court itself directly induces the party to intervene in an existing or pending litigation.
(Rule 9, in marriage-related cases)
In marriage related cases in Rule 9, if the defendant in a marriage-related case does not answer, the court has no authority
to declare a non-answering defendant in default, but can direct the prosecutor to intervene in order to determine that
there is no collusion between parties.
3. Forced intervention a person becomes an intervenor by operation of law, Rule 57 and Rule 39.
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.
Rule 57 Preliminary attachment forced intervention; if there is a writ of preliminary attachment issued by the court, a
supplemental writ of garnishment is issued, and the writs were enforced by the sheriff upon a 3rd person, that 3rd person
becomes a forced intervenor in the proceedings.
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.
Metrobank vs. CA (Dismissal of the main action will not render intervention moot and academic)
A motion for intervention was filed while the case was pending. The court granted the intervention. After receipt of the
order allowing him to intervene, the party filed a complaint-in-intervention against all the parties in the case. Intervenor did
not realize that the parties of the case were settling. The parties did arrive at an amicable settlement. The parties sought for
the dismissal of the case, which was allowed. The intervenor objected to idea of having his petition dismissed. The principal
parties told the court that it is axiomatic in intervention that once the principal action has been terminated, the subsidiary
action is dismissed also.
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 complaintin-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.
The MetroBank case involves a situation where in the intervention will survive the dismissal of the main complaint. But, for
the intervention to survive, the pleading to be filed must be a complaint-in-intervention against both parties to the case.
This will not be applicable if the intervention was in the form of a complaint-in-intervention where the intervenor sides with
the plaintiff or if the intervention was via an answer in intervention.
Although the rule provides a time frame for an intervenor to be allowed to intervene, the SC has allowed intervention to
take place, even if there is already a pending appeal before the CA. The Rule is very clear that intervention should be
allowed before judgment is rendered by the trial court. After judgment is rendered by the trial court, intervention should be
no longer allowed. But, the SC recognized the propriety of an intervention even if the case was already pending appeal in
the CA or the SC.
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.
Another situation that the SC allowed an intervention to happen even if the case is already is on appeal is when the
Republic of the Philippines intervenes in the case. If the Republic of the Philippines, via the Solicitor General, intervenes in a
case that is already on appeal, the SC said that the intervention of the Solicitor General must be of national importance,
since the Solicitor General intervenes only when the case is of paramount interest to the Republic of the Philippines.
MODES OF DISCOVERY
The modes of appeal that we have in a civil procedure are also available in a criminal case.
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.
Do the rules compel litigants to avail modes of discovery?
Refer to Rule 18 first on Pre-Trial
In Rule 18, the plaintiff is asked to indicate if he desires to make use modes of discovery or use ADR. They are required to
manifest that to the court.
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.
Admission or interrogatories to parties. sanction under Rule 25 and 26
Whether admissions or interrogatories to parties, there are practically identical sanctions imposed by the Rules.
In interrogatories to parties, the last section of Rule 25 (Section 6) provides that while a plaintiff can compel the defendant
to testify during the trial of the case as a witness for the plaintiff, and also, the defendant can compel the defendant to
testify as a witness during the trial, this cannot be done unless the plaintiff or defendant has previously served upon the
party concerned an interrogatory. If the plaintiff serves a subpoena ad testificandum to the defendant, requiring the
defendant to appear and testify in court on behalf of the plaintiff, the defendant can ask for that subpoena to be quashed
for failure of the plaintiff to comply with requirements contained in Rule 25 Section 6. For the plaintiff can compel the
defendant to testify, the plaintiff must have served a written interrogatories upon the defendant. If plaintiff cannot show
that he was able to serve such written interrogatories, the defendant can move for the quashal of the subpoena, and
defendant cannot be compelled to be a witness in the case.
Rule 25 SEC. 6. Effect of failure to serve written interrogatories. Unless thereafter allowed by the court
for good cause shown and to prevent a failure of justice, a party not served with written interrogatories
may not be compelled by the adverse party to give testimony in open court, or to give a deposition
pending appeal.
Admission last section of Rule 26
The same rule on Rule 25 Section 6 is practically the same for admissions. In fact, these provisions of Sec. 5 Rule 26 and Sec.
6 Rule 25 pertain to competency of certain evidence. If an evidence is relevant, the general rule is that the evidence should
be admissible, unless it is not competent under the provisions of our law or certain rules. In Sec. 5 Rule 26 and Sec. 6 Rule
25, certain relevant evidence may be rendered INADMISSIBLE or INCOMPETENT for failure of the party to follow the
requirements given in these modes of discovery. Certain matters may not be proven by a party unless that party complied
with the requirements given under Sec. 5 Rule 26 or Sec. 6 Rule 25. So the sanction that the Rules imposes so the party will
be compelled to avail of the modes of discovery is that the evidence that the evidence sought to be presented by the
proponent could become inadmissible, the otherwise relevant evidence will become incompetent by reason of the
provisions of these Rules. That will compel the party to avail of the modes of discovery.
Rule 26 SEC. 5. Effect of failure to file and serve request for admission.Unless otherwise allowed by the
court for good cause shown and to prevent a failure of justice, a party who fails to file and serve a
request for admission on the adverse party of material and relevant facts at issue which are, or ought to
be, within the personal knowledge of the latter, shall not be permitted to present evidence on such
facts.
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.
Another basic principle in discovery measures is that after an answer is filed by the defendant, availment of the modes of
discovery does not require permission of the court. The plaintiff or defendant is given the prerogative to avail of the modes
of discoveries like taking of depositions or interrogatories to parties or admissions to parties. The other modes of discovery
will ALWAYS require leave of court. Thus production and inspection of documents or things in court will always require
leave of court, as does physical and mental examination of a person. But in the case of depositions pending trial,
interrogatories or admissions, we do not need leave of court so long as the defendant has already filed an answer.
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.
For instance, if the case is pending here in Manila, and there is a potential witness whose deposition is required by the
plaintiff, and this witness is also a resident of Manila, can the plaintiff require this potential witness to give his
deposition?
Yes.
After the potential witness has given his deposition, and later on, this witness receives a subpoena requiring him to give
testimony in open court, can the potential witness file a motion to quash subpoena as he had given a deposition of his
testimony?
No, as the giving of a deposition cannot take the place of giving testimony in open court. The deponent can always be
compelled to give his testimony in open court. Though his testimony may be a repetition of his deposition, it still does not
matter. He still has to give his testimony in open court.
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.
Laying the Predicate: Refer to statements, oral or documentary, made by the witness sought to be impeached on occasions
other than the trial in which he is testifying
Q: What are the elements of laying the predicate?
A:
1. The alleged statements must be related to the witness including the circumstances of the times and places and
the persons present. If the statements are in writing they must be shown to him;
2. He must be asked whether he made such statements and also to explain them if he admits making those
statements (Riano, p. 327).
Q: When is the rule on laying the predicate inapplicable?
A: It is inapplicable if the prior inconsistent statement appears in a deposition of the adverse party, and not a mere
witness, that adverse party who testifies may be impeached without laying the predicate as such prior statements
are in the nature of admissions of said adverse party. (Regalado, Vol. II, p. 852, 2008 ed.)
Q: What is the purpose of laying the predicate?
A: The purpose of which is to allow the witness to admit or deny the prior statement and afford him an
opportunity to explain the same. Non-compliance with the foundational elements for this mode of impeachment
will be a ground for an objection based on improper impeachment. Over a timely objection, extrinsic evidence of
a prior inconsistent statement without the required foundation is not admissible. (ibid)
Is it possible the deposition can be the testimony of the witness?
Yes, if the witness is more than 100 km from the court, and the witness invokes his viatory right, the deposition is
allowed to take the deposition and the court can consider the deposition the testimony of the witness.
If a deposition has already been given, is it possible that his deposition will be treated as his testimony in open court?
That is also possible. If the deponent, if called upon by the court to testify, will invoke his Viatory Right.
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.
Judgment by default it is a judgment on the merits, no trial and pre-trial is conducted. Under Rule 9, if the court declares
defendant in default since he did not file an answer, one of the options is to immediately render a judgment without
requiring plaintiff to present his evidence ex parte.
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.
Special judgments where an answer is filed by defendant
There can be a judgment on the pleadings if the answer does not raise any issue at all, or even admits the allegations in
the pleadings. There need to be no pre-trial and trial. The plaintiff can move right away for a judgment on the pleadings.
Judgment based upon a compromise. Parties entered into a compromise agreement during pre-trial, the court concurs the
validity of the compromise agreement, the court will render a judgment based upon compromise.
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.
Summary Judgment not a full-blown trial
Demurrer to Evidence not a full-blown trial, only of the trial contemplated under Rule 30. Defendant does not present
evidence.
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 pretrial. 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.
In civil procedure, although there is a section in Rule 30 on written stipulation on facts, the court liberally allows verbal
stipulations. Example, during the pre-trial conference, everything stipulated upon may be done verbally.But since the pre-
trial conference is part of the court proceedings, everything is recorded by the court stenographer. The stenographer will
transcribe the records and what the court will readily decide that there has been a stipulation of facts between the parties.
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.
Does failure to submit memoranda when required to do so result in dismissal of the case?
Yes, under Rule 17, for failure to obey lawful court orders.
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.
Generally, when a trial is conducted by the court, it is the judge appointed in that sala that should sit in the proceedings.
But, there are certain instances under Rule 30 when the judge may excuse himself from presiding the case. They are all
mentioned in the rules.
One is when the parties so agree, when the parties appoints a commissioner for presentation of evidence. Another is, when
the branch clerk of court, upon delegation of the judge, may sit when the parties agree to an ex parte presentation of
evidence. However, in these instances, it is still the judge who will have to write and sign the 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
Distinguish consolidation from severance.
A:
Consolidation
Involves several actions having a common question of law or
fact which may be jointly tried (Sec.1, Rule 31).
Consolidation:
1. several cases
2. similar issues, common question of fact
3. pending in the same court
Severance
Contemplates a single action having a number of claims,
counterclaims, cross-claims, third-party complaints, or
issues which may be separately tried.
Test-Case Method
By hearing only the principal case and
suspending the hearing on the other
cases until judgment has been
rendered in the principal case. The
cases retain their original docket
numbers (Riano, Civil Procedure, p. 96,
2009 ed.).
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
Shimizu vs. Magsalin
A final order of dismissal under Rule 17, a dismissal with prejudice, is void if there is no explanation how and why the case
was dismissed by failure to prosecute.
The other sections of Rule 36 give us the certain classifications of judgments; summary judgment and several judgment.
Separate judgment(Sec. 5, Rule 36) It is one rendered disposing of a claim among several others presented in a case,
after a determination of the issues material to a particular claim and all counterclaims arising out of the transaction or
occurrence which is the subject matter of said claim.
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.
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.
So, if that is a separate judgment involving once cause of action, the winning party or losing party cannot appeal. These
parties will have to wait until the court finally decides the case in its entirety, unless the court allows an appeal if the party
is entitled. Usually, the court does not allow it, because that will lead to a situation where several appeals emanate from
one case, which is also frowned upon by the SC. There should only be one decision in a particular case, and there should be
one appeal if a party decides to appeal.
This is also the reason why the decisions that are classified in Rule 36, Separate Judgments and Several Judgments, are
sometimes referred to as interlocutory judgments, because they cannot be appealed by express provision of Rule 41,
although they can be rendered validly by the court.
Interlocutory Orders those that determine incidental matters that do not touch on the merits of the
case or put an end to the proceedings. E.g. Order denying a motion to dismiss, granting an extension of
time or authorizing an amendment.
So if you come across that term in your examinations, interlocutory judgments, and you find the use of interlocutory and
judgment to be in conflict with one another, you apply the following view: Because a judgment cannot be interlocutory. A
judgment by the very term should be a judgment of the merits. But if you characterize a judgment as interlocutory, that is
only to emphasize that the judgment, although it resolves the merits of the case, cannot be appealed without the
permission of the trial judge.
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.
There is another one in Rule 51, a Memorandum Decision.
Memorandum decision is one in which the appellate court may adopt by reference, the findings of facts and conclusions of
law contained in the decision appealed from.
There are judgments by virtue of jurisprudence: Judgment nunc pro tunc, provisional judgment, etc.
8. Judgment on the pleadings (Rule 34) Proper when an answer fails to tender an issue because of a general or
insufficient denial of the material allegations of the complaint or when the answer admits the material allegations of the
adverse party's pleading.
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.
11. Separate judgment (Sec. 5, Rule 36) It is one rendered disposing of a claim among several others presented in a case,
after a determination of the issues material to a particular claim and all counterclaims arising out of the transaction or
occurrence which is the subject matter of said claim.
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.
14. Judgment on demurrer to evidence (Rule 33) A judgment rendered by the court dismissing a case upon motion of the
defendant, made after plaintiff has rested his case, on the ground that upon the facts presented by the plaintiff and the
law on the matter, plaintiff has not shown any right to relief.
15. Conditional judgment It is one the effectivity of which depends upon the occurrence or non-occurrence of an event.
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.
What is so special about these three decisions of the court?
As we said earlier, they are special as they are rendered by the court without having conducted a full blown trial as
conceived in Rule 30.
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 file
Grounds
If denied
If granted
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.
In a civil case, if a defendant files a motion for the dismissal of the complaint based on insufficiency of evidence, and that
motion is denied, what the defendant will do is to go ahead with the trial and present his evidence. And after the defendant
has rested, the court will render the decision. The decision, if the order for demurrer to evidence is denied, is just an
ordinary judgment on the merits of the case under Rule 36. It is no longer a special type of a judgment.
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.
If the CA reverses the order of dismissal by demurrer to evidence and the CA tells the parties that the evidence submitted is
adequate, CA simply render its own decision on the merits of the case, relying solely on the evidence submitted by the
plaintiff.
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.
The defendant cannot argue that the CA is authorized to receive evidence under the provisions of BP 129. Under BP 129,
the CA is allowed to receive evidence if it acts in exercise of its original jurisdiction, which is not the case in this instance as
the CA is acting under is appellate jurisdiction. Although B.P. 129 also confers authority on the CA to receive evidence even
in appeal of cases from the lower court, the conferment of authority while acting as an appellate court is only on one
instance, only on grant of motion for new trial based on NDE. It will not apply to demurrer to evidence. The evidence the
defendant will present is hardly NDE as the defendant had these pieces of evidence during the trial in the RTC. This is why in
demurrer to evidence in civil cases, the defendant waives his right to present his evidence when the trial court grants his
motion and the case is dismissed but the dismissal is reversed on appeal.
Compare this to the demurrer to evidence present in a criminal case.
Q: Distinguish demurrer to evidence in civil cases from demurrer to evidence in criminal cases.
A:
Civil Case
Criminal Case
Leave of court
Not required
With or Without
If granted
Judgment on the merits; The Plaintiff may appeal
Judgment on the merits; The Plaintiff cannot make
from the order of dismissal of the case
an appeal from the order of dismissal due to the
constitutional prohibition against double jeopardy
If denied
The Defendant may proceed to adduce his
The Defendant may adduce his evidence only if the
evidence
demurrer is filed with leave of court.
If there was no leave of court, accused can no
longer present his evidence and submits the case
for decision based on the prosecutions evidence
If the plaintiff
If the court finds plaintiffs evidence insufficient, it If the court finds the prosecutions evidence
appeals from
will grant the demurrer by dismissing the
insufficient, it will grant the demurrer by rendering
the order of
complaint. The judgment of dismissal is appealable judgment acquitting the accused. Judgment of
dismissal
by the plaintiff. If plaintiff appeals and judgment is acquittal is not appealable; double jeopardy sets in
reversed by the appellate court, it will decide the
case on the basis of the plaintiffs evidence with
the consequence that the defendant already loses
his right to present evidence. No res judicata in
dismissal due to demurrer
How can
The plaintiff files a motion to deny motion to
The court may motu propio deny the motion.
demurrer be
demurrer to 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.
In a criminal case, demurrer can be initiated either by the accused or the court itself motu propio. The idea of demurrer to
evidence can come from the court. So if the prosecution has rested, the court can even tell the accused to file a motion for
judgment on demurrer to evidence. If the idea comes from the court, the accused should file because it is the court who
already encourages you to file the motion. That means to say, even to the court, the prosecutions evidence failed to meet
the quantum of evidence required to convict the accused. In a civil case, the court cannot initiate the idea as to demurrer to
evidence. It should come from the mind of the defendants counsel.
If in a criminal case, the demurrer to evidence is granted, the information will be dismissed, which is tantamount to
acquittal of the accused. The prosecution can no longer appeal, nor can Rule 65 be availing, both being due to prohibition
against double jeopardy. Take note, there can be no appeal as to the dismissal of the information, but there can be an
appeal as to the civil aspect of the case. In a civil case, if the court dismissed the civil action, the plaintiff may appeal the
dismissal.
If we allow the civil aspect of the criminal case already dismissed to be appealed, there is a chance that the appellate court
will find merit in the appeal of the private complainant, and therefore the appellate court will allow damages to be awarded
to the private complainant. The satisfaction of these damages will be directed against the accused, who has been acquitted
from the crime. In a criminal case, an accused may be acquitted of the crime, but may be found civilly liable for any injury
resulting therefrom. This is because, the conviction of the accused requires a higher degree of proof to be met (proof
beyond reasonable doubt), whereas a lower degree of proof is required for proving liability for civil damages (mere
preponderance of evidence).
In Judgment on the pleadings, there is an answer filed by the defendant. But that answer admits the allegations in the
complaint. Or, even if the answer in form denies the allegations in the complaint, the denial is not specific as required in the
Rules. We are made familiar again with the principle in a civil case that when a general denial is made, that is deemed to be
an admission, which is the reason why a court need not conduct a pre-trial nor a trial.
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.
In other words, if we follow the inherent nature of a judgment of the pleadings, the movant should be the plaintiff in a
complaint or a permissive counterclaim or cross-claim. There should be a motion initiated by the plaintiff asking the court
for a judgment on the pleadings.
Is there any prohibition against the defendant who has filed an answer to also move for judgment on the pleadings?
There is really nothing said in the Rules that says about a defendant, upon filing of his answer, being prohibited to file a
motion for a judgment on the pleadings. But it seems to be a crazy idea for a defendant to himself move for a judgment on
the pleadings. In a case brought to the SC where it was the defendant himself who moved for a judgment on the pleadings,
although the answer was purely an answer without any counterclaim, cross-claim or third party complaint, but containing
several meritorious defenses, the SC ruled that if a defendant is a movant for a judgment on the pleadings, the defendant is
deemed to have admitted the allegations contained in the complaint. So it is really very risky for a defendant to be a
movant for a judgment on the pleadings. Even if his answer is properly crafted, even if there is a specific denial, if it was the
defendant that filed a motion for a judgment on the pleadings, the defendant will be considered to have admitted all the
allegations in the complaint. So, the court will render a judgment in favor of the plaintiff.
A judgment on the pleadings is also a judgment on the merits. It should comply with the essentials of a valid judgment
under Rule 36.
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).
Q: What are the requisites of summary judgments?
A:
1. There must be no genuine issue as to any material fact, except for the amount of damages; and
2. The party presenting the motion for summary judgment must be entitled to a judgment as a matter of law.
Q: When is a claimant allowed to file for summary judgment?
A: A party seeking to recover upon a claim, counterclaim, or cross-claim or to obtain a declaratory relief may, at any time
after the pleading in answer thereto has been served, move with supporting affidavits, depositions or admissions for a
summary judgment in his favor upon all or any part thereof (Sec. 1, Rule 35).
Q: When is a defendant allowed to file for summary judgment?
A: A party against whom a claim, counterclaim, or cross-claim is asserted or a declaratory relief is sought may, at any time,
move with supporting affidavits, depositions or admissions for a summary judgment in his favor as to all or any part thereof
(Sec. 2, Rule 35).
Movant
Answer
Notice
Termination
Who can
file
Basis of the
judgment
If you compare the provisions of a judgment on the pleadings to that of a summary judgment, as contained in Rule 34, we
will immediately notice that there is a section which talks about a Summary judgment by plaintiff and a Summary judgment
by defendant. Unlike in judgment on the pleadings, where we expect the movant to be a plaintiff, in a summary judgment,
the law gives either parties the option to file a motion for summary judgment. This motions are expressly recognized in the
rules.
Q: When is a claimant allowed to file for summary judgment?
A: A party seeking to recover upon a claim, counterclaim, or cross-claim or to obtain a declaratory relief may, at any time
after the pleading in answer thereto has been served, move with supporting affidavits, depositions or admissions for a
summary judgment in his favor upon all or any part thereof (Sec. 1, Rule 35).
Q: When is a defendant allowed to file for summary judgment?
A: A party against whom a claim, counterclaim, or cross-claim is asserted or a declaratory relief is sought may, at any time,
move with supporting affidavits, depositions or admissions for a summary judgment in his favor as to all or any part thereof
(Sec. 2, Rule 35).
Another term for summary judgment under American Rules is an accelerated judgment. It seems to be similar to that in
acceleration clause.
Why will the court render a summary judgment?
The court will not conduct a full blown trial envisioned in Rule 30. In a summary judgment designed not to conduct fullblown trial, according to jurisprudence, there is an issue in the answer submitted by the defendant, but it turns out to be a
sham issue. Therefore, there is no need for the court to conduct a full-blown trial on a sham issue. Whether or not the issue
is genuine will depend upon the circumstances of the case.
An instant example of a summary judgment rendered by a court is that where the court found that the issue is not really
genuine although there is really an issue raised in the answer. A complaint was filed by the plaintiff for an unpaid loan. The
complaint carried with it an actionable document attached to the complaint, a printed promissory note. The promissory
note contained a blank as to the date of the maturity of the loan, which was unfortunately not accomplished. So, the
promissory note is indeterminate as to the date of maturity. The defendant filed an answer and set up the defense that the
filing of the complaint was premature because the debt has not matured, and the defendant pointed out that the blank
wherein the date of maturity was supposed to be indicated has no entry. The defendant interposed that the court should
first fix the maturity date of the complaint before the plaintiff can file a complaint for recovery of the loan. The plaintiff filed
a motion for summary judgment. And the court agreed with the plaintiff that the defense set up by the defendant, that the
maturity of the loan has not yet happened, is really a sham issue, as the issue is in conflict with the provisions of substantive
law. The SC said that if that is a promissory note without a date fixed as to maturity, that is a note payable on demand, as
provided in the NCC. If there is already a demand made by the creditor, and the debtor failed to comply with that demand,
it means there is already a breach of the obligation by the debtor.
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.
There is a summary judgment that is similar to separate judgment and several judgment as it is interlocutory. If you read
the Rule on summary judgment, there is such a thing as partial summary judgment. If the summary judgment is a partial
summary judgment, that is an interlocutory order, as it does not dispose of the case completely. It disposes only of the
issue that was raised before the court. It cannot be appealed.
In a summary judgment, unlike in a judgment on the pleadings, the court will conduct a summary hearing. In judgment on
the pleadings, the court will not conduct a hearing at all, as the court will simply rely on the contents of the complaint and
the answer. Since there is an issue raised by the defendant in summary judgment, the court will need to conduct a
summary hearing in order to determine whether that is a sham issue or a genuine issue. There is need by the parties to
present evidence in order to support their respective issues. The parties could present affidavits, depositions, or any other
document that the parties may present. What the court will not allow is a full-blown hearing on the matter as to whether
the issue is genuine or not. This issue will have to be proven only by documentary evidence, affidavits or evidence taken
under modes of discovery.
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.
renders a decision based on the compromise agreement. If the debtor commits a breach in the payment as agreed upon,
what the creditor can do is to simply file a motion for execution in the court. The judgment based upon a compromise is a
judgment on the merits. And under the NCC, a judgment based upon a compromise is immediately executory. There is no
appeal. A judgment by the court based on a compromise agreement cannot be appealed.
Does it mean to say that a party of a compromise agreement has no recourse at all to challenge the validity of the
judgment based upon a compromise agreement?
There is a remedy under Sec. 1 Rule 41. The defendant may file a motion to set aside the compromise agreement based on
the ground of vitiated consent. That is the remedy in order a judgment based upon a compromise.
Supposing the court does not set aside the judgment notwithstanding the motion, can the defendant appeal?
No. Under the Rules, a judgment based upon a compromise agreement is inappealable. Also, the order denying the motion
is in the nature of an interlocutory order which is inappealable.
Q: What is the remedy in cases where appeal is not allowed?
A:
GR: In those instances where the judgment or final order is not appealable, the aggrieved party may file the appropriate
special civil action under Rule 65 (Sec. 1 Rule 41).
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.
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
If judgment has been entered:
~Rule 38 Motion for Relief From Judgment
~Rule 47 Motion for Annulment of judgment
~Rule 65 Certiorari, Prohibition and Mandamus (in certain instances)
Remedies in a Criminal Case
Before judgment of conviction becomes final
~Motion for New Trial
~Motion for Reconsideration
~Appeal
~Reopening of a case due to NDE
Note: Reopening of a civil case is available but before judgment is rendered. If judgment is rendered, it is not
available in a civil case. Jurisprudence requires no judgment yet handed down by the court, the time frame for
availment of this remedy is dependent upon the termination of the trial. The termination of the trial starts the
period to move for this remedy. As long as the judgment has not been rendered, any party can move for reopening
of the case.
Grounds for reopening civil cases: There are no grounds given specifically in the rules. It is not expressly
recognized, it is just an accepted remedy in jurisprudence. It is a remedy availed of after trial has ended but before
the judgment is rendered. The purpose is for allowing the movant to offer in evidence those that he may have
forgotten to present during the trial, or additional evidence as the case may be.
Reopening of a case in criminal cases: This is expressly recognized in criminal procedure. It can be had even after
the judgment has been rendered, so long as judgment has not become final and executory.
After judgment of conviction becomes final:
Habeas Corpus
Petition for Certiorari under Rule 65 in exercise of judiciary under its equity jurisdiction
If the convict feels that his detention in prison, although supported by a judgment of final conviction, is unlawful, the
remedy he may avail of is Habeas Corpus, not a petition to annul judgment. The SC has made this very clear. Rule 47 applies
only to a civil case, it cannot apply to a criminal case. The equivalent remedy in a criminal case is a petition for habeas
corpus. The SC in the exercise of its equity jurisdiction cold also entertain a Petition for Certiorari under Rule 65 even if the
judgment of conviction has become final and executory
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.
Let us say that a losing defendant/accused is advised by his counsel that they have 3 remedies while the period of appeal
was running, motion for reconsideration, motion for new trial and appeal. The defendant/accused told the counsel to
avail of all three. Thus, the counsel filed a motion for new trial, a motion for reconsideration and lastly, an appeal. The
trial court received all three. The appeal was duly perfected. What remedy will the court entertain?
SC had held that if the aggrieved party files or perfects an appeal during the pendency of his motions for new trial and
reconsideration, the motions shall be deemed abandoned.
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.
Motion for new trial on ground of FAMEN.
There must be an affidavit of merit. FAMEN must be the reason for which the motion for new trial is bound. Affidavits
should show FAMEN. The affidavit should be executed by persons with personal knowledge surrounding the circumstances
of FAMEN.
It is not correct to say that in a motion for new trial, we always need an affidavit of merit. We need affidavit of merit only if
the ground relied upon is FAMEN. Motion for new trial on ground of NDE will not need Affidavit of Merit, merely the
affidavit of the new witness will give testimony, or an authentic copy of document or object evidence to be presented.
Extrinsic fraud vs. Intrinsic Fraud in Motion for New Trial
EXTRINSIC FRAUD
INTRINSIC FRAUD
Connotes any fraudulent scheme executed by the prevailing Refers to the acts of party during trial which does not affect
party outside trial against the losing party who because of
the presentation of the case
such fraud was prevented from presenting his side of the
case
The principle in new trial in the case of fraud, the fraud committed must always be EXTRINSIC FRAUD. It cannot be intrinsic
fraud. In Rule 37, there is a basis for the court to determine extrinsic fraud from intrinsic fraud for the trial to be properly
resolved. If the fraud alleged in the motion is intrinsic, that motion will be denied. What should be proven should be an
extrinsic fraud.
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.
Another instance of cheating duly proven by the movant in a motion for new trial based on extrinsic fraud which the SC
did not consider as extrinsic is when the prevailing party presented witnesses who had perjured. But if the aggrieved party
relies solely on the allegation that all the witnesses presented by the party all committed perjury, that is not a ground for
new trial, that it is only intrinsic fraud. What the SC is telling the defendant is that he should also have cheated, that he
should also have been dishonest. If the plaintiff presented 2 perjured witnesses, the defendant should have called 5. So the
message given with respect to extrinsic and intrinsic fraud is that litigants, through their lawyers, can be dishonest during
the course of a litigation. But they should see to it that the ;cheating will not amount to extrinsic fraud, that which will not
deprive the other party of his day in court, that the other party will have the opportunity to present his side in court.
That is the life of a lawyer, he is encouraged to be dishonest, he should be deceptive in his relationship with others lawyers.
Anyway, lawyers will not go to heaven, that is a given fact. It is found in the Bible. But that is only a part of a passage in the
Bible. The additional passage is that lawyers do not go to hell. But that does not make the life of a lawyer less worthwhile. If
a lawyer cannot go to heaven or to hell, where will the lawyer go after death? The implication is that a lawyer does not
have a soul.
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.
Newly Discovered Evidence
This is an adaptation of an American principle called the Berry Rule : Newly discovered evidence, which he could not, with
reasonable diligence, have discovered and produced at the trial, and which if presented would probably alter the result.
Q: What are the requisites of newly discovered evidence as a ground for New Trial?
A:
1. The evidence was discovered after trial;
2. Such evidence could not have been discovered and produced at the trial with reasonable diligence; and
3. Such evidence is material, not merely cumulative, corroborative or impeaching, and is of such weight that if admitted
would probably change the judgment (BERRY RULE) (CIR v. A. Soriano Corporation, GR No. 113703 January 31, 1997).
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.
In a motion for reconsideration under Rule 37, there are 3 grounds:
damages awarded are excessive,
the evidence is insufficient to justify the decision or final order,
the decision or final order is contrary to law
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.
In Rule 37, it is clearly provided that if a motion for new trial or reconsideration is denied, the denial cannot be appealed or
be subject to Rule 65 as the order of denial is interlocutory. What is to be appealed is the judgment rendered on the merits,
not the order of denial. Note that Rule 65 is now unavailing in the amended Rules in Rule 41. The only remedy is an appeal
from the judgment on the merits that is the subject of new trial or reconsideration. SC said that in appealing the judgment,
the aggrieved party can assign as an error the denial of the trial court of the motion for new trial or motion for
reconsideration. But, he is no longer allowed to file a petition under Rule 65 to challenge the denial of the motion and
appeal at the same time, which was allowed prior to the amendment of Section1 of Rule 41.
MNT or MR in Criminal Cases
Either on motion of accused, or the court motu propio with
consent of the accused
Grounds for MNT errors of law or irregularities committed
during the trial, or newly discovered evidence
Ground for MR error of law or fact
Filed any time before judgment of conviction becomes final
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.
If the court grants the motion for execution of judgment because it is a matter of right on the part of the prevailing party,
will it not render academic the relief from judgment filed by the aggrieved party?
Rule 38 will not result to making the petition for relief academic simply because of the granting a motion for execution as a
matter of right. Rule 38 says that the executing court that granted motion for execution and subsequently entertained a
petition for relief from judgment can issue a TRO or a preliminary injunction order to stop the enforcement of the writ of
execution.
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.
Q: What is the remedy if the motion is denied?
A: The remedy is to appeal from the judgment or final order itself subject of the motion for reconsideration or new trial
(Sec. 9, Rule 37, Rules of Court). The movant has a fresh period of fifteen days from receipt or notice of the order denying or
dismissing the motion for reconsideration within which to file a notice of appeal. It is no longer assailable by certiorari.
(Sec.9, Rule 37, A.M. No. 07-7-12-SC).
Q: When does the fresh period rule apply?
A: It applies to:
1. Rule 40 MTC to RTC
2. Rule 41 Appeals from RTC
3. Rule 42 Petition for Review from RTC to CA
4. Rule 43 Appeals from quasi-judicial agencies to CA
5. Rule 45 Appeals by certiorari to the SC
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.
When we say that appeal is a matter of discretion wherein the appellate court will determine whether it should be
entertained or not. If that discretion is given to the appellate court, it simply denies to the party the right to appeal to that
court.
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.
Rule 40 procedure of appeal from MTC to appellate court (RTC)
The party appealing in a civil case will need to file a Notice of Appeal and payment of appellate court docket fee. Cases
involving special proceedings and other cases of multiple or separate appeals will also require submission of a Record on
Appeal. Docket fee is a jurisdictional requirement. Hence, if not paid on time, SC said the appellate court does not acquire
jurisdiction over the case.
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.
In cases of Unlawful Detainer decided by the MTC, there could be an appeal in the RTC involving factual and legal
questions. Insofar as the RTC and insofar as the prevailing party, is the appeal by the losing party a matter of right?
Yes. Whenever the mode of appeal is ordinary appeal, the appeal is one of a matter of right. The court has no discretion to
outrightly dismiss the appeal. It has the duty to review the case and render its own decision. The RTC as an appellate court
from a decision of an MTC in ID has no discretion to tell the appellant that an appeal is not given due course, which is
allowed in petition for review and petition for review on certiorari.
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.
Before the CA, could there be a 3rd appeal?
Yes, we can go to the SC under Rule 45, always a matter of discretion in the civil case. The SC enjoys the prerogative
whether to entertain or not to entertain that appeal.
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.
Appealed decision comes from RTC vs. from QJ body There is no difference with respect to the content, but there is a
great difference in the execution of the judgment appealed. If the decision comes from a trial court in the exercise of its
appellate jurisdiction, being appealed in the CA, the decision of the trial court cannot be executed. There could be not
execution. There could be an execution, but it should be an execution pending appeal (filed in the CA). There could be an
execution on motion, supported by special reasons to convince the CA to order the execution of judgment. Generally, when
there is an appeal to the CA from a court of justice like an RTC, the appealed decision cannot be the subject of execution.
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.
Why is execution allowed in QJ bodies?
One reason given in the Rules is that quantum of evidence needed in QJ proceedings is only substantial evidence, while in
trial courts, the quantum of evidence is preponderance of evidence.
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.
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.
SEC. 7. Appellants brief.It shall be the duty of the appellant to file with the court, within forty-five (45)
days from receipt of the notice of the clerk that all the evidence, oral and documentary, are attached to
the record, seven (7) copies of his legibly typewritten, mimeographed or printed brief, with proof of
service of two (2) copies thereof upon the appellee.
SEC. 8. Appellees briefWithin forty-five (45) days from receipt of the appellants brief, the appellee
shall file with the court seven (7) copies of his legibly typewritten, mimeographed or printed brief, with
proof of service of two (2) copies thereof upon the appellant.
SEC. 13. Contents of appellants brief.The appellants brief shall contain, in the order herein indicated,
the following:
(a) A subject index of the matter in the brief with a digest of the arguments and page references,
and a table of cases alphabetically arranged, textbooks and statutes cited with references to the
pages where they are cited;
(b) An assignment of errors intended to be urged, which errors shall be separately, distinctly and
concisely stated without repetition and numbered consecutively;
(c) Under the heading Statement of the Case, a clear and concise statement of the nature of
the action, a summary of the proceedings, the appealed rulings and orders of the court, the
nature of the judgment and any other matters necessary to an understanding of the nature of
the controversy, with page references to the record;
(d) Under the heading Statement of Facts, a clear and concise statement in a narrative form of
the facts admitted by both parties and of those in controversy, together with the substance of
the proof relating thereto in sufficient detail to make it clearly intelligible, with page references
to the record;
(e) A clear and concise statement of the issues of fact or law to be submitted to the court for its
judgment;
(f) Under the heading Argument, the appellants arguments on each assignment of error with
page references to the record. The authorities relied upon shall be cited by the page of the
report at which the case begins and the page of the report on which the citation is found:
(g) Under the heading Relief, a specification of the order or judgment which the appellant
seeks; and
(h) In cases not brought up by record on appeal, the appellants brief shall contain, as an
appendix, a copy of the judgment or final order appealed from.
SEC. 14. Contents of appellees brief.The appellees brief shall contain, in the order herein indicated, the
following:
(a) A subject index of the matter in the brief with a digest of the arguments and page references,
and a table of cases alphabetically arranged, textbooks and statutes cited with references to the
pages where they are cited;
(b) Under the heading Statement of Facts, the appellee shall state that he accepts the
statement of facts in the appellants brief, or under the heading Counter-Statement of Facts,
he shall point out such insufficiencies or inaccuracies as he believes exist in the appellants
statement of facts with references to the pages of the record in support thereof, but without
repetition of matters in the appellants statement of facts; and
(c) Under the heading Argument, the appellee shall set forth his arguments in the case on each
assignment of error with page references to the record. The authorities relied on shall be cited by
the page of the report at which the case begins and the page of the report on which the citation
is found.
Appellants brief contents divided into several chapters; lack of assignment of errors is fatal and will result in dismissal
of the appeal.
Why is the CA very much interested in the assignment of errors that must be contained in the brief, without which the
appeal will have to be dismissed?
The assignment of errors is essential in an ordinary appeal because insofar as the CA is concerned, the decision of the trial
court is a correct decision. Remember that in our Rules of Evidence, there is a presumption that a decision of a trial court is
correct; there is a presumption of regularity in the performance of official duties. The CA will always apply that disputable
presumption whenever there is an appeal in the CA. That same attitude is also adopted by the SC. Whenever an appeal
under Rule 45 is raised to the SC, the SC adopts the disputable presumption that the decision of the CA is correct. Since the
CA adopts the presumption that the RTC decided on the case correctly, the appellant must destroy or overwhelm that
presumption by convincing the CA that serious errors were committed by the RTC. The appellant cannot be allowed to
present evidence thereon, appellant will have to rely on the records submitted from the RTC. The only way by which
appellant can possibly convince that the RTC committed serious errors is through the assignment of errors. If the appellant
cannot make an assignment of errors in the brief, it means the appellant finds nothing wrong with the decision of the RTC.
Therefore, the disputable presumption stays, and this will be used by the CA. That is why the assignment of errors is
essential to the brief of the appellant. Absence thereof is fatal to the appeal, and will cause the appeals dismissal.
Distinguish a brief from a memorandum.
A:
Brief
Ordinary appeals
Memorandum
Certiorari, prohibition, mandamus,
quo warranto and habeas corpus
cases
Filed within 30 days
Shorter, briefer, only one issue
involved No subject index or
assignment of errors, just facts and
law applicable
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.
Harmless Errors in Appeal (Section 6, Rule 51)
The trial court must have committed errors in the proceedings; it is expressly provided in Rule 51 that only errors of the
court in admission of evidence and issuance of orders that affects substantially the rights of the appellant could be
considered by the appellate court. Otherwise, the court will disregard that error, even if made a part of the assignment of
errors.
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.
In a criminal case, if there is an error committed by the trial court, whether mentioned or not in the assignment of errors,
the CA or SC can take cognizance of such errors in resolving the appeal. The appellate courts are very flexible in a criminal
case whose decision from the trial court was brought before it on appeal.
GR: Only errors assigned in the brief may be considered on appeal
XPNs:
1. Grounds not assigned as errors but affecting the jurisdiction over the subject matter
2. Matters not assigned as errors on appeal but are evidently plain or clerical errors within the contemplation of
law;
3. Matters not assigned as errors on appeal but consideration of which is necessary in arriving at a just decision
and complete resolution of the case or to serve the interest of justice or to avoid dispensing piecemeal justice;
4. Matters not specifically assigned as errors on appeal but raised in the trial court and are matters of record
having some bearing on the issue submitted which the parties failed to raise or which the lower court ignored;
5. Matters not assigned as errors on appeal but closely related to an error assigned; and
6. Matters not assigned as errors on appeal but upon which the determination of a question properly assigned is
dependent. (Riano, Civil Procedure: A Restatement for the Bar, pp. 445-446, 2009 ed.)
What is the purpose of an appellants / appellees brief?
A: To present to the court in a concise form the points and question in controversy, and by fair argument on the facts and
law of the case, to assist the court in arriving at a just and proper conclusion/ decision (De Liano v. CA (2006)).
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.
Although Rule 45 is explicitly saying that only questions of law could be raised in a petition on certiorari, The SC has
recognized a number of exceptions.
Exceptional issues where the SC allowed the appeal whereas factual issues were raised (see Rule 45). (MEMORIZE at
least 5)
Exceptions in which factual issues may be resolved by the Supreme Court:
(a) When the findings are grounded entirely on speculation, surmises or conjectures;
(b) When the inference made is manifestly mistaken, absurd or impossible;
(c) When there is grave abuse of discretion;
(d) When the judgment is based on misapprehension of facts;
(e) When the findings of facts are conflicting;
(f) When in making its findings, the CA went beyond the issues of the case, or its findings are contrary to the
admissions of both the appellant and the appellee;
(g) When the findings are contrary to the trial court;
(h) When the findings are conclusions without citation of specific evidence on which they are based;
(i) When the facts set forth in the petition as well as in the petitioners main and reply briefs are not disputed by
the respondent;
(j) When the findings of fact are premised on the supposed absence of evidence and contradicted by the
evidence on record; and
(k) When the Court of Appeals manifestly overlooked certain relevant facts not disputed by the parties, which, if
properly considered, could justify a different conclusion.
The following cases allow factual issues to be raised based on SC Circulars:
1. Kalikasan cases
2. Amparo
3. Habeas Data
Both factual and legal questions can be raised under Rule 45 in these three situations.
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.
Is the first 5-year period strictly implemented by the rules?
It is not. It can be extended according to the Rules. The SC has decided that if the institution of the judgment within the first
five years is delayed, and the delays are equitable or are attributable solely to the conduct of the judgment debtor, then the
5-year period will be correspondingly be extended, that is equal the delay caused by the conduct of the judgment debtor.
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.
If the motion for execution is granted, which is expected, as the judgment has become final and executory, can the
judgment debtor file an appeal against the order granting the motion for execution?
No. Under Section 1 Rule 41, an order granting motion for execution is not appealable. Also, the order will be treated as a
final order. The remedy is to file a petition under Rule 65, a petition for prohibition.
Supposed the trial court denies a motion for execution of judgment that has already been entered, is appeal the remedy
of a judgment creditor?
No, it does not seem so, based also under Section 1 Rule 41. The creditor should also resort to Rule 65. The petition that he
should file is a petition for mandamus. Mandamus is proper as there is a ministerial duty for the court to perform. Under
Rule 39, as long as the judgment has been entered, it has become a ministerial duty of the court to grant a motion for
execution. That is an act that can be compelled by a writ of mandamus.
Can the trial court promptly deny a motion for execution of a judgment that has been entered, or can the trial court
rightly quash the writ of execution it has issued because the judgment has become final and executory?
The general rule is that the trial court cannot quash or rightly deny a motion for execution if the judgment has already been
entered. But, there are certain exceptions that the SC has recognized.
First is if the judgment sought to be enforced has already been novated.
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.
Q: Is a writ of execution subject to a motion to quash?
A: A writ of execution may be quashed on certain grounds:
1. When the writ of execution varies the judgment;
2. When there has been a change in the situation of the parties making the execution inequitable or unjust;
3. When execution is sought to be enforced against a property exempt from execution;
4. When it appears that the controversy has never been submitted to the judgment of the court;
5. When the terms of the judgment are not clear enough and there remains room for interpretation thereof;
6. When it appears that the writ of execution has been improvidently issued;
7. When it appears that the writ of execution is defective in substance, or is issued against the wrong party, or that the
judgment debt has been paid or otherwise satisfied or the writ is issued without authority (Reburiano v. CA, 301 SCRA 342).
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.
With respect to the revival mentioned in the Rules pertaining to the 2nd 5-year period, this is an independent action.
Since this is an independent action, if the original action was a real action, but this is now simply a revival, can we still
consider the revival action still as a real action?
The SC held yes. If the original action is a real action, the action to revive that judgment will also be a real action. And
therefore, the venue in Rule 4 will still be followed. In Rule 4, the venue will be determined by the place where the property
is located. Thus, the revival of action will be field in the court having jurisdiction over the place where the property is
situated. The case will be cognizable by the RTC because it is incapable of pecuniary estimation.
revived in his name for the whole price with interest, or so much thereof as has been delivered to the
judgment obligor. The judgment so revived shall have the same force and effect as an original
judgment would have as of the date of the revival and no more.
The revival of judgment in Section 34 Rule 39 is not the revival of a dormant judgment, but refers to a judgment already
executed.
The situation contemplated in Section 34 Rule 39 is that judgment is executed, properties are levied upon, and these
properties have been sold at public auction, but the highest bidder, or anybody who thereafter acquire the property, is not
able to get possession of the property because of opposition or legal complications that are related to the execution of
judgment. According to Section 34, the revival of judgment could be had through a motion or through an independent
action. Thus, there is a difference between a revival of judgment under Section 34 Rule 39 where it is a revival of a
judgment already executed via a motion or via an independent action, and the revival of a dormant judgment where there
has been no execution within the first 5-year period prescriptive period of a judgment under Section 6 Rule 39.
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.
How does the court enforce a duly entered judgment?
Through the granting of a motion for execution and through the issuance of a writ of execution. It all depends on the tenor
of the judgment. If the judgment awards money, there will be a levy of properties. If the award involves delivery of
properties or documents, there will be no levy on execution of properties, the property to be delivered will just be seized
from the judgment debtor, and there is a delivery of possession to the judgment creditor.
If the judgment directs the judgment debtor to sign a deed of conveyance or a deed of sale in favor of the judgment
creditor, and the judgment debtor refuses, the court can appoint another person, usually the clerk of court, to sign the
document on behalf of the judgment debtor. That document cannot be considered a spurious document, but one that is
signed effectively by the judgment debtor following a lawful order of the court.
If the judgment directs the judgment debtor to vacate a piece of land or building, the court, through the sheriff, will forcibly
oust him from the building. The court will throw out the things belonging to the occupants.
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.
Can there be contempt in collection of money cases by way of exception?
Generally, no, but it can be had in support cases. Failure to give support can result with the disobeying person being cited in
contempt, as well as being subjected to a criminal case for failure to give support.
Generally, a judgment debtor who refuses to obey the writ of execution cannot be cited in contempt. There are other more
effective remedies under Rule 39 in order to carry out the possible satisfaction of the judgment. The more effective remedy
under Rule 39 is to levy the properties of the judgment debtor, seizure thereof and sell them at public auction.
Levy of properties under Rule 39 does not automatically mean that possession of the levied properties will be in the hands
of the sheriff or the court. If properties of the judgment debtor that are levied upon are real properties, the judgment
debtor will have continued possession thereof, he will not be ousted. The court will simply submit a copy of the levy of
execution to the RoD and ask the RoD to annotate the fact that the real property is subject to a lien via a levy on execution.
What is important to know in the levy of real properties is that the judgment debtor will not be ousted from his physical
possession of the real property. He will continue to be in possession of the real property although it is already subject of a
levy.
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.
What happens after the levy is implemented by the court?
Levy of properties under Rule 39 should always be followed by sale by public auction. We will not have an execution if we
stop at levying of properties. The levy must always be accompanied by a sale by auction. If there is only a levy without a
sale by auction, then that levy can be nullified by the court. It is the duty of the court to see to it that an actual levy of
properties should be followed by a public auction sale.
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.
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 property levied upon is a personal property of a 3rd party claimant, can 3rd party file complaint for replevin?
Yes. The claimant must implead the sheriff and the judgment creditor (prevailing party).
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.
SC has come up with these principles that are applicable to redemption of real property and principles applicable because
there is no redemption allowed in personal property:
1.Personal property is sold in auction, and the price generated is inequitably low, the sale is void. The highest bidder does
not acquire ownership of the property. The court will issue an order declaring the sale as ineffectual. Sheriff must schedule
another auction sale until the price generated is not inequitably low.
2.Real property is sold at public auction, it does not matter as to price even if inequitably low, the sale will be valid. The
low price will not render the sale void because of the existence of the right to redeem by the judgment debtor. If the price
is very low, that is advantageous to the judgment debtor, because if he decides to redeem the property, he need only to
match the auction sale price.
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.
So, if the judgment debtor was able to redeem the property by producing 500k, but the judgment creditor was
not yet fully paid, the judgment creditor will be tempted to have another levy on the property. The judgment
creditor could really entertain that idea because he has not yet been fully paid. In Rule 39, there must be full
satisfaction of the award to put an end to the litigation. If the judgment creditor decides to have another levy on
the same property previously levied upon, but the property had been redeemed by the judgment debtor, can
the same levying creditor carry out another levy on the same property?
SC held that in this situation, the same levying creditor cannot impose another levy on the same property. If the
levying creditor wants to have full satisfaction of his lien, he should make another lien on another property owned
by the judgment debtor. Or, he could avail of the other remedies provided for in Rule 39 if he cannot get full
satisfaction of the judgment.
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.
Q: What are the rights of a judgment debtor during the period of redemption?
A:
1. To remain in possession of the property until the expiration of period of redemption;
2. To collect rents and profits until the expiration of period of redemption (Sec. 32);
3. To use the property in the same manner it was previously used;
4. To make necessary repairs; and
5. Use it in the ordinary course of husbandry (Sec. 31).
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.
A receiver is one of the provisional remedies in the RoC. Receivership is allowed by the court, although the case has already
been terminated, being already in the execution stage of the judgment. This is one instance where a provisional remedy can
be used even after a case has been decided by the court. The usual concept of a provisional remedy is that they are availed
of during the pendency of the case, before entry of judgment. But in the case of receivership, this remedy can be availed of
under Rule 39 even if the case has already been decided, the judgment has been entered and is now subject to execution.
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.
This is the reason why a cadastral proceeding is considered as an action in rem, because the judgment in that litigation is
conclusive upon the title, it is not conclusive upon the plaintiff or defendant. Since the judgment in a cadastral proceeding is
conclusive upon the title of the property, that judgment will have to be binding against the litigants as well as anybody who
has an interest over the property, although these persons might have not been involved in the litigation.
In the probate of a will, which is another procedure in rem, when there is a decision of the court admitting the will to
probate, it is conclusive upon the will or administration. Therefore, anybody who have an interest in the will must respect
the decision of the court.
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.
An example of an action in personam could be an action involving reconveyance of property. If the action is only an action
for reconveyance or an accion reinvindicatoria, it is an action in personam. Although real property is involved, still it is an
action in personam.
Plaintiff won the case with attachment of property. Judgment is entered. The plaintiff is now the owner of the property
insofar as the judgment is concerned. However, X, the true owner of the property, filed a case for recovery of the
property. Is there res judicata?
No. There is no identity of parties between the first and second case. There also there may be no identity in cause of action,
although there is identity in the subject matter to recover.
If there is identity in the subject matter, does it not follow that there will be identity in the causes of action?
No. That would not be the correct assumption. There could be identity as to the subject matter, but the causes of action
could still be different.
For instance, in accion reinvindicatoria, the subject matter involves a piece of land. The case involves title to a piece of land.
If there was another complaint filed involving the same piece of land, the cause of action could be different, although they
are referring to the same land. For instance, there could be a case for unlawful detainer filed involving the same property.
Again, though involving the same subject matter, the causes of action for accion reinvindicatoria and unlawful detainer are
different. Accion reinvindicatoria involves recovery of title to the property, while unlawful detainer involves recovery of
physical possession of the property. In this case, the second case cannot be dismissed by reason of res judicata as there is
no identity of causes of action.
General Rule on Res Judicata under Section 47 Rule 39
When the judgment is entered as contemplated in Section 47, Rule 39, then the effect of the judgment is similar to a
judgment in rem or judgment in personam. The collateral principle that we adopt from this rule on res judicata is that the
judgment that has been entered shall become immutable, it cannot be changed or modified, even by the SC itself.
Everybody will have to respect res judicata applicable to this judgment.
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.
The debt based on a promissory note was 1M payable in 2 installments. The debtor defaulted in the 1st installment. The
creditor filed a case where creditor stated that the PNs signature was forged. Court held that the signature on the note
was genuine. Then, the second installment became due. Can another complaint be had?
Yes. Each installment gives rise to a separate cause of action.
Can forgery be raised again on the promissory note?
No. Judgment on the first case is conclusive insofar as the genuineness of the note is concerned.
creditor were now living in the Philippines. The judgment debtor has accumulated certain propertied in the Philippines. Can
the judgment creditor in that Japan case file a motion for execution in the Philippine courts?
No. The Philippine court cannot entertain the motion as it knows nothing about the claim of the judgment creditor against
the judgment debtor in the Japan case.
Is there a remedy available to the judgment creditor to enforce the judgment of the Japan court in the Philippines?
Yes, the remedy is found in Section 48 (b) Rule 39. The judgment from the Japanese court is a presumptive evidence of the
judgment creditors right against the judgment debtor.
How does the judgment creditor make use of that rule that the decision of the Japan court is presumptive evidence of his
right against the judgment debtor?
The creditor should file an independent complaint for the enforcement of the decision of the Japan court. And the only
evidence that he needs to convince the court as to the preponderance of evidence needed to prove his right is to present to
the Philippine court a certified true copy of the decision rendered by the Japan court. If he is able to present a certified true
copy of the decision to the Philippine court, the court will then apply the presumption given under Section 48(b) Rule 39,
that the decision of the Japan court is presumptive evidence of the rights between the parties.
In Section 48, there is a last paragraph talking about repelling of a foreign judgment. A judgment of a foreign court can be
repelled by evidence of a want of jurisdiction, want of notice to the party, collusion, fraud, or clear mistake of law or fact
committed by the foreign court. Hence, if the creditor files a case for the enforcement of the decision of the Japan court,
the judgment debtor can present evidence that will repel the foreign decision, such as want of jurisdiction over his person.
Can all these grounds repel a local judgment?
No. The defenses available for repelling the execution of a foreign judgment is not availing.
Why cannot the defendant oppose the execution of a local judgment using the grounds to repel a foreign judgment?
We do not allow a motion for execution to be denied on the argument did based on want of jurisdiction, want of notice to
the party, collusion, fraud, or clear mistake of law or fact committed by the court because that will be a collateral attack on
the judgment, which is generally not allowed under the Rules. We can only allow a direct attack on the judgment by filing a
petition to annul that judgment, on the ground of lack of jurisdiction over the subject matter, lack of jurisdiction over the
person of the defendant or extrinsic fraud. We cannot use these grounds to collaterally attack the judgment in our system.
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.
Section 48 allows collateral attacks only against a foreign judgment, which cannot be allowed insofar as local judgments are
concerned.
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.
When can a collateral attack be had against a judgment?
When the judgment is patently void on its face, it is vulnerable to collateral attacks.
Ex. The judgment contains only the dispositive portion. This kind of judgment is void on its face. (Shimizu vs. Magsalin)
PROVISIONAL REMEDIES
Also called as Interim relief and provisional order
Q: What are the Provisional Remedies under the Rules of Court?
A:
1. Preliminary Attachment (Rule 57)
2. Preliminary Injunction (Rule 58)
3. Receivership (Rule 59)
4. Replevin (Rule 60)
5. Support Pendente Lite (Rule 61)
Q: What are the Other Provisional Remedies available?
A:
1. Temporary custody over a minor
2. Deposit in Actions for Annulment of Sale (Reyes v. Lim)
3. Restraining order against the accused in cases of violence among immediate family members living in the same domicile
and household
4. Hold departure orders issued by Regional Trial Courts in criminal cases
5. Interim reliefs under Writ of Amparo:
a. Temporary Protection Order
b. Witness Protection Order
c. Inspection Order
d. Production Order
(Riano, Civil Procedure: A Restatement for the Bar, p. 534-536, 2009 ed.)
Rule 57 to Rule 61 as well as Separate circulars of the SC on WHD and WA.
Writ of Habeas Data under certain circumstances, it functions as a provisional remedy
Writ of Amparo under certain circumstances, it functions as a provisional remedy
Amparo Provisional Remedies
Protection order
Production Order
Witness Protection Order
Inspection Order
Common element: There is a pending principal action, except when the provisional remedy by itself is or can be treated as
a principal action, such as Replevin, Writ of Amparo and Writ of Habeas Data.
We cannot file an independent action solely for the purpose of obtaining as a principal relief any of these provisional
remedies.
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.
Levy on attachment is a provisional remedy.
The enumeration of provisional remedies in the rules is no longer exclusive.
The new rules/circulars issued by the SC used the following terms:
1. Provisional Order related to marriage-related cases
2. Interim Relief Amparo
3. Provisional Order or Provisional Remedy - Kalikasan
Provisional remedies cannot be the principal action itself, subject to the exception of Replevin. Provisional remedy of a writ
of replevin is an application for recovery of personal property in the main case.
Support pendente lite cannot be a principal action, as the principal action should be a complaint for support, with
application of the provisional remedy of support pendente lite.
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.
In the circular of Kalikasan, Production and inspection orders, formerly modes of discovery, were elevated as provisional
remedies in Amparo and Kalikasan writs. Also included were TEPO, preliminary attachment, ocular inspection order, cease
and desist order (Sec. 15a) and production and inspection order.
In these new circulars, the SC has elevated several Modes of Discovery as provisional remedies like production of
documents and inspection of things, they are now treated as provisional remedies. The Kalikasan court can issue a
production and inspection order or an ocular inspection order.
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.
Although we have several provisional reliefs, interim reliefs or provisional orders, it is incorrect to assume that there are
commonalities. These different circulars have not adopted the provisions in the Rules (Rules 57 up to 61).
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.
In the Amparo circular, there is nothing mentioned about the posting of a bond by the applicant. This is similar to that in
circular on marriage-related cases, where no bond is required
In the circular for the Writ of Kalikasan, the issuance of Temporary Environmental Protection Order does not require a
bond. Just like preliminary injunction, there can be TRO good for 72 hours, but can be extended until the end of the case.
What is peculiar is that the party required to post a bond in a TEPO is not the applicant but the adverse party who will
apply the lifting of the TEPO. When the adverse party moves for the lifting of the TEPO, the adverse party is required to file
a bond to protect the other party. In most preliminary reliefs, it is the applicant who files a bond. The filing of a
counterbond will lift the preliminary relief. The same is true with a TEPO. But the applicant does not have to file a bond. If
the TEPO is issued, the adverse party wants to have the bond lifted, then he will be required to post a bond to protect the
interest of the applicants.
Another rule of interim relief or provisional remedies that is applicable to the issuance of the interim reliefs is that the
interim relief or provisional order is always interlocutory, it is not a final order and has nothing to do with the merits of the
case. Appeal is not allowed.
The accepted remedy to challenge the issuance of a provisional remedy or interim relief or a provisional order is Rule 65,
but in some circulars, that has also been changed substantially. For instance, in summary procedure, in cases in the MTC,
when it grants a provisional order, it is not appealable, and the adverse party cannot file a petition under Rule 65. The
reason is that the application of availment of Rule 65 in order to challenge an interlocutory order is prohibited under
summary proceedings. Likewise in Amparo, there is a similar provision stating that grant of provisional order is
interlocutory, and Rule 65 is not available, being an expressly prohibited pleading (See Section 11l of The Rule on The
Writ of Amparo). In the circular of Kalikasan, the issuance of TEPO is also interlocutory. Although it can be challenged, the
problem is the challenge on a TEPO can only be filed before the SC under Rule 65.It is only the SC that can entertain a
petition assailing the issuance of a TEPO. So, do not be of the impression that all of these remedies being provisional in
character, they are governed by the same set of rules. They are governed by a different set of rules, depending upon the
circular of the SC applicable to each one of them.
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:
(a) In an action for the recovery of a specified amount of money or damages, other than moral and
exemplary, on a cause of action arising from law, contract, quasi-contract, delict or quasi-delict against a
party who is about to depart from the Philippines with intent to defraud his creditors;
(b) In an action for money or property embezzled or fraudulently misapplied or converted to his own use
by a public officer, or an officer of a corporation, or an attorney, factor, broker, agent, or clerk, in the
course of his employment as such, or by any other person in a fiduciary capacity, or for a willful violation
of duty;
(c) In an action to recover the possession of property unjustly or fraudulently taken, detained or
converted, when the property, or any part thereof, has been concealed, removed, or disposed of to
prevent its being found or taken by the applicant or an authorized person;
(d) In an action against a party who has been guilty of a fraud in contracting the debt or incurring the
obligation upon which the action is brought, or in the performance thereof;
(e) In an action against a party who has removed or disposed of his property, or is about to do so, with
intent to defraud his creditors; or
(f) In an action against a party who does not reside and is not found in the Philippines, or on whom
summons may be served by publication.
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.
The last is closely related to Rule 14 (Summons), in gaining jurisdiction over the person of the party. The applicant is moving
for an interim relief in order to enable him to secure for himself a judgment in court by attachment of the properties of the
party who could not be served with summons in any manner, including by publication. When the property of the absent
party is attached, the action in personam will be converted to an action in rem or quasi in rem by virtue of a preliminary
attachment issued by the court and actually implemented by the sheriff.
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.
If we will note in the cases enumerated in Section 1, mainly, the conduct of the adverse party is criminal in character. It is a
common saying in preliminary attachment that the fraud committed could be a criminal fraud or wholly a civil fraud (an act
of fraud that has not reached the level of a crime) that will justify issuance of preliminary attachment. The conduct should
fall in any one of the instances under Section 1 of Rule 57.
Thus, the issuance of a bouncing check can cause the filing of an information as well as an application for attachment of
properties of the drawer. There is fraud in the performance of an obligation. In the NCC, if there is fraud in performance of
an obligation (dolo incidente), or a fraud in contracting (dolo causante, a deception employed by one party prior to or
simultaneous to the contract in order to secure the consent of the other). In both instances, they are justification for the
issuance of preliminary relief.
Supposing the plaintiff has a creditor that holds collateral. If there is default in payment of indebtedness, and there is a
case of collection with allegation of intent to defraud, can the creditor move for preliminary attachment over the
collateral?
Yes. Although applicant may have a security already in hand, the court may still grant such preliminary attachment if the
applicant proves such collateral/security is insufficient to satisfy the debt. Thus, creditor can look for other properties of
the debtor sufficient to secure the obligation due once the court grants preliminary attachment.
In preliminary attachment, there are 2 rules that are applicable to preliminary attachment as well as other provisional
remedies in the Rules when they are granted ex parte:
1. Prior and/or contemporaneous service of summons
2. Principle under Section 20 Rule 57
Prior and/or contemporaneous service of summons there is an application filed after the commencement of the action,
and even before the court acquires jurisdiction over the person of the defendant via summons, the court may already have
approved the application for attachment.
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.
Since preliminary attachment, if carried out, is a derogation on the right of ownership of the adverse party, the rule on
attachment should be strictly construed in order to protect the right of ownership of the adverse party. If the properties of
the defendant are going to be subject to attachment, and these properties are those capable of delivery, like a car, they will
be seized in custodia legis so long as the preliminary attachment is not lifted. But the property will not be delivered to the
plaintiff, nor used by the defendant. It will be in the custody of the court. If the court takes 3 years to decide the case, the
property will be under custody of the court for 3 years.
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 remedies under Rule 57 can be lifted.
How preliminary attachment is lifted:
1. File a cash deposit with the court equal to the attachment bond or
2. File a counterbond via surety authorized by the court (The filing of such counterbond will make a ministerial duty of the
court to lift the preliminary attachment.)
3. Motion for lifting preliminary attachment due to being improper or irregular a motion must be filed by the defendant,
with notice of hearing.
If the defendant has already posted a counterbond and the preliminary attachment has already lifted. Can he apply for
reversal of the order granting preliminary attachment?
Yes. Even if the defendant has caused the lifting of the preliminary attachment by payment of cash deposit or by
counterbond, he can still file a motion to lift the preliminary attachment. This is because he has put up counterbond or cash
deposit enough to secure the satisfaction of the claim of the plaintiff, and there is no need for the attachment anymore.
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.
Remember that Rule 20 is a provision that is followed by other provisional remedies where there is a bond required
(preliminary injunction, receivership and replevin) before the court will issue the preliminary relief prayed for.
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.
Instances where a court cannot grant PI or TRO:
1. in the enforcement of Kalikasan statutes (except the SC, as only SC is authorized to issue TRO or PI in Kalikasan cases)
2. if there is a TEPO issued by any court (it is only the SC that can prevent the carrying out of the TEPO)
3. In the case of infrastructure projects of the national government (only the SC that can prevent the carrying out of the
project)
4. When it is a government bank that forecloses the mortgage (only the SC that can prevent the carrying out of the
foreclosure, either judicial or extra-judicial)
5. court has no authority to grant injunctive relief against the BoC. (violation of separation of powers)
6. court cannot grant injunctive relief against deportation of aliens (violation of separation of powers)
If we compare the remedies available to a defendant against whom an injunctive writ has been issued to that of which a
Preliminary Attachment has been issued, in Rule 57, in PA, if the adverse part/defendant files with the court a counterbond,
the lifting of the PA is ministerial to the court. The properties will be returned. PI cannot be lifted without a hearing despite
posting of counterbond. The court cannot rely on the filing of a counterbond to lift the PI, as it has to study the merit of the
lifting of the injunction. It is not a matter of right of the adverse party to expect the injunction court to lift the PI just
because of the filing of a counterbond. The reason why the Rules do not make it a ministerial duty of the court to lift the PI
simply because there is a counterbond is due to the ground of grave and irreparable injury. The injury cannot be measured
exactly, there is no mathematical formula to determine extent of damages that applicant can suffer in injunction cases.
In Preliminary Injunction (PI) and Preliminary Mandatory Injunction (PMI), we should always relate these to the summary
proceedings. Relate these in relation to Forcible Entry and Unlawful Detainer in the NCC. The MTC can grant PA or PMI.
The NCC contains some procedures in the matters pertaining to Forcible Entry or Unlawful Detainer. In the NCC, which is
copied by Rule 70, it is provided that the court can grant PI or PMI in cases of ejectment. If the MTC grants PI or PMI, that
cannot be appealed or challenged by a petition under Rule 65. Under the rule on summary proceedings, Rule 65 is a
prohibited pleading in summary proceedings in challenging an interlocutory order. This is the Rule found in Rule 70, as well
as in some articles of the NCC.
But when that ejectment case is appealed in the RTC, in the exercise of its appellate jurisdiction, the NCC, as well as the
Rules, provides that the RTC can grant PMI or PI if applied by the plaintiff/applicant. PI or PMI granted by the RTC as an
appellate court remains unappealable as it remains to be interlocutory, but this can now be challenged under Rule 65.
This is because summary procedure is in effect while the case is in the MTC, whereas on appeal in the RTC, the regular
procedure applies, and challenge under Rule 65 is allowed.
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.
Relate this to the remedies of a judgment creditor in Rule 39 when he is unable to recover full satisfaction of his account.
Under Rule 39, the judgment creditor can ask for examination of the judgment debtor for any properties. If there are
properties present, judgment creditor can apply that such properties be placed in receivership.
There has to be a summary hearing, no ex parte appointment of a receiver is allowed.
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.
There is another feature in receivership that is not found in the other provisional remedies. In receivership, there are two
bonds :
1. Bond of the applicant
2. Bond of the receiver
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..
1. Jurisdiction is either RTC or MTC depending on the value of the property alleged in the complaint. As long as the court
has jurisdiction over the complaint based on the alleged value of the personal property, the court can issue the provisional
remedy of a writ of replevin.
Note: Value of the property = jurisdictional
2. The bond required is different than the other provisional remedies. The bond is DOUBLE THE VALUE of the property
subject to seizure AS ALLEGED in the complaint. The court has not further authority to increase or decrease the bond. IT
will be based solely on the value of the property as alleged in the complaint.
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.
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.
Remedies in case of violation against giving of support under substantive law: (Dean Jara: This probably violates the equal
protection clause as they are relatively unfavorable to us men.)
1. Imprisonment for commission of a crime
2. Citation for contempt and imprisonment
3. Issuance of an order of execution against violator under Rule 39
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.
Also, with respect to the Provisional Orders granted by a Family Court in marriage-related cases, although the provisional
orders are called by some other name, these partake in the nature of an injunction.
TPO in a marriage-related case is actually a prohibitory injunction and a mandatory injunction at the same time. This is
because in the protection order, the Family Court prohibits respondent from certain acts,, which is a prohibitory injunction.
Also, the Family Court can tell the respondent not to enter the former conjugal dwelling and to remove his personal
properties from the house. Thus, it partakes of a mandatory injunction.
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.
To properly appreciate why a civil action is further classified into a special civil action, all that we have to do is to check Rule
1. In Rule 1, a special civil action is inherently a civil action. What makes it special is that the Rules require additional
procedure for each and every special civil action that is not followed in ordinary civil proceedings. Unless there is a special
rule specifically devoted to a certain special civil action, we will still apply ordinary rules of civil procedure.
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.
One of the features of interpleader which is not possessed by ordinary civil actions is the absence of a cause of action. In
ordinary civil actions, if there is no cause of action, the complaint will be dismissed. In a complaint for interpleader or a
counterclaim for interpleader, the plaintiff does not aver a cause of action. The plaintiff in interpleader cannot say that he
has a cause of action because it is an essential requirements in an action for interpleader that the plaintiff does not allege a
right at all; or if he alleges a right, nobody has violated the right, the defendants agree he has a right or does not contest the
right.
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.
In interpleader, a summoned defendant who failed to file an answer shall be declared in default.
In Rule 9, when there is a complaint against several defendants, and one or two of these defendants failed to file an answer
while the others filed an answer, Rule 9 says that the non-answering defendant will be declared in default, but the nonanswering defendant will be tried based on the answer filed by the other answering defendants. Hence, if the answering
defendant wins, the defaulting defendant automatically wins. This is because both answering and non-answering
defendants are sued under a common cause of action.
We do not apply Rule 9 to an interpleader. In interpleader, when one defendant files an answer and the other did not file
an answer and was declared in default, the defaulting defendant automatically loses the case. This is because the Rules
provide, that in addition to being declared in default, the non-answering defendant will lose his claim. Although in reality
the defaulting defendant has a claim, his being declared in default will make him lose his right to the claim. Thus, if there
are only two defendants and one of them was declared in default, since the defaulting defendant has already lost the case,
the remaining defendant will have a great chance of being declared as the one with the right to the subject of the
interpleader. This is because the plaintiff in the interpleader does not have any right or interest to the claim of either
defendants. The remaining defendant will be declared as the one with the right to the claim that is the subject of the
interpleader.
Q: What are the three special civil actions which are within the jurisdiction of MTCs?
A:
1. Interpleader, provided that the amount is within the jurisdiction of such MTC
2. Ejectment suits
3. Contempt
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).
Q: What are the requisites in order that the remedy of interpleader may be availed of?
A:
1. Plaintiff claims no interest in the subject matter or his claim is not disputed
2. Two or more claimants asserting conflicting claims
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.
Distinguish declaratory judgment from ordinary judgment.
A:
DECLARATORY JUDGMENT
Declaratory judgment stands by itself and no executory
process follows
Intended to determine any question of construction or
validity prior to breach or violation
ORDINARY JUDGMENT
Ordinary judgment involves executor or coercive relief
Intended to remedy or compensate injuries already suffered
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.
If we compare this procedure governing the other similar remedies in Rule 63, you will notice right away that while the
court can outrightly refuse to entertain a petition for declaratory relief, the court cannot outrightly refuse a petition for
consolidation of title, reformation of instrument or quieting of title. This is expressly provided in Rule 63. So, if the
complaint is for the consolidation of title, the court will have to follow the procedure outlined in ordinary civil cases, which
is not followed in declaratory relief. In declaratory relief, if the court notices that not all contracting parties are impleaded
in the case, it can refuse to entertain the petition as the judgment will not resolve the lawsuits which may be filed as a
result of this mistake.
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.
It is settled when a person doubts his citizenship, he cannot file a petition for declaratory relief. He can decide for himself
right away. He needs not go to court. He can register as a voter, which then shall be tantamount to his recognition as a
Filipino. Or, he may opt to go through naturalization. If he files a petition for declaratory relief as to his citizenship, the court
will dismiss outrightly the petition. This is because declaratory relief is interested only in declaration of rights and duties
under a deed, will, contract or any other instrument. There is no deed, contract or other instrument which will be involved
in determining whether a person is a Filipino or not. If he is not a Filipino citizen, then he may need to go through
naturalization or administrative way of acquiring citizenship, not through a petition for declaratory relief to be filed before
the RTC.
Rule 65
Directed to any tribunal, board or officers exercising judicial
or quasi-judicial functions;
Must be filed within 60 days from notice of judgment or
resolution
If MR is denied, the aggrieved party will have another 60
days within which to file the petition counted from the
notice of denial.
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).
Certiorari as a Mode of Appeal (Rule 45)
Called petition for review on certiorari, is a mode of appeal,
which is but a continuation of the appellate process over the
original case;
Seeks to review final judgments or final orders;
CA, SC
Appellate
Appellate
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.
However, SC had sought to prevent being swamped by petitions under Rule 65. To remedy the abuse by petitioners, SC
devised the principle of hierarchy of courts under Section 4 of Rule 65. This will limit the choice that theoretically a
petitioner has. Effectively, petitioners are prohibited from going directly to the SC under Rule 65. Petitioner must file first in
the RTC or in the CA. If a petition was filed directly in SC, it will outrightly dismiss a petition if such petition is insufficient in
form or substance. Even if the petition is well-crafted, a single omission, such as the PTR number, shall dismiss it for being
insufficient in form.
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
Note: It is commenced by the filing of a verified petition accompanied by certified true copy of the judgment, order or
resolution subject thereof, copies of all pleadings and documents relevant and pertinent thereto and a sworn certification
of non-forum shopping. (Sec. 1, Rule 65).
Q: When is certiorari under Rule 65 unavailable?
A:
1. Summary procedure
2. Writ of Amparo
3. Writ of Habeas Data
4. Small claims cases (Riano, Civil Procedure: A Restatement for the Bar, p. 629, 2009 ed.)
Q: When is prohibition issued?
A:
GR: Prohibition does not ordinarily lie to restrain an act which is already fait accompli.
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)
Note: Prohibition and not mandamus, is the remedy where a motion to dismiss is wrongfully denied (Enriquez v. Macadaeg,
G.R. No. L-2422, Sept. 30, 1949)
Is it fatal for a petitioner to file a petition for certiorari, although the true remedy is a petition for prohibition?
For instance, where a motion to dismiss is filed by the defendant on the ground of absence of jurisdiction over the subject
matter of the case. Said motion was denied. The defendant could appeal to the higher court via a petition under Rule 65.
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.
Remember that certiorari is different from prohibition and mandamus, although they are all contained in one Rule. The SC
will simply treat the petition for certiorari as a petition for prohibition. If you will analyze the requisites of a petition for
certiorari and prohibition, they are practically the same. There is not much difference between the concept given in Section
1 Rule 65 (Certiorari) and Section 2 Rule 65 (Prohibition). The only differences is that in certiorari, the petitioner asks that
the judgment or interlocutory order be annulled or set aside; in prohibition, the petitioner simply asks the prohibition court
to prevent the respondent court from going ahead with the proceedings, and in prohibiting the respondent court, the
prohibition court will be effectively telling the respondent court that the denial, the interlocutory order or the judgment
rendered therein should be set aside and annulled because it is a wrong final order or wrong interlocutory order.
CERTIORARI
That the petition is directed against a
tribunal, board or officer exercising
judicial or quasi-judicial functions;
The tribunal, board or officer has acted
without, or in excess of jurisdiction or
with abuse of discretion amounting to
lack or excess or jurisdiction
There is no appeal or any plain, speedy
and adequate remedy in the ordinary
course of law.
Accompanied by a certified true copy
of the judgment or order subject of the
petition, copies of all pleadings and
documents relevant and pertinent
thereto, and sworn certification of
non-forum shopping under Rule 46.
Prohibition is an extraordinary writ
commanding a tribunal, corporation,
board or person, whether exercising
judicial, quasi-judicial or ministerial
functions, to desist from further
proceedings when said proceedings are
without or in excess of its jurisdiction,
or with abuse of its discretion, there
being no appeal or any other plain,
speedy and adequate remedy in the
ordinary course of law (Sec. 2, Rule 65).
PROHIBITION
The petition is directed against a
tribunal, corporation, board or person
exercising judicial, quasi-judicial, or
ministerial functions;
The tribunal, corporation, board or
person must have acted without or in
excess of jurisdiction or with grave
abuse of discretion amounting to lack
of jurisdiction;
There is no appeal or any plain, speedy
and adequate remedy in the ordinary
course of law.
Accompanied by a certified true copy
of the judgment or order subject of the
petition, copies of all pleadings and
documents relevant and pertinent
thereto, and sworn certification of
non-forum shopping under Rule 46.
Mandamus is an extraordinary writ
commanding a tribunal, corporation,
board or person, to do an act required
to be done:
(a) When he unlawfully neglects the
performance of an act which the law
specifically enjoins as a duty, and there
is no other plain, speedy and adequate
remedy in the ordinary course of law;
or
(b) When one unlawfully excludes
another from the use and enjoyment
of a right or office to which the other is
entitled (Sec. 3, Rule 65).
Special civil action
To compel the performance of a
MANDAMUS
The plaintiff has a clear legal right to
the act demanded;
usurpation or assumption of
jurisdiction;
May be directed against entities
exercising judicial or quasi-judicial, or
ministerial functions
Extends to discretionary functions
But in our example, when a motion to dismiss founded on lack of jurisdiction is denied, it is also correct for the petitioner to
make use right away of Rule 65. If he immediately files a petition for certiorari either in the CA or SC, that petition for
certiorari will not be denied because it is not compliant with the requirements of Sections 1 and 2 Rule 65, that there is
no appeal, or any plain, speedy, and adequate remedy in the ordinary course of law. This phrase serves as an essential
requisite before we can properly file a petition under Rule 65. In fact, it is this phrase which is the source of the principle
that we learned that in Rule 65, a motion for reconsideration is a MUST. This is not expressly mentioned in Rule 65. Motion
for reconsideration is not even mentioned in Rule 65. A motion for reconsideration is always a plain, speedy and adequate
remedy in the ordinary course of law.
Note: General Rule: Motion for reconsideration is a condition precedent in the filing of a petition for certiorari under Rule
65. Motion for reconsideration is a plain and speedy remedy available prior to petition 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.
Although the rules describe the public respondent as a nominal party, it is in fact an indispensible party under Rule 65,
because it is the final order or judgment that it had issued that is being assailed or challenged. The reason why Rule 65 calls
the public respondent only as a nominal party is because in Rule 65 itself, it is provided that the public respondent is not
authorized to enter his appearance and to defend himself before the certiorari court. The fate of the public respondent lies
in the hands of the private respondent. It is the private respondent who will argue before the higher court and explain the
correctness of the interlocutory order or judgment that is being assailed under Rule 65. It is only in rare instances where the
higher court will allow the public respondent to argue on his own behalf or submit his own papers in the certiorari court. He
should always rely on the papers and pleadings that are submitted by the private 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.
The definition of Grave abuse of discretion amounting to lack or excess of jurisdiction is a very simple definition given by
the SC, when the public respondent acts whimsically, despotic and/or arbitrarily. The SC did not elaborate on whimsical,
despotic or arbitrary, so it would have to be resolved on a case-to-case basis.
For instance, a case is pending in the RTC for the collection of an indebtedness. The plaintiff applies for the issuance of a
writ of preliminary attachment. The court grants and issues the writ. Does the RTC act arbitrarily, acting gravely in abuse
of its discretion if it grants and issues the writ of preliminary attachment?
Yes, if that complaint does not fall any one of the cases mentioned in Rule 57:
(a) In an action for the recovery of a specified amount of money or damages, other than moral and
exemplary, on a cause of action arising from law, contract, quasi-contract, delict or quasi-delict against a
party who is about to depart from the Philippines with intent to defraud his creditors;
(b) In an action for money or property embezzled or fraudulently misapplied or converted to his own use
by a public officer, or an officer of a corporation, or an attorney, factor, broker, agent, or clerk, in the
course of his employment as such, or by any other person in a fiduciary capacity, or for a willful violation
of duty;
(c) In an action to recover the possession of property unjustly or fraudulently taken, detained or
converted, when the property, or any part thereof, has been concealed, removed, or disposed of to
prevent its being found or taken by the applicant or an authorized person;
(d) In an action against a party who has been guilty of a fraud in contracting the debt or incurring the
obligation upon which the action is brought, or in the performance thereof;
(e) In an action against a party who has removed or disposed of his property, or is about to do so, with
intent to defraud his creditors; or
(f) In an action against a party who does not reside and is not found in the Philippines, or on whom
summons may be served by publication.
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.
Hence, in the issuance of provisionary remedies or orders, it could happen that a court will gravely abuse its discretion
amounting to lack or excess of jurisdiction, a very despotic and arbitrary act of a court.
For instance, the defendant files an answer containing a negative defense properly crafted. Then the court grants a
summary judgment or rendered a judgment on the pleadings. That is an arbitrary act of the court. But if the decision
rendered is a summary judgment or judgment on the pleadings, Rule 65 may not be a correct remedy. This is because under
our Rules, because from a judgment, the remedy is to appeal from the judgment. Whenever there is an appeal available,
you better forget Rule 65, because it is available only when there is no appeal or other plain, speedy and adequate remedy
available in the ordinary course of law. This is the rule that we must always follow. Although, there are rare instances that
the SC allowed a petition for Rule 65 although appeal is still available. If you will remember, there are certain exceptions to
the general rule that a motion for reconsideration is a must before making use of Rule 65. There are also rare instances
where the court allowed a petition under Rule 65 even if appeal was still available, the reason being that in certain
instances, appeal is not a plain, speedy and adequate remedy available in the ordinary course of law.
Q: Is it an absolute rule that before recourse to certiorari is taken a motion for reconsideration must be filed?
A:
GR: Petition for certiorari will not be entertained unless the public respondent has been given first the opportunity
through a motion for reconsideration to correct the error being imputed to him.
XPNs: A prior motion for reconsideration is not necessary to entertain a petition for certiorari where:
1. Order is a patent nullity, as where the court a quo has no jurisdiction;
2. Questions raised in the certiorari proceedings have been duly raised and
passed upon by the lower court, or are the same as those raised and passed upon in the lower court;
3. Urgent necessity for the resolution of the question, and any further delay would prejudice the interests of the
Government or of the petitioner, or the subject matter of the action is perishable;
4. Under the circumstances, a motion for reconsideration would be useless;
5. Petitioner was deprived of due process and there is extreme urgency for relief;
6. In a criminal case, relief from an order of arrest is urgent and the granting of such relief by the trial court is
improbable;
7. Proceedings in the lower court are a nullity for lack of due process;
8. Proceedings were ex parte or in which the petitioner had no opportunity to object; and
9. Issue raised is one purely of law or where public interest is involved.
Can a petition under Rule 65 that is filed to challenge an interlocutory order or judgment be enough to suspend all
proceedings in the lower court and await the decision of the certiorari court on the petition for certiorari?
If the litigant is aggrieved by an order or judgment that is inappealable, it is not allowed under Rule 65 for the trial court
to suspend proceedings in the case pending before it. Proceedings will only be suspended if the higher court issues TRO
or writ of PI. Thus, it is practical to ask along with the petition for an issuance of TRO or writ of PI.
Take note of the modifications in Rule 65 concerning the abuse of parties and lawyers in using petition for certiorari,
prohibition or mandamus. It is under the principle of res ipsa loquitur. In the past, lawyers usually file such petitions
whenever motions are denied, citing abuse of discretion whereas under Rule 65, the required ground is GRAVE ABUSE of
discretion. In order to prevent this practice, SC incorporated in Rule 65 the application of the civil law principle of res ipsa
loquitur. If a lawyer and his client will go up to CA or SC under Rule 65, and the court resolves that the petition was
manifestly without merit or for purposes of delay, the lawyer and client will be held in contempt of court for filing such
manifestly unmeritorious petition or to pay a solidary debtor treble costs, and there may be administrative sanctions
against the lawyer.
If the writ of mandamus is issued as requested, there is propriety of awarding damages in favor of the petitioner, so it is
automatically awarded under Section 3 of Rule 65.In petitions for certiorari, petitioner may include petition for award of
damages. If proven, SC may award such damages.
SEC. 3. Petition for mandamus.When any tribunal, corporation, board, officer or person unlawfully
neglects the performance of an act which the law specifically enjoins as a duty resulting from an office,
trust, or station, or unlawfully excludes another from the use and enjoyment of a right or office to which
such other is entitled, and there is no other plain, speedy and adequate remedy in the ordinary course of
law, the person aggrieved thereby may file a verified petition in the proper court, alleging the facts with
certainty and praying that judgment be rendered commanding the respondent, immediately or at some
other time to be specified by the court, to do the act required to be done to protect the rights of the
petitioner, and to pay the damages sustained by the petitioner by reason of the wrongful acts of the
respondent.
The petition shall also contain a sworn certification of non-forum shopping as provided in the third
paragraph of section 3, Rule 46.
Rule 65 does not specifically provide for award of damages under Sections 1 and 2 (Certiorari and Prohibition respectively).
But the SC resolved that in proper instances, if there is a prayer for damages incorporated in a petition for certiorari or
prohibition, there is nothing wrong if the court grants the writ of certiorari or mandamus and award damages in favor of
the petitioner, although none is provided for it in Sections 1 and 2.The justification given by the SC is that in a petition for
certiorari or prohibition, there is always that prayer for any additional relief which the court will deem just and
equitable. SC said that is enough justification for the award of damages, so long as the petitioner is able to present proof of
damages.
Why do we consider Rule 65 as a special civil action?
1. Procedurally, the court can dismiss the petition for insufficiency in form and substance, which has a very broad in
interpretation. So even if the SC has jurisdiction, it can outrightly dismiss the petition.
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.
What is the remedy of the aggrieved party in a petition for certiorari?
The remedy is appeal, either by petition for review or petition on certiorari (Rule 45).
TABLE OF COMPARISON FOR THE WRITS OF HABEAS CORPUS, AMPARO, HABEAS DATA AND KALIKASAN
HABEAS CORPUS
You have the body
AMPARO
HABEAS DATA
Literal interpretation
To protect
You have the data
KALIKASAN
It is a Filipino word which
means nature in English
Governing Rule
Rule 102
Writ directed to the person
detaining another, commanding
him to produce the body of the
prisoner at a designated time
and place, with the day and
cause of his capture and
detention, to do, submit to, and
receive whatsoever the court or
judge awarding the writ shall
consider in that behalf.
Coverage
Involves the right to life, liberty, Involves the right to privacy in
and security of the aggrieved
life, liberty, and security of the
party and covers extralegal
aggrieved party and covers
killings and enforced
extralegal killings and enforced
disappearances.
disappearances.
Rights violated
There is an actual or threatened There is an actual or threatened
violation of the aggrieved
violation of the aggrieved
partys right.
partys right.
Where to file
RTC of the place where the
RTC where the petitioner or
threat, act or omission was
respondent resides, or that
committed or any of its
which has jurisdiction over the
elements occurred; SB or any
place where the data or
justice thereof; CA or any
information is gathered,
justice thereof; SC or any justice collected or stored, at the
thereof.
option of the petitioner; or with
SC, CA or SB when the action
concerns public data files or
government offices.
Who may file a petition
In the following order:
1. Any member of the
immediate family
2. Any ascendant, descendant,
or collateral relative of the
aggrieved party within the 4th
civil degree of consanguinity or
affinity
HABEAS CORPUS
If granted by SC or CA:
enforceable anywhere In the
Philippines;
If granted by RTC: enforceable
only within the judicial district
Payment is required
Note: Rule on indigent
petitioner applies.
Served upon the person to
whom it is directed, and if not
found or has not the prisoner in
his custody, to the other person
having or exercising such
custody
Officer by whom the prisoner is
imprisoned or the person in
whose custody the prisoner is
found
On the day specified in the writ
Respondent
Public official or employee or a
Public official or employee or a
private individual or entity.
private individual or entity
engaged in the gathering,
collecting or storing of data or
information regarding the
person, family, home and
correspondence of the
aggrieved party.
AMPARO
HABEAS DATA
Enforceability of the writ
Enforceable anywhere in the Philippines regardless of who issued
the same
Docket fees
Petitioner is exempted from
Payment is required.
payment
Note: Rule on indigent
petitioner applies.
Service of writ
Served upon the respondent
Served upon the respondent
personally; or substituted
personally; or substituted
service
service
Respondent
KALIKASAN
Enforceable anywhere in the
Philippines
Respondent
Not prohibited.
HABEAS CORPUS
Not allowed.
Not allowed.
Not allowed.
AMPARO
HABEAS DATA
KALIKASAN
Liability of the person to whom the writ is directed if he refuses to make a return
Indirect contempt.
Hearing
Date and time of hearing is
specified in the writ.
Period of appeal
Within 48 hours from notice of
the judgment or final order
appealed from.
Prohibited pleadings
None
1. Motion to dismiss;
2. Motion for extension of time to file opposition, affidavit,
position paper and other pleadings;
3. Dilatory motion for postponement;
4. Motion for a bill of particulars;
5. Counterclaim or cross - claim;
6. Third - party complaint;
7. Reply;
8. Motion to declare respondent in default;
9. Intervention;
10. Memorandum;
11. Motion for reconsideration of interlocutory orders or interim
relief orders; and
12. Petition for certiorari, mandamus or prohibition against any
interlocutory order.
1. Motion to dismiss;
2. Motion for extension of time
to file return;
3. Motion for postponement;
4. Motion for a bill of
particulars;
5. Counterclaim or cross-claim;
6. Third-party complaint;
7. Reply; and
8. Motion to declare
respondent in default.
decision could be executed as a matter of right even if the aggrieved party still has the right to appeal. This is an example of
a judgment that is immediately executory, but the aggrieved party enjoys the right of appeal.
In a special civil action for a writ of kalikasan, an appeal under Rule 45 is filed in the SC. Questions of fact could be raised
therein, as an exception to the general rule in Rule 45 that only questions of law could be raised before the SC.
Judgment in favor of petitioner, aside from being immediately executory, partakes of a permanent prohibitory mandatory
injunction and at the same time a permanent mandatory injunction. That is the tenor of a judgment in Kalikasan cases. The
judgment will always contain a provision in which respondent is permanently prohibited from violating or from doing an act
that will violate environmental laws, and the permanently mandatory part is that the LGU is given a mandate to enforce
environmental laws.
MMDA vs. Concerned Citizens Writ of Kalikasan and Continuing Mandamus petition to clean Manila Bay 2011
MMDA and various agencies were ordered by SC to clean Manila Bay until it is returned to its pristine condition. (Without
Continuing Mandamus, MMDA will not be compelled to execute the judgment.)
MMDA v. Concerned Residents of Manila Bay
The Cleaning or Rehabilitation of Manila Bay Can be Compelled by Mandamus
Generally, the writ of mandamus lies to require the execution of a ministerial duty. A ministerial duty is
one that requires neither the exercise of official discretion nor judgment. It connotes an act in which
nothing is left to the discretion of the person executing it. It is a simple, definite duty arising under
conditions admitted or proved to exist and imposed by law.Mandamus is available to compel action,
when refused, on matters involving discretion, but not to direct the exercise of judgment or discretion
one way or the other.
***
Respondents, on the other hand, counter that the statutory command is clear and that petitioners duty
to comply with and act according to the clear mandate of the law does not require the exercise of
discretion. According to respondents, petitioners, the MMDA in particular, are without discretion, for
example, to choose which bodies of water they are to clean up, or which discharge or spill they are to
contain. By the same token, respondents maintain that petitioners are bereft of discretion on whether
or not to alleviate the problem of solid and liquid waste disposal; in other words, it is the MMDAs
ministerial duty to attend to such services.
We agree with respondents.
First off, we wish to state that petitioners obligation to perform their duties as defined by law,
on one hand, and how they are to carry out such duties, on the other, are two different concepts. While
the implementation of the MMDAs mandated tasks may entail a decision-making process, the
enforcement of the law or the very act of doing what the law exacts to be done is ministerial in nature
and may be compelled by mandamus. We said so in Social Justice Society v. Atienza in which the Court
directed the City of Manila to enforce, as a matter of ministerial duty, its Ordinance No. 8027 directing
the three big local oil players to cease and desist from operating their business in the so-called
Pandacan Terminals within six months from the effectivity of the ordinance. But to illustrate with
respect to the instant case, the MMDAs duty to put up an adequate and appropriate sanitary landfill and
solid waste and liquid disposal as well as other alternative garbage disposal systems is ministerial, its duty
being a statutory imposition. The MMDAs duty in this regard is spelled out in Sec. 3(c) of Republic Act No.
(RA) 7924 creating the MMDA. This section defines and delineates the scope of the MMDAs waste
disposal services to include:
Solid waste disposal and management which include formulation and
implementation of policies, standards, programs and projects for proper and sanitary
waste disposal. It shall likewise include the establishment and operation of sanitary
land fill and related facilities and the implementation of other alternative programs
intended to reduce, reuse and recycle solid waste. (Emphasis added.)
The MMDA is duty-bound to comply with Sec. 41 of the Ecological Solid Waste Management
Act (RA 9003) which prescribes the minimum criteria for the establishment of sanitary landfills and Sec.
42 which provides the minimum operating requirements that each site operator shall maintain in the
operation of a sanitary landfill. Complementing Sec. 41 are Secs. 36 and 37 of RA 9003, enjoining the
MMDA and local government units, among others, after the effectivity of the law on February 15, 2001,
from using and operating open dumps for solid waste and disallowing, five years after such effectivity, the
use of controlled dumps.
The MMDAs duty in the area of solid waste disposal, as may be noted, is set forth not only in
the Environment Code (PD 1152) and RA 9003, but in its charter as well. This duty of putting up a proper
waste disposal system cannot be characterized as discretionary, for, as earlier stated, discretion
presupposes the power or right given by law to public functionaries to act officially according to their
judgment or conscience. A discretionary duty is one that allows a person to exercise judgment and
choose to perform or not to perform. Any suggestion that the MMDA has the option whether or not to
perform its solid waste disposal-related duties ought to be dismissed for want of legal basis.
A perusal of other petitioners respective charters or like enabling statutes and pertinent laws
would yield this conclusion: these government agencies are enjoined, as a matter of statutory
obligation, to perform certain functions relating directly or indirectly to the cleanup, rehabilitation,
protection, and preservation of the Manila Bay. They are precluded from choosing not to perform these
duties. ****
****
All told, the aforementioned enabling laws and issuances are in themselves clear, categorical,
and complete as to what are the obligations and mandate of each agency/petitioner under the law. We
need not belabor the issue that their tasks include the cleanup of the Manila Bay.
would not be set to naught by administrative inaction or indifference. In India, the doctrine of
continuing mandamus was used to enforce directives of the court to clean up the length of
the Ganges River from industrial and municipal pollution.
*****
In the light of the ongoing environmental degradation, the Court wishes to emphasize the
extreme necessity for all concerned executive departments and agencies to immediately act and
discharge their respective official duties and obligations. Indeed, time is of the essence; hence, there is a
need to set timetables for the performance and completion of the tasks, some of them as defined for
them by law and the nature of their respective offices and mandates.
The importance of the Manila Bay as a sea resource, playground, and as a historical landmark
cannot be over-emphasized. It is not yet too late in the day to restore the Manila Bay to its former
splendor and bring back the plants and sea life that once thrived in its blue waters. But the tasks ahead,
daunting as they may be, could only be accomplished if those mandated, with the help and cooperation of
all civic-minded individuals, would put their minds to these tasks and take responsibility. This means that
the State, through petitioners, has to take the lead in the preservation and protection of
the Manila Bay.
The era of delays, procrastination, and ad hoc measures is over. Petitioners must transcend
their limitations, real or imaginary, and buckle down to work before the problem at hand becomes
unmanageable. Thus, we must reiterate that different government agencies and instrumentalities
cannot shirk from their mandates; they must perform their basic functions in cleaning up and
rehabilitating the Manila Bay. We are disturbed by petitioners hiding behind two untenable claims: (1)
that there ought to be a specific pollution incident before they are required to act; and (2) that the
cleanup of the bay is a discretionary duty.
RA 9003 is a sweeping piece of legislation enacted to radically transform and improve waste
management. It implements Sec. 16, Art. II of the 1987 Constitution, which explicitly provides that the
State shall protect and advance the right of the people to a balanced and healthful ecology in accord
with the rhythm and harmony of nature.
So it was that in Oposa v. Factoran, Jr. the Court stated that the right to a balanced and
healthful ecology need not even be written in the Constitution for it is assumed, like other civil and
political rights guaranteed in the Bill of Rights, to exist from the inception of mankind and it is an issue
of transcendental importance with intergenerational implications. Even assuming the absence of a
categorical legal provision specifically prodding petitioners to clean up the bay, they and the men and
women representing them cannot escape their obligation to future generations of Filipinos to keep the
waters of the Manila Bay clean and clear as humanly as possible. Anything less would be a betrayal of
the trust reposed in them.
A continuing mandamus is another special civil action, but this time it is cognizable by the RTC, CA and the SC. Just like in
Rule 65 or the Writ of Kalikasan as a special civil action, the respondent is required to file a verified return, and if no return
is filed by respondent, court continues with the process of analyzing the merit of the petition for continuing mandamus.
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.
You will also notice that unlike in Kalikasan, there is no provision concerning appeals in continuing mandamus.. In the writ
of Kalikasan as a special civil action, appeal under Rule 45 is a remedy, raising only questions of law and questions of fact. .
It would seem that the appeals provided in ordinary civil procedure will govern. If the trial court is the RTC, the appeal could
be by notice of appeal provided in the Rules, or it could be an appeal directed to the SC. In ordinary civil cases, we allow an
appeal from the RTC to the SC under Rule 45, but the appeal should only contain questions of law.
By-product or derivatives means any part taken or substance extracted from wildlife, in raw or in
processed form including stuffed animals and herbarium specimens.
Consent decree refers to a judicially-approved settlement between concerned parties based on public
interest and public policy to protect and preserve the environment.
Mineral refers to all naturally occurring inorganic substance in solid, gas, liquid, or any intermediate state
excluding energy materials such as coal, petroleum, natural gas, radioactive materials and geothermal
energy.
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.
Some Important provisions (Rules of Procedure on Environmental Cases):
Rule 2 SEC. 13. Service of summons, orders and other court processes.The summons, orders and other
court processes may be served by the sheriff, his deputy or other proper court officer or for justifiable
reasons, by the counsel or representative of the plaintiff or any suitable person authorized or deputized
by the court issuing the summons.
Any private person who is authorized or deputized by the court to serve summons, orders and other
court processes shall for that purpose be considered an officer of the court.
The summons shall be served on the defendant, together with a copy of an order informing all parties
that they have fifteen (15) days from the filing of an answer, within which to avail of interrogatories to
parties under Rule 25 of the Rules of Court and request for admission by adverse party under Rule 26, or
at their discretion, make use of depositions under Rule 23 or other measures under Rules 27 and 28.
Should personal and substituted service fail, summons by publication shall be allowed. In the case of
juridical entities, summons by publication shall be done by indicating the names of the officers or their
duly authorized representatives.
Rule 3 SEC. 3. Referral to mediation.At the start of the pre-trial conference, the court shall inquire from
the parties if they have settled the dispute; otherwise, the court shall immediately refer the parties or
their counsel, if authorized by their clients, to the Philippine Mediation Center (PMC) unit for purposes of
mediation. If not available, the court shall refer the case to the clerk of court or legal researcher for
mediation.
Mediation must be conducted within a non-extendible period of thirty (30) days from receipt of notice
of referral to mediation. The mediation report must be submitted within ten (10) days from the
expiration of the 30-day period.
Rule 3 SEC. 5. Pre-trial conference; consent decree.The judge shall put the parties and their counsels
under oath, and they shall remain under oath in all pre-trial conferences.
The judge shall exert best efforts to persuade the parties to arrive at a settlement of the dispute. The
judge may issue a consent decree approving the agreement between the parties in accordance with
law, morals, public order and public policy to protect the right of the people to a balanced and healthful
ecology.
Evidence not presented during the pre-trial, except newly discovered evidence, shall be deemed
waived.
Rule 4 SEC. 2. Affidavits in lieu of direct examination.In lieu of direct examination, affidavits marked
during the pre-trial shall be presented as direct examination of affiants subject to cross-examination by
the adverse party.
Rule 4 SEC. 3. One-day examination of witness rule.The court shall strictly adhere to the rule that a
witness has to be fully examined in one (1) day, subject to the courts discretion of extending the
examination for justifiable reason. After the presentation of the last witness, only oral offer of evidence
shall be allowed, and the opposing party shall immediately interpose his objections. The judge shall
forthwith rule on the offer of evidence in open court.
Rule 4 SEC. 4. Submission of case for decision; filing of memoranda. After the last party has rested its
case, the court shall issue an order submitting the case for decision.
The court may require the parties to submit their respective memoranda, if possible in electronic form,
within a non-extendible period of thirty (30) days from the date the case is submitted for decision.
The court shall have a period of sixty (60) days to decide the case from the date the case is submitted for
decision.
Rule 4 SEC. 5. Period to try and decide.The court shall have a period of one (1) year from the filing of
the complaint to try and decide the case. Before the expiration of the one-year period, the court may
petition the Supreme Court for the extension of the period for justifiable cause.
The court shall prioritize the adjudication of environmental cases.
Rule 5 SECTION 1. Reliefs in a citizen suit.If warranted, the court may grant to the plaintiff proper
reliefs which shall include the protection, preservation or rehabilitation of the environment and the
payment of attorneys fees, costs of suit and other litigation expenses.
It may also require the violator to submit a program of rehabilitation or restoration of the environment,
the costs of which shall be borne by the violator, or to contribute to a special trust fund for that
purpose subject to the control of the court.
Rule 5 SEC. 2. Judgment not stayed by appeal. Any judgment directing the performance of acts for the
protection, preservation or rehabilitation of the environment shall be executory pending appeal unless
restrained by the appellate court.
Rule 7 SEC. 6. How the writ is served.The writ shall be served upon the respondent by a court officer or
any person deputized by the court, who shall retain a copy on which to make a return of service.
In case the writ cannot be served personally, the rule on substituted service shall apply.
Rule 7 SEC. 7. Penalty for refusing to issue or serve the writ.A clerk of court who unduly delays or
refuses to issue the writ after its allowance or a court officer or deputized person who unduly delays or
refuses to serve the same shall be punished by the court for contempt without prejudice to other civil,
criminal or administrative actions.
Rule 10 SECTION 1. Institution of criminal and civil actions.When a criminal action is instituted, the civil
action for the recovery of civil liability arising from the offense charged, shall be deemed instituted with
the criminal action unless the complainant waives the civil action, reserves the right to institute it
separately or institutes the civil action prior to the criminal action.
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.
In case civil liability is imposed or damages are awarded, the filing and other legal fees shall be imposed
on said award in accordance with Rule 141 of the Rules of Court, and the fees shall constitute a first lien
on the judgment award. The damages awarded in cases where there is no private offended party, less
the filing fees, shall accrue to the funds of the agency charged with the implementation of the
environmental law violated. The award shall be used for the restoration and rehabilitation of the
environment adversely affected.
Rule 14 SECTION 1. Bail, where filed.Bail in the amount fixed may be filed with the court where the case
is pending, or in the absence or unavailability of the judge thereof, with any regional trial judge,
metropolitan trial judge, municipal trial judge or municipal circuit trial judge in the province, city or
municipality. If the accused is arrested in a province, city or municipality other than where the case is
pending, bail may also be filed with any Regional Trial Court of said place, or if no judge thereof is
available, with any metropolitan trial judge, municipal trial judge or municipal circuit trial judge therein. If
the court grants bail, the court may issue a hold-departure order in appropriate cases.
Rule 16 SEC. 4. Manner of questioning.All questions or statements must be directed to the court.
Rule 16 SEC. 5. Agreements or admissions.All agreements or admissions made or entered during the
pre-trial conference shall be reduced in writing and signed by the accused and counsel; otherwise, they
cannot be used against the accused. The agreements covering the matters referred to in Section 1, Rule
118 of the Rules of Court shall be approved by the court.
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.
If we compare quo warranto to mandamus, if you go back to Rule 65 Section 3, the second part of that section has a phrase
or clause which seems to overlap with the concept of quo warranto. Quo warranto refers to the usurpation, holding an
office without title. In mandamus, the second part of the section on mandamus speaks about a respondent who unlawfully
excludes another from the use or enjoyment of a right or office to which he is entitled. So there seems to be an overlap
between the second part of mandamus and quo warranto.
Rule 65 SEC. 3. Petition for mandamus.When any tribunal, corporation, board, officer or person
unlawfully neglects the performance of an act which the law specifically enjoins as a duty resulting from
an office, trust, or station, or unlawfully excludes another from the use and enjoyment of a right or
office to which such other is entitled, and there is no other plain, speedy and adequate remedy in the
ordinary course of law, the person aggrieved thereby may file a verified petition in the proper court,
alleging the facts with certainty and praying that judgment be rendered commanding the respondent,
immediately or at some other time to be specified by the court, to do the act required to be done to
protect the rights of the petitioner, and to pay the damages sustained by the petitioner by reason of the
wrongful acts of the respondent.
The petition shall also contain a sworn certification of non-forum shopping as provided in the third
paragraph of section 3, Rule 46.
Because of this seemingly overlap between mandamus and quo warranto, the SC has also resolved that there is nothing
wrong when a petitioner files a petition for mandamus or in the alternative a petition for quo warranto. The petitioner is
not very certain whether the right proceeding is mandamus or quo warranto, because these actions would involve really
the intrusion or usurpation of a public office or title.
But there is a great difference procedurally between mandamus and quo warranto although these petitions could be used
alternatively. This is because in a quo warranto proceeding, the petitioner could be the Solicitor General, although he is not
interested in the public office in question. Upon the instruction of the President, the SolGen is authorized to file a petition
for quo warranto. Or, if the instructions does not come from the President, the request comes from a relator. A relator is a
term associated with quo warranto, he is the petitioner, a person who believes he is entitled to the public office held by
another, and he is asking the SolGen to file a petition for quo warranto on his behalf. The SolGen, upon the request of a
relator, shall commence a petition for quo warranto. But the person interested in the office could himself file a petition for
quo warranto. That is what usually happens. The person who alleges he is entitled to a position can file a petition for quo
warranto in a competent court.
Quo warranto is a special civil action because of numerous changes in the procedure which modify the rules we apply to
ordinary civil actions.
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.
Q: A group of businessmen formed an association in Cebu City calling itself Cars Co. to distribute/sell cars in said
city. It did not incorporate itself under the law nor did it have any government permit or license to conduct its
business as such. The Solicitor General filed before the RTC in Manila a verified petition for quo warranto
questioning and seeking to stop the operations of Cars Co. The latter filed a motion to dismiss the petition on
the ground of improper venue claiming that its main office and operations are in Cebu City and not in Manila. Is
the contention of Cars Co. correct? Why?
A: No. As expressly provided in the Rules, when the Solicitor General commences the action for quo warranto, it
may be brought in a Regional Trial Court in the City of Manila, as in the case, in the CA or in the SC (Sec. 7, Rule 66).
(2001 Bar Question)
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.
Quo Warranto
Available against the holder of an office, who is the person
claiming the office as against petitioner, not necessarily the
one who excludes the petitioner
Recovery of damages is allowed within 1 year from the entry
of judgment of the petition for quo warranto
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.
Q: What are the requisites of a valid expropriation?
A:
1. Due process of law
2. Payment of just compensation
3. Taking must be for public use
Q: What is the power of eminent domain?
A: It is the right of the State to acquire private property for public use upon the payment of just compensation.
Q: When is expropriation proper?
A: It is proper only when the owner refuses to sell or, if the latter agrees, agreement as to the price cannot be reached.
Jurisdiction exclusively cognizable by RTC. The test in BP 129 as to assessed value of the property is not applied here.
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.
In case of reversion, when will the owner recover the expropriated property?
After a judgment in favor of owner has become final and executory. If there is an appeal, possession is not returned, except
when execution pending appeal is granted. Otherwise, a writ of possession shall be issued upon finality.
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.
WHEN PLAINTIFF CAN IMMEDIATELY ENTER INTO POSSESSION OF THE REAL PROPERTY
Q: What is the new system of immediate payment of initial compensation?
A: RA 8974 provides a modification of sec 2, Rule 67 where the Government is required to make immediate and direct
payment to the property owner upon the filing of the complaint to be entitled to a writ of possession. As a relevant
standard for initial compensation, the market value for the property as stated in the tax declaration or the current
relevant zonal valuation of the Bureau of internal Revenue (BIR), whichever is higher and the value of the improvements
and/or structures using the replacement cost method.
Note: RA 8974 applies in instances when the national government expropriates property for national government
infrastructure projects. Thus, if expropriation is engaged by the national government for purposes other than national
infrastructure projects, the assessed value standard and the deposit mode prescribed in Rule 67 continues to apply.
The intent of RA 8974 to supersede the system of deposit under Rule 67 with the scheme of immediate payment in cases
involving national government infrastructure projects is indeed very clear (MCWD v. J. King and Sons, GR 175983, April 16,
2009)
NEW SYSTEM OF IMMEDIATE PAYMENT OF INITIAL JUST COMPENSATION
Q: What is the new system of immediate payment of initial just compensation?
A: For the acquisition of right-of-way, site or location for any national government infrastructure project through
expropriation, upon the filing of the filing of the complaint, and after due notice to the defendant, the implementing agency
shall immediately pay the owner of the property the amount equivalent to the sum of (1) 100 percent of the value of the
property based on the current relevant zonal valuation of the BIR; and (2) the value of the improvements and/or structures
as determined under Sec. 7 of RA 8974 (Sec. 4, RA 8974).
Expropriation by LGUs, under the LGC, it must be alleged in the complaint that there is an ordinance authorizing the filing
expropriation complaint and a further allegation that LGU offered to buy the property from the owner, but the owner
refused (there was an attempt by the LGU to buy the property).
Based on past jurisprudence, if the state has expropriated a piece of land and had paid just compensation based on the
courts decisions, but the state did not push through with the project alleged in the complaint, there is nothing we can do
about it on ground of res judicata. The case can no longer be reopened. But that was old jurisprudence. Recently, the
decision on Mactan-Cebu International Airport cases, the last of which was decided in 2010, the SC held that in the case of
the public purpose of the expropriation being unfulfilled, the former owners can rightfully file a complaint in the RTC for
the reversion of the property and reconveyance of the property expropriated, the amount of payment of which shall be
based on the just compensation paid at the time of expropriation (the purpose being to return to the government the
amount of just compensation paid to them).
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.
In other words, if we follow the reasoning of the SC, expropriation could be de jure expropriation, it could also be de facto
expropriation. If the government actually occupies a piece of land and introduces improvements therein, with the tolerance
of the owner of the property, that is effectively an expropriation of the property. And the only remedy of the land owner is
to file an ordinary case for the recovery of just compensation. There will still be a need to fix the amount of just
compensation.
We follow the same procedure if the subject of expropriation is personal property. But there are laws fixing the amount to
be deposited if the government wants to take possession of the personal property right away.
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.
Because of the possibility of multiple of appeals in expropriation proceedings, the requirements of appeal are changed. In
ordinary civil proceedings, the period to appeal is 15 days, and what needs to be filed is just a notice to appeal. In
expropriation proceedings, since there could be multiple appeals, the period to appeal is extended to 30 days, and together
with notice of appeal, appellant is also required to file a record on appeal. Failure to file record to appeal means the appeal
is not perfected.
Q: City of Iloilo (petitioner) represented by Mayor Treas filed a complaint for eminent domain against Javellana seeking
to expropriate two parcels of land. Mayor Treas filed a motion for issuance of writ of possession alleging that it had
deposited 10% of the amount of compensation of which the court issued. A writ of possession was subsequently issued,
and petitioner was able to take physical possession of the properties. After which, the expropriation proceedings
remained dormant. 16 years later, Javellana filed an ex parte motion/manifestation, where he alleged that when he
sought to withdraw the money, he discovered that no deposit was made. Thus, Javellana filed a complaint for recovery
of possession, fixing and recovery of rental and damages. The City of Iloilo argues that Javellana could no longer bring an
action for recovery since the subject property was already taken for public use. The trial court in its orders and amended
orders maintained that the assailed orders issued by it were interlocutory in character and as such are always subject to
modification and revision by the court anytime. Is the order of expropriation final?
A: Expropriation proceedings have two stages. The first phase ends with an order of dismissal, or a determination that the
property is to be acquired for a public purpose. The second phase consists of the determination of just compensation. Both
orders, being final, are appealable.
An order of condemnation or dismissal is final, resolving the question of whether or not the plaintiff has properly and
legally exercised its power of eminent domain. Once the first order becomes final and no appeal thereto is taken, the
authority to expropriate and its public use can no longer be questioned. Thus, it has become final, and the petitioners right
to expropriate the property for a public use is no longer subject to review. (City of Iloilo v. Hon. Lolita Contreras-Besana,
G.R. No. 168967, Feb. 12, 2010).
May Congress enact a law providing that a 5,000 square meter lot, a part of the UST compound in Sampaloc, Manila, be
expropriated for the construction of a park in honor of former City Mayor Arsenio Lacson? As compensation to UST, the
City of Manila shall deliver its 5-hectare lot in Sta. Rosa, Laguna originally intended as a residential subdivision for the
Manila City Hall employees. Explain.
A: Yes, Congress may enact a law to expropriate property but it cannot limit just compensation. The determination of just
compensation is a judicial function and Congress may not supplant or prevent the exercise of judicial discretion to
determine just compensation. Under Sec. 5, Rule 67 of the Rules of Court, the ascertainment of just compensation requires
the evaluation of 3 commissioners. (2006 Bar Question)
residences of all persons having or claiming an interest in the property subordinate in right to that of the holder of the
mortgage (Sec. 1).
JUDICIAL VS.EXTRA-JUDICIAL FORECLOSURE
Judicial Foreclosure
Extra-judicial Foreclosure
Governed by Rule 68
Governed by Act 3135
There is only an equity of redemption except when the
Right of redemption exists
mortgagee is a bank
Requires court intervention
No court intervention necessary
Mortgagee need not be given a special power of attorney.
Mortgagee is given a special power of attorney in the
mortgage contract to foreclose the mortgaged property in
case of default
Note: A mortgagee may bring a personal action for the amount due, instead of a foreclosure suit, in which case, he will be
deemed to have waived his right to proceed against the property in a foreclosure proceeding. (Movido v. RFC, G.R. No. L11990, May 29, 1959)
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.
Extra-judicial foreclosure of real mortgage is governed by special law, the Real Estate Mortgage Law. We deal only with the
notary public or the court sheriff. There is a circular issued by the SC concerning extra-judicial real estate mortgage, so we
follow that SC circular when it comes to extra-judicial foreclosure. In the circulars, the mortgagee will not need to file a
complaint, but instead will be dealing with notary public or sheriff. There will also be public auction, period of redemption,
and consolidation of title by RoD. The only time when the purchaser in this foreclosure needs to go to court is when the
purchaser needs to recover possession of the property. He will have to go to court in order to petition for the issuance of a
writ of possession.
In extra-judicial foreclosure of mortgage, the period of redemption is similar to Rule 39, 1 year from registration of the
certificate of sale. This period of redemption is one of the distinctions of judicial under Rule 68 and extra-judicial
foreclosure of mortgage.
Redemption in judicial foreclosure is called equity of redemption. It is redemption just the same. Period of redemption is
between 90 to 120 days from entry of judgment. Such short period is actually misleading, as it can be without a definite
end. The counting must be commenced from ENTRY of judgment or final order. There are 3 judgments or final orders to
be rendered in judicial foreclosure. For each stage, there could be an appeal in each final order. The counting starts upon
entry of all three judgments or final orders. Thus, if one or two judgments were appealed in the CA up to the SC, then such
period is extended until the finality of the said judgments, which could take many years. If an appeal is perfected on time,
there can be no entry of judgment. This is the reason why mortgagees are discouraged from engaging in judicial
foreclosures.
Q: Distinguish equity of redemption from right of redemption.
A:
Equity of Redemption
Right of Redemption
Right of the defendant mortgagor to extinguish the
Right of the debtor, his successor in interest or any judicial
mortgage and retain ownership of the property by paying
creditor or judgment creditor of said debtor or any person
the debt within 90-120 days after the entry of judgment or having a lien on the property subsequent to the mortgage or
even after the foreclosure sale but prior to confirmation
deed of trust under which the property is sold to redeem
the property within 1 year from the registration of the
Sheriffs certificate of foreclosure sale
Governed by Rule 68
Governed by Secs. 29-31, Rule 39
Note: There is no right of redemption in judicial foreclosure sale after the confirmation of sale except those granted by
banks or banking institutions in favor of non-judicial persons as provided by the General Banking Act (Government
Insurance System v. CFI of Iloilo, G.R. No. 45322, July 5, 1989).
In extra-judicial foreclosure, the mortgagor has the right to redeem the property within one year from the registration of
the deed of sale. However, Sec. 47 of the General Banking Act provides that in case of extra-judicial foreclosure, juridical
persons shall have the right to redeem the property until, but not after, the registration of the certificate of foreclosure sale
which in no case shall be more than 3 months after foreclosure, whichever is earlier.
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)
A mortgagee can only foreclose extra-judicially under the Real Mortgage Law if he is given an SPA to do so by the
mortgagor. Otherwise, he must make use of judicial foreclosure of mortgage. If mortgagee files a complaint for judicial
foreclosure, the first problem is jurisdiction.
SC held that foreclosure of REM is always cognizable under the RTC. It is not capable of pecuniary estimation.
Notwithstanding the nature of foreclosure of a real estate, the SC used the reasons in expropriation. SC held that a judicial
foreclosure of a real estate mortgage is incapable of pecuniary estimation since in the first stage, the court determines the
right of plaintiff to foreclose, which is incapable of pecuniary estimation.
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.
Does it mean to say that the debtor is an indispensible party?
Yes. The mortgagor is an indispensable party, whose property is sought to be foreclosed. Remember that a mortgage is a
collateral contract. There must always be a principal contract coupled with a contract of real estate mortgage. Thus, we
should always implead the mortgagor, who is an indispensable party in the recovery of the indebtedness.
How about the mortgagor, is he an indispensible party?
Yes. He is also an indispensible party as it is his property that will be foreclosed. He might lose his property if it is foreclosed
to satisfy the obligation incurred by the debtor.
Supposing the mortgagor files an answer and sets up the defense that the mortgage insofar as he is concerned is void
due to lack of consideration thereto, is this a valid argument against the foreclosure?
It is untenable. In civil law, where there is a collateral under an accessory contract, the consideration under the principal
contract serves automatically as the consideration for the accessory contract. The mortgagor only has himself to blame,
setting up his property as security for the benefit of the debtor without compensation.
Subsequent lien holders are necessary parties, so they will lose their equity of redemption incase the plaintiff wins the case.
The only reason why subsequent mortgagees should be impleaded under the Rules is to protect the 1st mortgagee,
assuming that he wins the case, from these subsequent lien holders (subsequent mortgagees) from exercising their equity
of redemption. If the subsequent mortgagees are not impleaded, and there is a decision in favor of the 1st mortgagee, the
subsequent mortgagees will not lose their equity of redemption. Meaning, they do not start to count the 90 to 120 days
period from entry of judgment so as to bar these subsequent lien holders from exercising their right to equity of
redemption. That is the only reason why Rule 68 says that subsequent lien holders should be impleaded, because they are
necessary parties, so that they will lose their equity of redemption if ever the 1st mortgagee will win the case.
In an indispensible party is not impleaded, the court will order plaintiff to amend his complaint and include said party.
Failure to implead an indispensible party despite order of the court will result in the dismissal of the case.
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.
Q: Arlene borrowed P1 million from GAP Bank (GAP) secured by the titled land of her friend Gretchen who, however, did
not assume personal liability for the loan. Arlene defaulted and GAP filed an action for judicial foreclosure of the real
estate mortgage impleading Arlene and Gretchen as defendants. The court rendered judgment directing Arlene to pay
the outstanding account of P1.5 million (principal plus interest) to GAP. No appeal was taken by Arlene. Arlene failed to
pay the judgment debt within the period specified in the decision. At the foreclosure sale, the land was sold to GAP for
P1.2 million. The sale was confirmed by the court, and the confirmation of the sale was registered with the Registry of
Deeds on January 5, 2002.
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.
1. Resolve the motion for the issuance of a writ of possession.
2. Resolve the deficiency claim of the bank.
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.
2. The deficiency claim of the bank may be enforced against the mortgage debtor Arlene, but it cannot be enforced
against Gretchen, the owner of the mortgaged property, who did not assume personal liability of the loan. (2003 Bar
Question)
If the mortgagee holds a chattel mortgage, he will have to foreclose it under the provisions of the Chattel Mortgage Law via
an extra-judicial foreclosure of chattel mortgage. The problem of the mortgagee in a chattel mortgage is similar to that of a
mortgagee in a real estate mortgage. In mortgage arrangements, the collateral is usually left to the possession of the
mortgagor. In real estate mortgage, mortgagor continues to be in possession of the real property. In a chattel mortgage,
chattel is retained by mortgagor. (If mortgagor loses possession of the personal property, the contract will not remain a
contract of mortgage, but one of pledge.) With respect to real estate mortgage, the possession of the collateral by debtor
does not give much of a problem. Mortgagee, if he is the highest bidder, can ask for writ of possession after the auction
sale. The problem by the mortgagee in a chattel mortgage is that the personal property must be in his possession before
he can extra-judicially sell the chattel subject to the mortgage. Mortgagees in a chattel mortgage usually resort to court
action by filing a complaint for replevin and avail of the provisional remedy of a warrant of seizure or a writ of replevin.
The court can grant the provisional remedy even before the mortgagor files an answer. Once the mortgagee gains
possession of the chattel, he can proceed with the process of extra-judicial foreclosure of a chattel mortgage.
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 coowner 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).
Note: It is commenced by a complaint. (Sec.1, Rule 69)
Q: What are the requisites of a valid partition?
A:
1. Right to compel the partition;
2. Complaint must state the nature and extent of plaintiff's title and a description of the real estate of which partition is
demanded; and
3. All other persons interested in the property must be joined as defendants (Sec. 1, Rule 69)
Who may file and who should be made defendants?
A: The action shall be brought by the person who has a right to compel the partition of real estate (Sec. 1, Rule 69) or of an
estate composed of personal property, or both real and personal property (Sec. 13, Rule 69). The plaintiff is a person who is
supposed to be a co-owner of the property or estate sought to be partitioned. The defendants are all the co-owners.
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.
Note: Creditors or assignees of co-owners may intervene and object to a partition affected without their concurrence. But
they cannot impugn a partition already executed unless there has been fraud or in case it was made notwithstanding a
formal opposition presented to prevent it. (Sec. 12, Rule 69)
Can co-owners agree among themselves to partition without going to court?
Yes. If they were able to agree among themselves, then they do not need to go to court anymore. The only time they go to
court is the time when they cannot agree in the partition. But even if they cannot agree at the start, and therefor there is
now a complaint for partition now filed in court, during the pendency of the case, they can file agree voluntarily on how to
partition that property. And if they want, they can submit the agreement of partition to the court. If the court approves the
agreement of partition, that will be a decision on the merits by the court. It is a partition in the form of a compromise
agreement duly approved by the court. So even during the pendency of the case, there nothing to prevent the plaintiff and
the defendants from entering voluntarily into a voluntary partition. They may not allow the court to decide how the
property will be divided.
But if the parties insist in partition to be done by the court, it will involve a 2-stage proceeding.
Partition is a two-stage proceeding.
First proceeding the court will issue an order for partition,
Second proceeding the court may appoint commissioners to determine how the property will be divided among the coowners.
There could be a third stage if there is no agreement on the system of accounting for the properties; the court will order
the co-owner who has been managing the property to submit his accounting to the court for its approval, but he furnishes a
copy to show how he has spent the income and how he has kept the income as a fund for the preservation of the property.
If you happen to read the provisions in the NCC on co-ownership, it would seem that if there is a complaint for partition
filed by one co-owner against the other co-owners, it seems the other co-owners cannot set up a very meritorious defense.
When one of the co-owners wants to leave, that is a right given him by substantive law. Nobody can stop him from leaving
the co-ownership.
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.
FC Art. 159. The family home shall continue despite the death of one or both spouses or of the
unmarried head of the family for a period of ten years or for as long as there is a minor beneficiary, and
the heirs cannot partition the same unless the court finds compelling reasons therefor. This rule shall
apply regardless of whoever owns the property or constituted the family home.
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. 1673. The lessor may judicially eject the lessee for
any of the following causes:
(1) When the period agreed upon, or that which is fixed
for the duration of leases under Articles 1682 and 1687,
has expired;
the defendant.
The 1 year period is generally counted from the date of
actual entry on the land.
Accion Reinvindicatoria
An action for the recovery of
ownership, which necessarily includes
the recovery of possession.
RTC has jurisdiction if the value of the
property exceeds P20,000 or P50,000
in Metro Manila.
MTC has jurisdiction if the value of the
property does not exceed the above
amounts.
Usually in UD, the contract involved is a contract of lease. There is a land lord-tenant relationship, the tenant does not pay
rental, there is a written demand to vacate and to pay back rentals, and if tenant fails to pay, then there could be a
complaint for UD.
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.
The latest decision involving this kind of stipulation in a contract of lease was last 2009/10, one of the parties was By the
Bay, Inc. It also involved a lease of a commercial property, with essentially the same set of facts involving the same
stipulation, that the land lord can take over the property extra-judicially if tenant failed to pay upon written demand to pay
back rentals and vacate. The SC affirmed it past decision, that the lease contract is one with a resolutory condition.
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.
Supposing the land lord of a contract without that stipulation physically enters the property, ejects the tenant, throws
out the things of the tenant and starts to occupy the property. The land lord is now in possession of the property. Can
the tenant file a case against the land lord for forcible entry?
Yes. When the land lord forces his way into the rented property (subject to a contract of lease without the resolutory
condition), and the land lord acquired the property through force, intimidation, strategy or stealth, that is forcible entry.
Is there anything improper if the tenant files a case for unlawful detainer or forcible entry against the owner of the
property?
There is nothing wrong from the legal point of view, because what is involved in unlawful detainer or forcible entry is not
ownership, it is physical possession of the property. So the defendant in a case for FE or UD may be the owner of the
property when he is in unlawful possession of his own property, depending upon the circumstances of the case.
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
What can the tenant file to protect his right to possess?
~In case of UD, the tenant can file a case for reconveyance or reversion of tenanted property in the RTC
~He can also file a case for Quieting of Title in the RTC
~Complaint for Recovery of Possession in the RTC
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.
Can the court grant injunction while the case is pending?
A: The court may grant preliminary injunction, in accordance with the provisions of Rule 58, to prevent the defendant from
committing further acts of dispossession against the plaintiff. A possessor deprived of his possession through forcible entry
or unlawful detainer may, within five (5) days from the filing of the complaint, present a motion in the action for forcible
entry or unlawful detainer for the issuance of a writ of preliminary mandatory injunction to restore him in his possession.
The court shall decide the motion within thirty (30) days from the filing thereof (Sec. 15, Rule 70).
Note: Prior demand to vacate and to pay is jurisdictional in unlawful detainer, but not in all cases.
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.
IMPLIED NEW LEASE
In the NCC there are provisions governing the relationship of land lord and tenant once the lease has expired. If the
tenant had remained in unlawful possession by tenant was retained after 15 days from the end of the lease, there is an
implied new lease, but such implied new lease 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.
Art. 1670. If at the end of the contract the lessee should continue enjoying the thing leased for fifteen
days with the acquiescence of the lessor, and unless a notice to the contrary by either party has
previously been given, it is understood that there is an implied new lease, not for the period of the
original contract, but for the time established in Articles 1682 and 1687. The other terms of the original
contract shall be revived.
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
Propriety of the awarding of damages in FE and UD.
There is a conflict in jurisprudence as to extent of damages that could be awarded. The Section 1 of Rule 70 authorizes
awarding of damages, but it does not place a limit on the kind of damages to be awarded. In Sec. 17, there is a clear
statement as to award of damages being a reasonable amount as compensation for the use of the property if no amount is
stipulated in the lease contract.
SECTION 1. Who may institute proceedings, and when.Subject to the provisions of the next succeeding
section, a person deprived of the possession of any land or building by force, intimidation, threat,
strategy, or stealth, or a lessor, vendor, vendee, or other person against whom the possession of any land
or building is unlawfully withheld after the expiration or termination of the right to hold possession, by
virtue of any contract, express or implied, or the legal representatives or assigns of any such lessor,
vendor, vendee, or other person may at any time within one (1) year after such unlawful deprivation or
withholding of possession, bring an action in the proper Municipal Trial Court against the person or
persons unlawfully withholding or depriving of posses-sion, or any person or persons claiming under
them, for the restitution of such possession, together with damages and costs.
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.
There is a decision by the SC which held that Section 1 should be implemented if fully proven in court. Moral damages,
temperate damages, as well as other forms of damages may be awarded beside interest and the actual rent.
The greater number of SC decisions adhere to Section 17 Rule 70. There is a limit as to the award of damages that could be
had in MTC, and the MTC had always followed strictly the provisions of Section 17. The award of damages is based on the
amount stated in the contract as rentals or if none, a reasonable amount for the use of the property during the tenantship.
In what instances may the court resolve issue of ownership?
A: When the defendant raises the issue of ownership, the court may resolve the issue of ownership only under the
following conditions:
(a) When the issue of possession cannot be resolved without resolving the issue of ownership; and
(b) The issue of ownership shall be resolved only to determine the issue of possession (Sec. 16).
Note: The assertion by the defendant of ownership over the disputed property does not serve to divest the inferior court of
its jurisdiction. The defendant cannot deprive the court of jurisdiction by merely claiming ownership of the property
involved (Rural Bank of Sta. Ignacia vs. Dimatulac, 401 SCRA 742; Perez vs. Cruz, 404 SCRA 487).If the defendant raises the
question of ownership and the issue of possession cannot be resolved without deciding the question of ownership, the
issue of ownership shall be resolved only to determine the issue of possession (Sec. 3, RA 7691).
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)
Note: It is commenced by a verified petition with supporting particulars and certified true copies of documents or papers
involved therein (Sec. 4).
Q: What are the kinds of contempt?
A:
1. Direct or indirect, according to the manner of commission.
2. Civil or Criminal, depending on the nature and effect of the contemptuous act.
Q: Distinguish direct from indirect contempt?
A:
Direct Contempt
Committed in the presence of or so near a court.
Summary in nature
If committed against:
1. RTC fine not exceeding P2,000 or imprisonment not
exceeding 10 days or both.
2. MTC fine not exceeding P200 or imprisonment not
exceeding 1 day, or both.
Remedy: Certiorari or prohibition (or you could follow the
old jurisprudence, file a petition for habeas corpus on the
ground that the confinement is illegal. Dean Jara)
AKA Contempt in facie curiae (in front of the judge)
Indirect Contempt
Not committed in the presence of the court.
Punished after being charged and heard
IF COMMITTED AGAINST:
1. RTC FINE NOT EXCEEDING P30,000 OR IMPRISONMENT
NOT EXCEEDING 6 MONTHS OR BOTH
2. MTC fine not exceeding P5,000 or imprisonment not
exceeding 1 month or both.
Remedy: Appeal (by notice of appeal)
Civil Contempt
Remedial in nature
Purpose is to provide a remedy for an injured suitor and to
coerce compliance with an order for the preservation of the
rights of private persons
Intent is not necessary
Instituted by the aggrieved party or his successor or
someone who has pecuniary interest in the right to be
protected
Proof required is more than mere preponderance of
evidence
If judgment is for respondent, there can be an appeal
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.
There is no need to file a case, especially in direct contempt. In ordinary cases, if there is no complaint, the contender does
not know who the plaintiff is, and he is appearing before a court before a plaintiff can be identified. But in direct contempt,
it is clear that the plaintiff is the court. A contender would practically have no chance to win in this instance.
The complainant is the court, and the one who will decide the case is still the complaining court.
What are the acts which are deemed punishable as indirect contempt?
A:After a charge in writing has been filed, and an opportunity given to the respondent to comment thereon within such
period as may be fixed by the court and to be heard by himself or counsel, a person guilty of any of the following acts may
be punished for indirect contempt:
1. Misbehavior of an officer of a court in the performance of his official duties or in his official transactions;
2. Disobedience of or resistance to a lawful writ, process, order, or judgment of a court, including the act of a
person who, after being dispossessed or ejected from any real property by the judgment or process of any court of
competent jurisdiction, enters or attempts or induces another to enter into or upon such real property, for the
purpose of executing acts of ownership or possession, or in any manner disturbs the possession given to the
person adjudged to be entitled thereto;
3. Any abuse of or any unlawful interference with the processes or proceedings of a court not constituting direct
contempt under section 1 of this Rule;
4. Any improper conduct tending, directly or indirectly, to impede, obstruct, or degrade the administration of
justice;
5. Assuming to be an attorney or an officer of a court, and acting as such without authority;
6. Failure to obey a subpoena duly served;
7. The rescue, or attempted rescue, of a person or property in the custody of an officer by virtue of an order or
process of a court held by him (Sec. 3).
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 rules on contempt under Rule 71 apply to contempt committed against persons or entities exercising quasijudicial functions or in case there are rules for contempt adopted for such bodies or entities pursuant to law, Rule 71 shall
apply suppletorily (Sec 12, Rule 71)
Because of the nature of direct contempt proceedings where there is no initiatory proceeding filed, the remedy of the
contender is different from the remedy of the contender in indirect proceedings.
Citation for indirect contempt is not immediately executory, according to current jurisprudence. That is why there is a
remedy provided for in the Rules
Q: Lawyer Mendoza, counsel for the accused in a criminal case, was cited for direct contempt by Judge Tagle and was
sentenced to 10 days imprisonment. Lawyer Mendoza was placed in prison immediately. Lawyer Mendoza manifested
his readiness to post a bond and to appeal the order by certiorari to stay its execution but Judge Tagle said that the order
is immediately executory. Is Judge Tagle correct?
A: No. An order of direct contempt is not immediately executory or enforceable. The contender must be afforded a
reasonable remedy to extricate or purge himself of the contempt. Under Sec. 2, Rule 71, of the Rules of Court, a person
adjudged in direct contempt by any court may not appeal therefrom, but may avail himself of the remedies of certiorari or
prohibition. The execution of the judgment shall be suspended pending resolution of such petition, provided such person
files a bond fixed by the court which rendered the judgment and conditioned that he will abide by and perform the
judgment should the petition be decided against him (Tiongco v. Judge Salao, A.M. No. RTJ-06-2009, July 27, 2006).
Contenders remedy in indirect contempt is an ordinary appeal as in criminal cases. In indirect contempt, if contender is
found guilty, he has the right to appeal.
In Direct Contempt, the remedy is Rule 65 or Habeas Corpus.
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.
A:
1. The punishment for indirect contempt depends upon the level of the court against which the act was committed;
(a) Where the act was committed against an RTC or a court of equivalent or higher rank, he may be punished by a
fine not exceeding 30,000 pesos or imprisonment not exceeding 6 months, or both;
(b) Where the act was committed against a lower court, he may be punished by a fine not exceeding 5,000 pesos
or imprisonment not exceeding one month, or both. Aside from the applicable penalties, if the contempt consists
in the violation of a writ of injunction, TRO or status quo order, he may also be ordered to make complete
restitution to the party injured by such violation of the property involved or such amount as may be alleged and
proved(Sec. 7);
(c) Where the act was committed against a person or entity exercising quasi-judicial functions, the penalty
imposed shall depend upon the provisions of the law which authorizes a penalty for contempt against such
persons or entities.
(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.
Q: May a non-party be held for contempt?
A: No, unless he is guilty of conspiracy with any one of the parties in violating the courts orders(DesaEnt., Inc. v. SEC, G.R.
No. L-45430, Sept. 30, 1982).
Q: Ray, through Atty. Velasco, filed a complaint for quieting of title against Chiz. Chiz, however, interposed the defense
that the documents relied upon by Ray and Atty. Velasco were forged and falsified. Finding that the said documents
were indeed forged and falsified, Judge Victoria cited Ray and Atty. Velasco for direct contempt and ordered them to
serve 10 days of detention at the Municipal Jail. Ray and Atty. Velasco filed a motion for bail and a motion to lift the
order of arrest. But they were denied outright by Judge Victoria. Is Judge Victoria correct?
A: No. Direct contempt is a contumacious act done facie curiae and may be punished summarily without hearing. Indirect or
constructive contempt, in turn, is one perpetrated outside of the sitting of the court.
Here the use of falsified and forged documents is a contumacious act. However, it constitutes indirect contempt not direct
contempt. The imputed use of a falsified document, more so where the falsity of the document is not apparent on its
face, merely constitutes indirect contempt, and as such is subject to such defenses as the accused may raise in the proper
proceedings. Thus, following Sec. 3, Rule 71, a contender may be punished only after a charge in writing has been filed,
and an opportunity has been given to the accused to be heard by himself and counsel.
Moreover, settled is the rule that a contempt proceeding is not a civil action, but a separate proceeding of a criminal
nature in which the court exercises limited jurisdiction. Thus, the modes of procedure and the rules of evidence in
contempt proceedings are assimilated as far as practicable to those adapted to criminal prosecutions. Thus, the judge
erred in declaring summarily that Ray and Atty. Velasco are guilty of direct contempt and ordering their incarceration. He
should have conducted a hearing with notice to Ray and Atty. Velasco (Judge Espanol v. Formoso, G.R. No. 150949, June 21,
2007).
In execution of judgment, Contempt is not a usual recourse to execute a judgment. But, contempt is the only recourse
whenever there is a writ or process (like a writ of mandamus or prohibition) that is issued by the court that is
subsequently disobeyed by the contender/respondent. We do not use contempt in Rule 39 when it comes to execution of
judgments for money or delivery of property. But when the judgment is about issues in special civil actions, the only
remedy will be a citation for contempt.
Q: When shall imprisonment be imposed?
A: When the contempt consists in the refusal or omission to do an act which is yet in the power of the respondent to
perform, he may be imprisoned by order of the court concerned until he performs it. Indefinite incarceration may be
resorted to where the attendant circumstances are such that the non-compliance with the court order is an utter
disregard of the authority of the court which has then no other recourse but to use its coercive power. When a person or
party is legally and validly required by a court to appear before it for a certain purpose, and when that requirement is
disobeyed, the only remedy left for the court is to use force to bring the person or party before it.
Note: The punishment is imposed for the benefit of a complainant or a party to a suit who has been injured aside from the
need to compel performance of the orders or decrees of the court, which the contemnor refuses to obey although able to
do so. In effect, it is within the power of the person adjudged guilty of contempt to set himself free.
Ordinary Action
To protect or enforce a right or prevent
or redress a wrong
Involve 2 or more parties plaintiff and
defendant
Governed by ordinary rules,
supplemented by special rules
Initiated by a complaint, and parties
respond through an answer
Heard by courts of general jurisdiction
Issues or disputes are stated in the
pleadings of the parties
Adversarial
Based on a cause of action
SPECIAL PROCEEDINGS
Special Proceeding
Involves the establishment of a right,
status, or fact
May involve only one party only
petitioner
Governed by special rules,
supplemented by ordinary rules
Initiated by a petition and parties
respond through an opposition
Heard by courts of limited jurisdiction
Issues are determined by law
Not adversarial
Not based on a cause of action (except
habeas Corpus)
Do not rely so much in the enumeration of the special proceedings in our RoC as some of them are no longer applicable.
Like constitution of a family home, there is no such proceeding now, a family home is constituted now under the NCC by
operation of law. There is no more need for a judicial declaration to consider a home as a family home. There is also no
more judicial recognition of illegitimate children. This concept has been changed also by the FC, where recognition takes
place by operation of law.
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.
What makes a proceeding a special proceeding or a special action that is entertained by the court?
The definition given in the rules is a very clear and simple definition. A special proceeding is one that is commenced for the
purpose of establishing a right, status or a particular fact. Intrinsic in this definition of special proceedings therefore is the
conclusion that special proceedings generally are not designed to be adversarial. There is no contest between 2 contending
parties. All you have to do is to look for the particular fact or status or right which the petitioner seeks to establish and to
be declared by the court.
SETTLEMENT OF ESTATES OF DECEASED PERSONS
With respect to settlement of estates in the concept of special proceedings, we have to go back to Rule 1 to appreciate the
meaning of a special proceeding.
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: Why is probate necessary?
A: To settle all questions concerning the capacity of the testator and the proper execution of his will, irrespective of
whether its provisions are valid and enforceable. (Fernandez v. Dimagiba, G.R. No. L-23638, Oct. 12, 1967)
A:
1. IN REM- It is binding upon the whole world.
2. MANDATORY- No will shall pass either real or personal property unless it is proved and allowed in the proper court.
Note: However, a will may be sustained on the basis of Article 1080 of the NCC which states that, if the testator
should make a partition of his property by an act inter vivos or by will, such partition shall stand in so far as it does
not prejudice the legitime of the forced heir. (Mang- Oy v. CA, L-27421, 1986)
3. IMPRESCRIPTIBLE- because of the public policy to obey the will of the testator
4. DOCTRINE OF ESTOPPEL DOES NOT APPLY- the probate of the will is mandatory. The presentation and probate of the
will is required by public policy. It involves public interest. (Fernandez v. Dimagiba, L- 23638, 1967)
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.
XPNS: Principle of practical considerations wherein the court may pass upon the intrinsic validity of the will:
1. If the case where to be remanded for probate of the will, it will result to waste of time, effort, expense, plus added
anxiety; as in the case of absolute preterition (Nuguid v. Nuguid, G.R. No. L-23445, June 23, 1966).
2. Where the entire or all testamentary dispositions are void and where the defect is apparent on its face (Nepomuceno v.
CA, G.R. No. L-62952, Oct. 9, 1985).
Note: Principle does not apply where the meat of the controversy is not the intrinsic validity of the will.
NOTE: The decree of probate is conclusive with respect to the due execution of the will and it cannot be impugned on any
of the grounds authorized by law, except by fraud, in any separate or independent action or proceeding.
WHO MAY PETITION FOR PROBATE
Q: Who may file petition for allowance of will?
A:
1. Executor (Sec. 1, Rule 76);
2. Devisee or legatee named in the will (Sec. 1, Rule 76);
3. Person interested in the estate; e.g. heirs
Note: An interested party is one who would be benefited by the estate, such as an heir, or one who has a claim
against the estate such as a creditor. (Sumilang v. Ramagosa, G.R. No. L-23135, Dec. 26, 1967)
4. Testator himself during his lifetime (Sec. 1, Rule 76); or
5. Any creditor as preparatory step for filing of his claim therein.
Q: Who are the people entitled to notice in a probate hearing?
A:
1. Designated or known heirs, legatees and devisees of the testator resident in the Philippines at their places of residence,
at least 20 days before the hearing, if such places of residence be known.
2. Person named executor, if he not the petitioner.
3. To any person named as co-executor not petitioning, if their places of residence be known.
4. If the testator asks for the allowance of his own will, notice shall be sent only to his compulsory heirs. (Sec. 4, Rule 76)
We compare that to a probate of a will where the testator is already dead. Since the testator is already dead, the petitioner
could be somebody else interested in his estate, like an heir, devisee, legatee or creditor of the decedent. In this second
kind of probate of a will where the testator has died, when the will is admitted to probate, that will not be the end of the
proceedings. In fact, that will mark the beginning of the settlement of estate of the deceased person. That is the time when
we apply the rules in special proceedings in settlement of estate of deceased person.
You should be wary about the differences between probate of a will when the testator is still alive, and the probate of a will
when the testator has already died. When the testator has already died, the admission to probate of that will not be the
proceedings, it will be the start the settlement of estate.
We should also relate settlement of estate of decease persons to Rule 107, the Rule on Absentees. When the law speaks
about settlement of estates of deceased persons, the inference that we derive is that the fact that is sought to be
established is that a person is dead. That is not necessarily true insofar as probate of will or intestacy is concerned. We
have to relate it to the provisions of the NCC and FC on absentees, and also the provisions of special proceedings on
absentees in Rule 10.
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.
This person who has been declared an absentee cannot be an absentee forever. So there must come a time when the said
status as an absentee could be utilized in order to settle his estate, and this is the situation contemplated in Rule 107. If
there is enough proof of facts that will allow the court to conclude that the absentee is already dead, although he is not
actually dead, we can commence proceedings. But the court will not issue an order declaring the absentee as presumptively
dead. A court does not have any authority at all to issue an order declaring a person dead by presumption. We just
capitalize on the presumption given in the NCC, that under circumstances, a person is presumably dead. Using that
presumption, the remedy of the spouse, heirs, or any interested person is to file a petition for the settlement of the estate.
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.
So it is not always correct to say that in settlement of estates of deceased persons, that person must be proven to have
really died. That is not what the law requires. What the law requires is simply the demonstration or proof of certain facts
upon which this disputable presumption of death will be used in order to settle 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.
Which court has jurisdiction over the estate of the deceased?
A:
Regional Trial Court
Metropolitan Trial Court
Gross value of the estate exceeds 500,000 (within Metro
Gross value of the estate does not exceed 500,000/400,00
Manila) or 400,000 (outside Metro Manila)
State the rule on venue in judicial settlement of estate of deceased persons.
A:
Resident
Non-Resident
Court of the province/city where the deceased resided at
Court of the province/city wherein he had the estate
the time of death, whether a citizen or alien
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.
Q: May probate courts determine issues of ownership in a proceeding for the settlement of estate of decedent? Explain.
A:
GR: No, because probate courts are courts of limited jurisdiction.
XPNS:
1. Provisionally, for the sole purpose of including the property in the inventory, without prejudice to its final determination
in a separate action;
2. When all the parties are heirs of the decedent and they agreed to submit the issue of ownership to the probate court,
provided that no rights of third persons are prejudiced;
3. If the question is one of collation or advancement; or
4. If the parties consent to the assumption of jurisdiction by the probate court and no rights of third parties are prejudiced.
(Agpalo, Handbook on Special Proceedings, pp. 10-12, 2003 ed.)
Q: The probate court ordered the inclusion of a parcel of land registered in the name of Richard in the inventory of the
properties of the deceased Anna. Richard opposed the inclusion arguing that the probate court cannot determine the
issue of the ownership of the parcel of land inasmuch as the same was registered in his name. Is Richard correct?
A: Yes. In probate proceedings, if a property covered by Torrens title is involved, the presumptive conclusiveness of such
title should be given due weight, and in the absence of strong compelling evidence to the contrary, the holder thereof
should be considered as the owner of the property in controversy until his title is nullified or modified in an appropriate
ordinary action, particularly, when as in the case at bar, possession of the property itself is in the persons named in the title
(Luy Lim v. CA, G.R. No. 124715, Jan. 24, 2000).
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.
What protection do we give to the creditors, if there are any, or even to the Republic of the Philippines?
Insofar as the Republic of the Philippines, the interest of the state will be in recovering taxes arising from the death of the
person if he left sizable properties. Insofar as creditors are concerned, they are interested in getting full payment of their
respective claims. The protection given by our Rules is that when it comes to taxes due, the RoD will not accept for
registration an deed of extra-judicial partition or affidavit of self-adjudication unless the interested parties present to the
civil registrar a certification from the BIR that taxes have been paid. So that solves the problem of the state. It may always
be able to recover the taxes due, because if the BIR does not issue this certification, the civil registrar also will not accept
for registration the deed of extra-judicial partition or affidavit of self-adjudication.
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.
Q: What is the effect of an extra-judicial partition executed without the knowledge and consent of the other co-heirs?
A: It shall not prejudice the co-heir who had no knowledge nor consented to the same. He shall have the right to vindicate
his inheritance. Such heir or such other person deprived of his lawful participation payable in money may compel the
settlement of the estate in courts for the purpose of satisfying such lawful participation. (Sec. 4, Rule 74)
Q: What is the effect of an extra-judicial partition executed without the knowledge and consent of the other co-heirs?
A: It shall not prejudice the co-heir who had no knowledge nor consented to the same. He shall have the right to vindicate
his inheritance. Such heir or such other person deprived of his lawful participation payable in money may compel the
settlement of the estate in courts for the purpose of satisfying such lawful participation. (Sec. 4, Rule 74)
The deed of extra-judicial partition or affidavit of self-adjudication should also be published, once a week for three
consecutive weeks, before the RoD will admit it for purposes of registration.
When is extra judicial settlement by agreement between the heirs allowed? (Substantial Requisites)
A:
When the decedent:
1. Left no will and no debts; and the heirs are all of age; and
2. Of the minors are represented by their judicial or legal representatives duly authorized for the purpose.
Q: What are the requisites before an extra-judicial settlement of estate could be resorted to as evidence of its validity?
(Procedural Requisites)
A:
1. Settlement is made in a public instrument or by affidavit of adjudication in the case of a sole heir;
Note: In case of disagreement of heirs, they may state their oppositions in an ordinary action of partition.
2. Filed with the Register of Deeds;
3. Fact of settlement must be published in a newspaper of general circulation once a week for 3 consecutive weeks; and
4. Bond filed equivalent to the value of personal property. (Sec. 1, Rule 74)
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: The amount of bond required under Section 2 is determined by the COURT whereas in Section 1 the amount is
EQUAL TO THE VALUE OF THE PERSONAL PROPERTY as established by adjudication.
Q: When is a bond required to be filed in extra-judicial settlement of estate?
A: When personal property is involved, a bond is required. On the other hand, if it is a real property, it is subject to a lien in
favor of a creditor for 2 years from distribution and such lien cannot be substituted by a bond. (Sec. 1, Rule 74)
Note: The same provision on the bond and lien also applies in summary settlement of estate. (Sec. 2, Rule 74)
Q: Is a public instrument necessary for the validity of the extra-judicial settlement?
A: No, the requirement of public instrument is not constitutive of the validity but is merely evidentiary in nature (Hernandez
v. Andal, G.R. No. L-273, Mar. 23, 1947). Even a private instrument, oral agreement of partition or compromise agreement
entered into without previous authority from the court is valid. However, reformation of the instrument may be compelled.
Note: Public instrument is required in transfer and registration of title to the heirs.
Q: Why is publication of the extra-judicial settlement necessary?
A: To notify and bind the whole world of the extra-judicial settlement and give the concerned parties a chance to come
forward and challenge the same (Sec. 1, 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.
Q: What is the effect if the provisions on notice or participation requirement under Sec. 1, Rule 74 have been strictly
complied with?
A: It bars distributees or heirs from objecting to an extra-judicial partition after the two-year prescriptive period to question
such partition. (Sec. 4, Rule 74)
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.
If you go back to partition, partition as a special civil action is predicated on the theory that there are several co-owners of
the same property, and one of the co-owners decide to leave the co-ownership. This is related to settlement of estates
because under substantive law, when a person dies, the heirs automatically become co-owners of the estate of the
decedent. So if there is a co-ownership created by operation of law, any one of the co-owners can decide to leave the coownership by simply availing of the special civil action for partition.
But a special civil action of partition as given in Rule 69 is not in rem. It cannot prejudice persons who have not participated
in these proceedings. So if there is an heir or creditors who has not been impleaded in this special civil action for partition,
that deed of partition duly approved by the court will not have the effect of a judgment in rem. That is always the
advantage of a settlement proceeding as a special proceeding, the judgment and final orders of the court in a settlement
proceeding are in rem. They will be enforceable against any person who might have an interest in the properties of the
estate. That is the only advantage of settling the estate of a deceased person through a petition for probate of a will, or if
there is no will, through a petition for the issuance of letters of administration.
In settlement proceedings, we have to determine whether there is a will or none. Under substantive law, whose provisions
are practically reproduced in the RoC, before the will would be a basis for the division or giving of the properties of the
estate to the heirs, devisees or legatees, the will must be admitted to probate. If not admitted to probate, it could not be
the proper basis for the division, even if the parties will state in their agreement that they have divided the estate in
accordance with the provisions of the last will and testament.
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.
In order to appreciate the scope of an order of a court admitting a will to probate, read Rule 39, that is the effect of a
judgment in rem in Section 47(a).
SEC. 47. Effect of judgments or final orders .The effect of a judgment or final order rendered by a court
of the Philippines, having jurisdiction to pronounce the judgment or final order, may be as follows:
(a)
In case of a judgment or final order against a specific thing, or in respect to the probate of a
will, or the administration of the estate of a deceased person, or in respect to the personal, political, or
legal condition or status of a particular person or his relationship to another, the judgment or final
order is conclusive upon the title to the thing, the will or administration, or the condition, status or
relationship of the person; however, the probate of a will or granting of letters of administration shall
only be prima facie evidence of the death of the testator or intestate;
(b)
In other cases, the judgment or final order is, with respect to the matter directly adjudged or as
to any other matter that could have been raised in relation thereto, 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; and
(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.
Rule 39 gives us the effect of a judgment in rem. A judgment admitting a will to probate is a judgment in rem. It is binding
upon anybody who might have interest in the estate. In fact, the NCC says that an order of a court admitting the will to
probate is conclusive insofar as the formal requirements of a will are concerned.
Supposing that a will is admitted to probate, can the oppositors appeal from that order?
Yes.
If there is an appeal from an order of the court allowing a will, we cannot apply the statement in Rule 39 that probate of a
will is conclusive insofar as the formal elements are concerned because that order, if there is an appeal going on, will not be
entered. That provision in Rule 39 presupposes that an order admitting the will has been entered. It has become final and
executory.
But before it is entered, do we have the presumption that the formal requisites of the will have been satisfied?
Yes. But the presumption is not a conclusive presumption, merely disputable. Under our Rules on Evidence, there is a
disputable presumption that the final order or judgment of a court is presumed to be correct, that is if it has not yet been
entered. Once entered, the period to appeal having expired without an appeal being perfected, then the disputable
presumption to a conclusive presumption. So once the order admitting the will to probate is entered, then we are going to
apply the provisions of Rule 39 Section 47. The formal requisites of the will are conclusive upon anybody who might have an
interest in the estate.
If there is no will, the settlement proceedings will be called intestate proceedings. If there is a will, it will be called testacy or
probate proceedings. But in our Rules, whether the special proceeding to settle the estate is testate or intestate, there
should be only one settlement court in our jurisdiction.
So if there is a petition to settle where the decedent died without a will, praying for letters of administration, during the
pendency proceedings after the letters had been issued by the court, an heir suddenly appears in court claiming he has
discovered a will of the decedent. What will happen to the proceedings of intestacy?
The court will change the proceedings from intestacy to testacy, simply converting from intestate court to testate or
probate court.
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.
But what always happens, as our culture allows to happen, is when a person dies and in his lifetime was a very wealthy
person, our culture expects that he was maintaining several different families in different regions. So when he dies, one
family will file settlement proceedings for the estate located, lets say in Mindanao, and another family would do so also for
the property found in Cebu, and so forth. We cannot allow this to happen where several courts take cognizance of the
properties of one decedent. We still have to apply the Rule in Rule 73, where a court that takes cognizance of the
settlement of the estate of a decedent will do so in exclusion of other courts. So, its just a matter of determining which RTC
has first acquired jurisdiction over the case. The jurisdiction over the case can be ascertained by determining the period
when these different petitions were filed. Thus, we will 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.
What is this concept of letters of administration with a will annexed?
This is the letter issued by the court where there is a will submitted to probate, but where the executor nominated in the
will has refused to accept the trust or he is not qualified to accept the trust. So if there is no executor willing to accept the
trust, the court will have to appoint another administrator. To distinguish an administrator who is usually appointed where
there is no will that is submitted for probate, we call these letters as letters of administration with a will annexed.
Letters of administration with a will annexed assume that there is a will submitted to the court for probate, and that the
court has admitted or allowed the will, but the executor nominated in the will has refused to accept the position.
In a will, aside from the disposition of the properties, the decedent usually nominates a person who will act as executor of
the will. This is the reason why in RoC, there is an order of preference in appointing an administrator. But there is no order
of preference insofar as the appointment of an administrator in letters of administration with a will annexed. This is
because the court will appoint an administrator despite the fact that an executor is nominated by the testator in the will.
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.
We also have the concept of letters of ancillary administration. In ancillary administration, the antecedent fact is that a will
has been admitted to probate in a foreign country. The testator must have been a resident of that foreign country. But the
testator also left properties in RP. So, there is a principal testate proceedings going on in a foreign country where an
executor may have been appointed in that foreign country. But the authority of the appointed executor from a foreign
court cannot extend to properties within Philippine territory. The remedy of that executor from a foreign country is to
initiate a proceeding called ancillary administration proceedings, which be called a reprobate of the same will of the same
will that has been admitted to probate in a foreign court. That petition for ancillary administration, if a will has been already
admitted to probate in a foreign country, the same will be submitted to a local court for another proceeding. The local
court will simply rely on the decision of the foreign court in admitting the will for probate. If there was no will left by this
foreigner, then the ancillary proceedings will also be an intestate proceeding. It will still be the local court that will issue
letters of ancillary administration to the administrator appointed by the local court to take care and to manage the
properties left within RP territory.
There is also another concept called letters of special administration or a special administrator. These letters are issued by
the court when there is a delay in the appointment of an administrator or an executor of the estate. If a court issues letters
of administration, and therefore appoints letters of administration of an intestate estate, or issues letters testamentary, to
the person who will manage the estate, this is always a final order. The appointment of a regular administrator is always a
final order, never interlocutory. Since it is a final order, it is appealable. In order to appreciate in settlement proceedings the
difference between a final order and an interlocutory order in settlement proceedings, read Rule 109, Section 2.
SEC. 2. Advance distribution in special proceedings.Notwithstanding a pending controversy or appeal in
proceedings to settle the estate of a decedent, the court may, in its discretion and upon such terms as it
may deem proper and just, permit that such part of the estate as may not be affected by the controversy
or appeal be distributed among the heirs or legatees, upon compliance with the conditions set forth in
Rule 90 of these rules.
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.
If the settlement court appoints Juan dela Cruz today as administrator of the estate, an heir who dislikes him can appeal
from that order. And while that appeal is going on, Juan dela Cruz cannot assume the position as administrator of the estate
until the higher court has ruled on the qualifications or the validity of the order appointing him as administrator. In the
meantime, nobody will be taking care of the estate. The remedy of Juan dela Cruz is to ask the court to appoint him as a
special administrator. So if his appointment as administrator is challenged by another heir, he cannot assume the office as a
REGULAR administrator, but the settlement court can appoint him as SPECIAL administrator. A settlement court has the
authority to appoint a special administrator if there is a delay in the appointment of a regular administrator. This is
necessary because the estate has to be managed while the appeal is ongoing.
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.
Let us assume that there is already a regular administrator/executor appointed by the settlement court. Whether there is
an executor or administrator, their duties are the same. Both should submit to the court within a period of 3 months a
complete inventory of the properties of the estate that have come to their possession or to their knowledge, and then they
will have to do an accounting within a period of 1 year. They have to preserve and manage the estate, and they will have to
comply with the orders of the settlement court.
The duties of administrator/executor outlined in the Rules are practically the duties of any fiduciary given in the RoC, similar
any person who occupies a fiduciary position under the Rules like a trustee of an express trust, the guardian of an
incompetent of a minor. They have all these common duties like to preserve the estate, to submit an inventory, to submit
an accounting, and to obey the orders issued by the court.
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 proceed-ings. 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.
The publication of the Notice to Creditors is jurisdictional insofar as creditors are concerned, because this notice serves as a
prescriptive period.
So if there is a creditor of the estate, like PNB, from whom the decedent borrowed 2M in a clean loan (unsecured) during
his life time. Can PNB file an ordinary action for the recovery of indebtedness against the estate of the estate on the
theory that under the law, when a natural person dies, the law creates an artificial person, called the estate of the
deceased, to take the place of his person?
Although it is true that when a natural person dies, under the NCC creates another person to take his place, an artificial
person called estate of the deceased. But the law does not allow the artificial person to be a defendant in a suit for recovery
of money. What the law requires is for PNB to file a claim within a period of not less than six months to 12 months from the
first publication of the Notice to Creditors.
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.
Why do we make a distinction as to whether the debtor is dead before the commencement of the action or during the
pendency of an ordinary civil action for the collection of money?
The answer is found in Rule 3 Section 16 and Section 20.
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.
The heirs of the deceased may be allowed to be substituted for the deceased, without requiring the
appointment of an executor or administrator and the court may appoint a guardian ad litem for the
minor heirs.
The court shall forthwith order said legal representative or representatives to appear and be substituted
within a period of thirty (30) days from notice.
If no legal representative is named by the counsel for the deceased party or if the one so named shall fail
to appear within the specified period, the court may order the opposing party, within a specified time, to
procure the appointment of an executor or administrator for the estate of the deceased and the latter
shall immediately appear for and on behalf of the deceased. The court charges in procuring such
appointment, if defrayed by the opposing party, may be recovered as costs.
SEC. 20. Action on contractual money claims.When the action is for recovery of money arising from
contract, express or implied, and the defendant dies before entry of final judgment in the court in which
the action was pending at the time of such death, it shall not be dismissed but shall instead be allowed
to continue until entry of final judgment. A favorable judgment obtained by the plaintiff therein shall
be enforced in the manner especially provided in these Rules for prosecuting claims against the estate
of a deceased person.
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.
If you read Rule 86 on the statute of non-claims, the consequence is that the claim will be barred forever if it is not
submitted within this period to the settlement court.
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.
So we have to limit the concept of these claims to the provisions of Rule 86. What are these money claims? 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, as provided for in Section 5 of Rule 86. So that excludes claims arising from a crime or delict or tort. These
claims must be claimed within the period of non-claims. Otherwise, they are barred forever.
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.
If you read Rule 86 on the statute of non-claims, claims for money supported by a final judgment should still be submitted
as a claim before the settlement court. In short, the judgment creditor cannot make use of Rule 39. He cannot move for the
issuance of a writ of execution. If a trial court issues a writ of execution, that writ is void. We cannot issue a writ of
execution against an estate that is being settled in a settlement court. It is the settlement court that has the authority to
determine who the creditors are and what claims will be approved and paid in the settlement proceeding. And that cannot
be interfered with by any other court.
If you will notice, in the Rule on settlement of estates, there is no instance by which a writ of execution can be enforced
against the estate of the deceased person. That is prohibited under our system. Except the instance that is contemplated in
Rule 39, when there is already a writ of execution issued against a defendant who is still alive, and there is a levy on
execution on the properties of this defendant, and thereafter, the defendant died. The levy on execution can continue and
the properties can be sold at public auction. This is the only known instance where there could be a writ of execution and a
levy on execution against the estate of the recently deceased judgment debtor/defendant in Rule 39. The general rule is we
cannot enforce a judgment against a deceased judgment debtor by using a writ of execution and levy on the properties of
his estate under Rule 39.
Although Rule 86 operate as a period of restriction, Rule 86 recognizes that certain creditors do not have to submit their
claims against the estate. And even if they do not submit their claims, their claims will not be barred, they can still enforce
their claims. This involves creditors who hold a security, a mortgage, a pledge or any other security arrangement,
contractual in character, that has been entered into during the life the deceased debtor. So, a mortgagee, a pledgee or any
other creditor who holds a security is not required to submit a claim against the estate. He does not participate in the
settlement proceeding, but he can still enforce his claim. In fact, under Rule 86, the secured creditors are given 3 options.
The first is that they just abandon their security. So if the creditor is a mortgagee at the same time, and he uses the first
option, he will convert himself from a secured creditor to an unsecured creditor. He gives up the mortgage, so he will be
able to participate in the proceedings. This does not seem to be very practical. Why should a secured creditor convert
himself into an unsecured creditor when there is no certainty that he is going to be paid? But that is the first option given to
secured creditors.
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.
There could be some questions pertaining to this rule on secured creditors in Rule 86. Remember that the
mortgagor/pledger is already dead. And if in the mortgage, the mortgagee is given a special power of attorney to extrajudicially foreclose the mortgage, the administrator/executor or any one of the heirs can bring out this issue, if the
mortgagor is already dead, does it not follow that the SPA given to the mortgagee to foreclose extra-judicially will be
extinguished. Because what the mortgagor gives to the mortgagee is a SPA to extra-judicially foreclose a mortgage, a
contract within a contract. In essence, a contract of agency is created, authorizing the mortgagee to extra-judicially
foreclose the security.
Supposing the administrator challenges the authority of the mortgagee to extra-judicially foreclose the mortgage, on the
ground that under the NCC the death of the principal extinguishes the agency. Is the administrator correct?
No. The SC said we do not apply that principle in agency through a case of secured credit and security consists of a
mortgage, pledge or any other form of contractual security arrangement. And the SC said that the death of the mortgagor
will not extinguish the agency, since the agency falls in the concept in the civil code called an agency coupled with an
interest. So if the mortgagor dies, the mortgagee still retain the right to extra-judicially foreclose the security. So, we do not
take away the right of the mortgagee to extra-judicially foreclose the security even if the mortgagor is already dead. That is
the reason why in Rule 86, the mortgagee is given the 3 options: to abandon the mortgage, foreclose the security and
recover the deficiency by filing a contingency claim within the statute on non-claims or rely solely on the foreclosure of the
security and forget about the deficiency.
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?
A claim in settlement proceedings is just in the form of an affidavit where the creditor asserts his claim and then gives the
circumstances surrounding the claim, and then he presents already together with his affidavit proof of the existence of his
claims. So these claims are not commenced with the filing of a complaint. Since these claims are commenced by the filing of
an affidavit, the SC ruled that claimants for money do not require a certification for non-forum shopping. Said certification
is not required since an affidavit can hardly be considered an initiatory pleading. Such certification is required only in
initiatory pleadings.
Supposing that the settlement court is an RTC. Therefore we assume that the estate is sizable. A creditor files a claim,
submits his affidavit, saying that the decedent owed him money by way of a loan but only the sum of 200k. Can the RTC
as a settlement court entertain that claim, although it is not within the jurisdictional amount given to an RTC under BP
129?
Yes. The amount of the claim of the creditor will not determine the jurisdiction of the settlement court. This is only an
incident of the exercise of the settlement court of its authority to entertain the petition for the settlement of estate. As
long as the settlement court has jurisdiction because of the GROSS VALUE OF THE ESTATE, the settlement court will have
the authority to resolve ALL incidents that are brought before it in relation to the liquidation of the estate of the deceased
person.
Under the Rules also, if there are 10 claimants for money, and they all have submitted their claims in the form of an
affidavit, the Rules expect the administrator/executor to respond to the claims, so he can contest or accept the
genuineness or validity of the claims.
If the administrator/executor does not respond at all, can the court declare the administrator/executor in default?
No. Because, the claim is not in the form of a complaint, only in the form of an affidavit. So there is no default if the
administrator/executor does not respond to the claim.
If the administrator/executor contests the claim, he is expected to reduce his contest formally in writing, stating the
defenses that the administrator/executor wishes to set up when that particular claim is filed. If the administrator/executor
admits the claim, he will simply state that he is not contesting the claim. So it is very likely that the administrator/executor
will collude or conspire with a creditor who has filed a claim by simply telling the court that he is admitting the genuineness
of a particular claim. There is mechanism given in the Rules for this situation. If the administrator/executor admits a claim
for money, the heirs can submit their opposition to the admission of the claim, in which case, the claim will become a
contested claim.
If there are contest given by the administrator/executor to the 10 claims submitted by the creditors, then the court will
have to try these 10 claims, as if there is a full blown trial, to be taken up in the settlement court. The court can easily avoid
conducting a hearing in cases of contested claims by using another provision in the Rule 86, that is to appoint
commissioners in order to hear the claims of the creditors.
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.
The only recourse, if we can call it a recourse, available to a judgment creditor who has filed a claim for money is to wait for
the court to issue another order directing the administrator/executor to pay all these claims. Until that order is issued, the
administrator/executor has no authority to voluntarily pay off the claims of the judgment creditors, although they have
already been approved.
Insofar as creditors of an estate subject of settlement are concerned, even if they have won their respective claims, there is
guarantee that they are going to be paid. It is also possible that they will not be paid at all if the estate is insolvent. There
are more liabilities than assets, then the settlement court will be forced to make use of the provisions in the NCC on
preference and concurrence of credits.
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.
So, always have in mind that judgment creditor in a settlement proceeding cannot make use of Rule 39. No writ of
execution, no levy on execution. And, we cannot say with certainty that a duly approved claim of a creditor will lead to
payment in full. There could be full payment, partial payment or no payment at all, depending on the financial condition of
the estate that is being settled.
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.
So how will the surviving spouse and minor children survive?
There are some provisions in the Rules and the NCC that during the pendency of the settlement proceedings, the surviving
spouse and the children will be entitled to allowances determine by the court. And it is the duty of the administrator to
comply with the order of the court directing him to give allowances to the surviving spouse and minor children.
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.
The order of preference is to sell personal properties first. Generally, this is the rule followed by the settlement courts. If we
are going to sell properties in order to generate cash to pay off creditors, we sell first personal properties. And then, if the
proceeds are not enough still, the court can authorize the sale, mortgage or encumbrance of real properties. So, the Rules
seem to allow only a sale of personal property, but not mortgage or encumbrance of personal properties of the estate. But
the Rules are very clear that in the case of real property, there could be a sale, mortgage or encumbrance, if so directed by
the court.
The authority of the administrator/executor to sell properties, whether real or personal, does not stem from his authority
as an administrator/executor. He should get a special order from the settlement court authorizing him to sell particular
pieces of properties. And it is the court that will determine under what conditions under which the contract of sale should
be had, and if signed by the administrator/executor.
Can the administrator/executor, after he has obtained an authority to sell properties of the estate, sell these properties
in a private sale or public auction sale?
Yes to either, as long as the court authorizes the sale in either a private or public sale of these properties. The settlement
court has almost complete discretion in determining the cognizance for the disposition of the properties of the estate for
the purpose of generating money with which the administrator/executor can pay the claims of creditors.
If the administrator/executor has already amassed enough cash in order to pay off the creditors, can the
administrator/executor start paying or liquidating in full the approved claims against the estate?
He cannot still. He needs another order from the court, directing him, the administrator/executor, to pay creditors whose
claims had already been approved. So, the administrator/executor should always be relying upon the directive that will be
issued from the settlement court.
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.
What the settlement court cannot do is to resolve contentious issues concerning title to or possession of real property. In a
dispute between the estate and a 3rd person concerning the property, the settlement court has no authority to resolve that
issue. It has to be resolved in an ordinary civil action. The only recognized exception that is recognized by the SC, although
not contained in the Rules, is that if all the parties agree to submit this matter/dispute concerning title or possession of
property to the settlement court for resolution. If there is such an agreement, that will place these parties in estoppel from
challenging later on the resolution of the court.
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.
If there is only one settlement court allowed, but the settlement proceedings have already been closed, what remedy do
the heir and creditor have, if there is any remedy at all, that is if we want to life to the principle that there should be only
one settlement court?
The remedy of the heir is to look for reopening of the case. A proceeding that has already been closed can be reopened by
the same settlement court. This is insofar as the heir is concerned, if he can show that he has been unjustly deprived of his
estate.
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.
Remember that a final order in settlement proceedings is considered a judgment in rem. It binds anybody who might have
an interest upon the estate. That is the rule we are applying insofar as the creditor is concerned. The order of closure will be
binding upon the creditor, because the prescriptive period given in the Rules has already lapsed. His claim is barred forever.
But insofar as the heir is concerned, he can capitalize on a provision in the Rules which says that aside from publication of
the notice of hearing of the probate of a will, or for the filing of letters of administration, it also jurisdictional for that
settlement court to give personal notice to the heirs, legatees or devisees mentioned in the will.
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.
Q: What are the remedies of the aggrieved party in summary or extrajudicial settlement of the estate?
COMPEL THE
Should be brought within 2 years after settlement and distribution of the estate
SETTLEMENT OF ESTATE
GROUNDS: (Section 4, Rule 74)
IN COURTS
a. If there is undue deprivation of lawful participation in the estate;
b. Existence of debts against the estate.
ACTION FOR RESCISSION
ACTION FOR
RECONVEYANCE OF REAL
PROPERTY
REOPENING BY
INTERVENTION IN
SUMMARY SETTLEMENT
It must be availed of within 5 years from the time the right of action accrues. (Art. 1149, NCC)
Also applicable in judicial proceedings
GR: It is based on an implied or constructive trust which prescribes in 10 years from the date
of registration or date of issuance of certificate of title or 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.
Upon motion of a person who either:
a. Has a legal interest in the matter in litigation;
b. Has such legal interest in the success of either of 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.
Note: May be availed of after judgment but before its finality or appeal by the aggrieved party.
On grounds of fraud, accident, mistake, and excusable negligence within 60 days after
petitioner learns of the judgment, final order or other proceeding to be set aside, and not
more than 6 months after such judgment or final order was entered. (Rule 38.) Also applicable
in judicial proceedings.
On the ground of fraud which should be filed within 4 years from the discovery of fraud.
If the order of closure has already become final and executory, the heir must file an
independent civil action of accion reinvindicatoria to recover his deprived share.
Note: It must be brought within 10 years from the time the right of action accrues. [Art.
1144(c)]
Also applicable in judicial proceedings.
After the lapse of two years an ordinary action may be instituted against the distributees
within the statute of limitations but not against the bond.
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.
Rule 91 SEC. 5. Other actions for escheat.Until otherwise provided by law, actions for reversion or
escheat of properties alienated in violation of the Constitution or of any statute shall be governed by this
rule, except that the action shall be instituted in the province where the land lies in whole or in part.
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.
In an escheat proceedings under these antecedents, is that the proceeding will be initiated by the Solicitor-General in his
capacity as the lawyer of the Republic. So, it is also an in rem proceedings. Petition for the escheat of the properties of Juan
dela Cruz. This is also a proceeding in rem because there is no party impleaded as defendant. It is not also adversarial,
theoretically. The publication requirement is much longer than the publication requirement in settlement proceedings. If
the escheat court finds the petition sufficient in form and substance, and the jurisdictional requirements have been met by
proof of publication, the escheat court will declare the properties of the deceased person as escheated in the name of the
Republic of the Philippines. The provisions of the Rules on how the properties will be distributed are mere reiterations of
the provisions found in the NCC. You will notice then that there seems to be no protection at all extended by the Rule of
Escheat to creditors of the deceased, unlike that extended in settlement proceedings where parties are notified and they
are required to submit their claims within a certain period of time, or else their claims are barred. There is no such
procedure under escheat proceedings So if the escheat court has issued an order escheating the properties in favor of the
state, the state will just distribute the properties in accordance with the provisions of substantive law.
If it turns out that there are creditors of the deceased, do these creditors have any remedy at all to enforce their claims,
although the estate of the deceased debtor has not been settled in accordance with settlement proceedings?
The escheat court in fact will give creditors a very long period of 5 years within which to file their claim. Within that 5 years,
the escheat court will either approve or deny the claims, and then order the payment of these claims.
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.
It is also incorrect to assume where escheat is applicable only in situations where the owner is dead. Even if the owner is
still alive, there could be escheat proceedings under certain special laws, particularly the Law on Unclaimed Balances Act.
This law covers bank deposits that have remained dormant for a period of at least 10 years. If the depositors of these bank
accounts leave their accounts dormant for a period of 10 years, the Republic of the Philippines will confiscate these
dormant accounts. So, it is not good to deposit in a bank and keep it dormant. You should keep on depositing and
withdrawing, as the case may be, so that may prevent the Unclaimed Balances Act from being implemented in your
account.
This dormant bank accounts will also be the subject of escheat proceedings. The Republic of the Philippines will file a
petition for the escheat of these dormant accounts. And once the court has granted the petition, the deposits will be turned
over to the national treasury. These dormant accounts might be in millions of pesos, because they have been dormant for
about 10 years, and it must have kept on earning interest.
Is this not unconstitutional?
SC said it is not unconstitutional. It is merely an exercise of the Republic of the Philippines will of its police power. It is not
eminent domain since the state is confiscating money without paying just compensation to the owners. If it were
expropriation or eminent domain, the Republic of the Philippines will be forced to pay just compensation for these dormant
deposits.
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.
jurisprudence is to the effect that when there is another person who files a petition for habeas corpus on behalf of the
detained person, this has been construed very restrictively by the SC. The SC has ruled several times in the past that a
stranger who files a petition for habeas corpus on behalf of a detainee should show or demonstrate his personality or his
standing as to why he is interested in the release of the detainee. So there must be a relationship between the petitioner
and the detainee, if the petition is not filed by the detainee himself.
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.
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).
Q: May a wife secure a writ of habeas corpus to compel her husband to live with her in the conjugal home?
A: No. Marital rights including coverture and living in conjugal dwelling may not be enforced by the extra-ordinary writ of
habeas corpus. In case the husband refuses to see his wife for private reasons, he is at liberty to do so without threat of any
penalty attached to the exercise of his right. That is a matter beyond judicial authority and is best left to the man and
womans free choice. (Ilusorio v. Bildner, G.R. No. 139789, May 12, 2000).
But if we reach the last sentence of Section 4, then the problems will now come out. Because in the last sentence of Section
4, it is provided that if a person has been convicted or charged of a crime, he is under detention by a lawful process issued
by a court, there is no way that he can be released from detention through a petition for habeas corpus.
Rule 102 SEC. 4. When writ not allowed or discharge authorized.If it appears that the person alleged to
be restrained of his liberty is in the custody of an officer under process issued by a court or judge or by
virtue of a judgment or order of a court of record, and that the court or judge had jurisdiction to issue the
process, render the judgment, or make the order, the writ shall not be allowed; or if the jurisdiction
appears after the writ is allowed, the person shall not be discharged by reason of any informality or defect
in the process, judgment, or order. Nor shall anything in this rule be held to authorize the discharge of a
person charged with or convicted of an offense in the Philippines, or of a person suffering
imprisonment under lawful judgment.
And then, if we relate Section 4 to Section 13 of Rule 102, we will meet very strict procedural requirements which the
Rule require the petitioner to comply with so that the court will be convinced in order to issue a writ of habeas corpus or an
order of discharge. Section 13 apples when a return is already submitted by the respondent.
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.
If the respondent indeed files a return, Section 13 provides that if the respondent is a public officer, and he admits that he
is detaining the petitioner, the detainee, but under some process issued by the court, that return is prima facie presumed
to be correct. That means the detention is correct, if that is the tenor of the return submitted by the respondent. But if the
detainer is not a public officer, a private individual, when the return says that the detention by the respondent private
individual is lawful, it is not considered as presumably correct. It will only be considered as a plea.
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.
If the respondent enjoys this disputable presumption that the detention is lawful, the quantum of evidence required in the
RoC to defeat a disputable presumption is of a much higher level, that is the level of clear and convincing evidence. But
remember that habeas corpus is not a criminal case. It is a special civil action akin to an ordinary civil action or even a
special civil action, and the quantum of evidence in ordinary or special civil actions is just preponderance of evidence. But in
habeas corpus, because the respondent enjoys a disputable presumption, that the detention is lawful and proper, it will
create a very big burden on the part of the petitioner to present evidence that will reach the level of clear and convincing
evidence to disprove that disputable presumption. That has always been the rule that was followed in habeas corpus cases.
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 Section 4 also, if you notice, if there is already a conviction by the court, and the convict is now in jail, a petition for
habeas corpus will not be proper in order to obtain his release. But, there are several exceptions to this rule. Even if a
person is already convicted of an offense, and the conviction has become final and executory, and he is now serving
sentence, he can still obtain his release through a petition for habeas corpus if the situation is covered by the Rule on DNA
evidence (A.M. No. 06-11-5-SC). There is a section on the circular on DNA evidence entitled post-conviction DNA testing.
(A.M. No. 06-11-5-SC)SEC. 10. Post-conviction DNA Testing. Remedy if the Results Are Favorable to
the Convict.The convict or the prosecution may file a petition for a writ of habeas
corpus in the court of origin if the results of the post-conviction DNA testing are
favorable to the convict. In case the court, after due hearing, finds the petition to be
meritorious, it shall reverse or modify the judgment of conviction and order the release
of the convict, unless continued detention is justified for a lawful cause.
A similar petition may be filed either in the Court of Appeals or the Supreme
Court, or with any member of said courts, which may conduct a hearing thereon or
remand the petition to the court of origin and issue the appropriate orders.
If a person is convicted of a crime, he is now in jail because the judgment has become final and executory. While in jail, he
can move for DNA examination. If the DNA examination results are favorable to him, in the sense that the findings create a
doubt as to whether or not he is the one who committed the crime, he can obtain his release through a petition for habeas
corpus. In other words, the judgment of conviction that has become final and executory can be overturned by a petition of
habeas corpus. Remember that the judgment is now final and executory, and if we use civil law, there is now res judicata.
But DNA Circular says that in a post-conviction DNA testing authorized by the court, if the finding creates a doubt as to
whether the detainees stay in jail is still proper, an RTC can entertain a petition of habeas corpus and overturn a judgment
of conviction that has become final and executory.
There are other instances where a judgment of conviction although final and executory can be defeated by a petition for
habeas corpus. In one case, there was a judgment of conviction, serving his sentence. While the convict was serving
sentence, the Congress enacted a law which reduced the penalty for the crime committed by the convict. Since the convict
has served the sentence as imposed by the new law, he filed a petition for habeas corpus, saying that he has already served
the sentence, and therefore his stay in jail constitutes deprivation of his liberty, a case of unlawful detention. And the court
issued the writ of habeas corpus and ordered the release of the convict. (Robin Padilla case)
So simply because there is a final judgment of conviction, it does not mean to say that petition for habeas corpus is no
longer available as what Section 4 intends to say as a message. There are several instances still where a final judgment of
conviction can be overturned, and the convict will be released from custody.
In habeas corpus also, when it comes to a return filed by a respondent public officer, if the respondent tells in the return
that he has custody of the detainee a few months ago, but the detainee has already been released by said officer, with
documentation showing that the detainee has already been release, what is the effect of this return upon the petition of
habeas corpus?
The SC said that if the detainee has already been released, and proven by preponderance of evidence, then the petition for
habeas corpus has become moot and academic and the petition for habeas corpus is going to be dismissed.
Or, in other instances when a public officer submits a return consisting of one sentence, stating that he does not have the
petitioner in his custody, that is a sufficient return according to the SC.
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.
Another procedural defect is that a person, not a detainee, who files a petition must show to the court why he is interested
in the release of the detainee. If he cannot show any interest in the freedom of the detainee, he will be considered as not
having the standing to file the petition for habeas corpus.
And then, when it comes to evidentiary rules, Section 13 will always support the stand of the respondent public officer who
is detaining person. Every time that he asserts that the detention was because of some process issued by a court, his stand
will be presumed, although disputable, to be correct. Therefore, if the stand of the public respondent is the correct stand,
the habeas corpus court will consider the detention of the detainee as one that is lawful and proper.
When it comes to appeal, we have a special rule when it comes to habeas corpus. In spite of the different decisions of the
SC in the past as to the period of appeal in habeas corpus cases, the SC finally resolved that the period to appeal in habeas
corpus cases is the one found in BP 129. The period of appeal is 48 hours, not 15 days, not 30 days. And the SC relied solely
on provisions of BP 129. If you read the last chapter on general provision of BP 129, there really is a 48 hour period in which
to perfect an appeal in habeas corpus cases.
Since there is a respondent in habeas corpus cases, do we consider that as one in personam or is it one in rem?
This another settled matter. SC held that it is a proceeding in rem, although there is a particular respondent impleaded in
the action.
If we analyze the effect of authorizing a petition for habeas corpus in order to obtain the release of a person in jail or
already serving a sentence by virtue of a judgment of conviction rendered by a competent court, like the rule on postconviction DNA testing, we will immediately appreciate that habeas corpus is a means by which we can attack collaterally a
final and executory judgment. That is why, when we are talking about Rule 47, annulment of judgments in civil cases, we
said that while annulment of judgment in Rule 47 is not applicable to a criminal case, the remedy available in a criminal case
is more convenient, because the remedy available in a criminal case to defeat a final and executory judgment is simply a
petition for habeas corpus.
Why is habeas corpus a collateral attack on a judgment?
Because the relief which the petitioner in habeas corpus seeks is for the court to issue an order saying that the detention is
unlawful and there is deprivation of liberty. The habeas corpus court will not determine directly whether or not the
conviction is proper or should be set aside, and that is why it is always a collateral attack from a judgment.
If you compare habeas corpus to annulment of judgment, we will readily conclude that annulment of judgment is really a
direct attack against the final and executory judgment because the relief which the petitioner in Rule 47 seeks is to declare
the judgment null and void, it should be set aside because of lack of jurisdiction over the subject matter or the person, or
based on extrinsic fraud. That is not what habeas corpus does.
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.
A habeas corpus court, since it is trying a special proceeding, will also be acting with a very limited jurisdiction. So if there is
a petition for habeas corpus, and there is an allegation that the petitioner or detainee is being unlawfully detained, and that
he is being deprived of his liberty, the detainee/petitioner cannot apply for the issuance of preliminary mandatory
injunction in order to compel the immediate release of the detainee. This is because the court will be acting in a limited
jurisdiction in the sense that what the court will do only is to determine whether or not there is unlawful deprivation of
liberty. That independent action will no longer be a special proceeding; it will be an ordinary action for the recovery of
damages. This is to emphasize that a habeas corpus court is acting like a settlement court, one having a very limited
jurisdiction.
Because of the procedural defects that we have always encountered when it comes to a petition for habeas corpus, the SC
issued circulars on amparo and habeas data.
So one of the purposes of the circulars on amparo and habeas data is to remedy the governing rules and the procedure we
usually apply to petitions for habeas corpus. And the concept of amparo and even habeas data is of a much larger scope
than in habeas corpus. You will note that in the instances given in Rule 102 in habeas corpus, it is intended to meet the fact
or the situation that there is an actual deprivation of liberty, actual unlawful detention or there is an actual unlawful
withdrawal of custody.
But in amparo, it is not only limited to an actual violation of a constitutional right to life, liberty and security. It also covers a
threat to violate a right, which is not possible in habeas corpus. So if the petitioner simply alleges in habeas corpus that the
respondent has threatened him several times to deprive him of his right to liberty by unlawfully detaining him, that will not
be a proper ground for habeas corpus. What habeas corpus requires is an actual deprivation liberty because of an actual
detention. In amparo, what is also covered is a threat of the right to life, liberty and security. And of course, in the second
part of the second paragraph of amparo, extralegal killings and enforced disappearances are also included in the writ of
amparo.
SECTION 1. Petition. The petition for a writ of amparo is a remedy available to any
person whose right to life, liberty and security is violated or threatened with violation
by an unlawful act or omission of a public official or employee, or of a private individual
or entity.
The writ shall cover extralegal killings and enforced disappearances or threats thereof.
As late as 2009, there was a criticism hurled at the circular on amparo on the ground that although amparo appears to favor
the respondents because enforced disappearance and extralegal killings are included, that there is no meaning given to the
term enforced disappearance in the circular for amparo. That has been remedied. Congress enacted a law last year giving a
definition of enforced disappearance. And under that law, enforced disappearance is now considered as a criminal act,
although there are predicate offenses enumerated in that law. So, we now have a statute which considers enforced
disappearances as a crime.
Extralegal killings are killings committed without due process of law, i.e. without legal safeguards or
judicial proceedings. As such, these will include the illegal taking of life regardless of the motive, summary
and arbitrary executions, salvagings even of suspected criminals, and threats to take the life of persons
who are openly critical of erring government officials and the like. On the other hand, enforced
disappearances are attended by the following characteristics: an arrest, detention or abduction of a
person by a government official or organized groups or private individuals acting with the direct or
indirect acquiescence of the government; the refusal of the State to disclose the fate or whereabouts of
the person concerned or a refusal to acknowledge the deprivation of liberty which places such persons
outside the protection of law. (Annotation to the Writ of Amparo)
Q: What are extralegal killings?
A: Killings committed without due process of law, legal safeguards or judicial proceedings. (Secretary of National Defense v.
Manalo, G.R. No. 180906, Oct. 7, 2008) These include the illegal taking of life regardless of the motive, summary and
arbitrary executions, salvaging even of suspected criminals, and threats to take the life of persons who are openly critical of
erring government officials and the like.
Q: What are enforced disappearances?
A: An arrest, detention or abduction of a person by a government official or organized groups or private individual acting
with the direct or indirect acquiescence of the government; the refusal of the State to disclose the fate or whereabouts of
the person concerned or a refusal to acknowledge the deprivation of liberty which places such persons outside the
protection of law. (Secretary of National Defense v. Manalo, G.R. No. 180906, Oct. 7, 2008)
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.
You will notice that there is an order of preference.
Q: Who may file the petition?
A: Any aggrieved party may file the petition. It may also be filed by any qualified person or entity in the following order:
1. Any member of the immediate family, namely: the spouse, children and parents of the aggrieved party;
2. Any ascendant, descendant or collateral relative of the aggrieved party within the fourth civil degree of consanguinity or
affinity, in default of those mentioned in the preceding paragraph; or
3. Any concerned citizen, organization, association or institution, if there is no known member of the immediate family or
relative of the aggrieved party.
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).
With respect to the return in amparo, if we compare it to habeas corpus, there is a very big improvement. In amparo and
even in habeas data, there is a very clear statement that a general denial is not allowed. So if the respondent submits a
return containing a general denial, that will be disregarded by the court and then the court may cite the respondent in
contempt of court; unlike in habeas corpus wherein a general denial is allowed.
With respect to the evidentiary rules, what is the quantum of evidence required in amparo?
You are familiar with the circular which says that although amparo is being heard by a court, not by a quasi-judicial body,
the evidence required on both parties is merely substantial evidence. And the respondent cannot capitalize on a disputable
presumption of regularity in the performance of official duty.
So if the respondent is a public officer, which is an essential element in a petition for amparo, even if the respondent will
say that he has in his custody or is detaining the petitioner, and he submits documents showing that the detention is
supported by orders of another court or another body, he cannot enjoy the presumption of regularity in the performance of
official duty. So, the amparo court will not look at the detention as a proper and regular detention. It will still look at the
detention as more likely to be an unlawful detention of the petitioner. And the petitioner in amparo cases will only be
required to reach the quantum of evidence called substantial evidence, the quantum of evidence applied only in quasijudicial bodies. In court proceedings, the usual quantum of evidence is usually proof beyond reasonable doubt,
preponderance of evidence or clear and convincing evidence, which should normally be applied to a proceeding for
amparo. But the SC has lowered the quantum in amparo, although the court is not a quasi-judicial body. The respondent
cannot set up the defense the theory should be presumed to be proper and regular due to the disputable presumption of
regularity in the performance of official duty.
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.
Another important difference between habeas corpus and amparo is the express acknowledgment by the court now of the
existence of provisional remedies. In habeas corpus, we cannot apply for a provisional remedy. But in the circular for
amparo, there are 4 interim reliefs. They are effectively provisional remedies that could accompany petition for a writ of
amparo. They are Protection Order, Inspection Order (IO), Production Order and Witness Protection Order (WPO).
The IO and Production Order as interim reliefs in amparo are available to both petitioner and respondent. But the
Protection Order and WPO` are both available only to the petitioner. And in these Production Order and IO in amparo, the
amparo court should conduct a hearing before issuing these orders. The amparo court cannot simply grant a motion exparte for the issuance of these interim reliefs.
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.
Q: May a separate action be filed after filing a petition for a writ of amparo?
A: Yes. It does not preclude the filing of separate criminal, civil or administrative actions. (Sec. 21)
Q: What is the effect if a prior criminal action has been filed?
A: No petition for a writ of amparo shall be filed. The reliefs under the writ shall be available by motion in the criminal case.
(Sec. 22)
The procedure under this Rule shall govern the disposition of the reliefs available under the writ of amparo.
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.
Will it not cause prejudice to the movant if we require the movant to ask for a writ of amparo in the pending criminal
case, given that in a criminal case, in order to prove the guilt of the accused, the prosecution must meet the quantum of
evidence known as proof beyond reasonable doubt? Do we not make it difficult for the movant to convince the court to
issue a writ of amparo since we are filing a motion for a writ of amparo in a court trying a criminal case?
That is solved by the provisions of the amparo circular. If there is already an existing criminal case, the petitioner will no
longer be allowed to file a petition for amparo. Instead, he will be required to file a motion for the criminal court to issue a
writ of amparo, insofar as the criminal court is concerned, the criminal court will use the quantum of evidence in the
amparo circular, although it is trying a criminal case. In other words, the criminal court will convict the accused through
proof beyond reasonable doubt, but to convince the court to issue a writ of amparo concerning enforced disappearance
and extrajudicial killing, the quantum of evidence required of the movant will be substantial evidence. So we find a situation
where there are two different degrees of proof that will be used by the court in resolving these issues. The criminal case will
require proof beyond reasonable doubt, but the issuance of a writ of amparo will require only substantial evidence.
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.
With respect to habeas data, we practically follow the procedure that is given in amparo, except that, this time in habeas
data, the circular does not authorize other persons to file a petition for habeas data. Generally, it is only the aggrieved party
who can file properly a petition for habeas data. It is only when the records are kept by a government agency where the
immediate family of the relatives of the victim can file a petition for habeas data. A stranger or an NGO are not authorized
to file a petition for habeas date. And it is easy to understand why we do not follow the order of preference followed in
amparo. Because in habeas data, it is concerned with records that are supposed to be confidential. They are supposed to be
known only to the petitioner or to the aggrieved party. So, he is the only one authorized to file this petition for habeas data.
We follow the same procedure in amparo, there are prohibited pleadings and motion. And habeas data can also be used as
an interim relief and as a provisional remedy when a criminal case has been filed of the petition for habeas data.
A: There must be a certification which shall be issued by the DSWD in lieu of a judicial order, thus making the entire process
administrative in nature. The certification, shall be, for all intents and purposes, the primary evidence that the child is
legally available in a domestic adoption and in an inter-country adoption proceeding (Sec. 8, Ibid.).
Q: Can minor children be legally adopted without the written consent of a natural parent on the ground that the latter
has abandoned them?
A: No. Adoption cannot be had without the written consent of a natural parent who has allegedly abandoned them.
Abandonment cannot be merely presumed, it must be duly proven. Moreover, there should be proof of emotional
abandonment. (Cang v. CA, GR No. 105308, Sept. 25, 1998).
Q: Is publication of the hearing for adoption necessary for the adoption to be valid?
A: Indeed, publication of the scheduled hearing for the petition for adoption is necessary for the validity of a decree of
adoption but not for the purpose merely of taking a deposition. In taking a deposition, no substantial rights are affected
since depositions may or may not be presented or may even be objected to when formally offered as evidence at the trial
of the main case later on. the philosophy behind adoption statutes is to promote the welfare of the child and every
reasonable intendment should be sustained to promote that objective. (Republic v. Elepano, G.R. No. 92542, Oct. 15, 1991).
Note: The necessary consequence of the failure to implead the civil registrar as an indispensable party and to give notice by
publication of the petition for correction of entry was to render the proceeding of the trial court, so far as the correction of
entry was concerned, null and void for lack of jurisdiction both as to party and as to the subject matter. (Republic v. CA, G.R.
No. 103695, Mar. 15, 1996).
Q: What is the effect of adoption created under the law of a foreign country?
A: It is entitled to registration in the corresponding civil register of the Philippines. It is to be understood, however, that the
effects of such adoption shall be governed by laws of the Philippines. (Marcaida v. Aglubat, G.R. No. L-24006, Nov. 25,
1967)
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.
In adoption, in the past, there was a 4th special proceeding which SC allowed to be included in this petition. This was a
declaration of a minor to be considered as legally available for adoption. The court in the same proceeding can declare that
the child is legally free for purposes of adoption. We do not have that any more as a special proceeding. A court has no
authority to declare a minor to be legally free for purposes of adoption. That is now the exclusive authority of the Secretary
of the DSWD. So if the Secretary of Social Welfare issues an order declaring a minor as legally free for adoption, that
declaration will be binding upon all courts. That is the effect of giving to the secretary the authority to declare a minor
legally free for purposes of adoption.
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.
What makes it difficult for adopters or proposed adopters to make use of adoption under the Domestic Adoption Act is the
requirement that the adopter must have resided in the Philippines continuously for 3 years. That makes it extremely
difficult for any person wishing to adopt to make use of the Domestic Adoption Act. And the law is very strict in saying that
the 3-year period must be continuous in character. There are some breaks allowed, but there should be an order by the
adoption court. Because of this difficulty in making adoption convenient to the adopter, we have the Inter-Country
Adoption Law, which is not judicial in character, purely administrative in character. Although, we have this inter-country
adoption board (ICAB), this applies only to Filipinos who are minors, unlike in Domestic Adoption Act, the adoptee could be
an alien or a Filipino. Under the ICAB, this is limited to Filipinos who have not yet reached the age of majority. Usually, they
are the children declared by the Secretary of Social Welfare to be legally free for purposes of adoption.
Although we call the proceeding as purely administrative, it is not the ICAB that issues a decree of adoption, unlike in
domestic adoption where it is the family court that issues a decree of adoption. The Inter-Country Adoption Act does not
authorize the board to issue a decree of adoption. The ICAB will only be responsible for the matching for the adopter in the
foreign country and the adoptee who is in the Philippines. In the process of this matching, it is the responsibility of the ICAB
to determine the qualifications of the adopter, his financial capability, and also the possibility that the adopter and adoptee
may not like each other once they start living together.
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.
Insofar as domestic adoption is concerned, there is also a separate special proceeding, although related to adoption, it is
always separate from a petition of adoption itself, it is rescission or revocation of adoption, also governed by the Domestic
Adoption Act. In this separate special proceeding for revocation of adoption, or rescission of adoption, the petitioner is the
adoptee, and the relief he seeks for the family court is for the family court to he seeks for the family court is for the family
court to revoke or rescind the decree of adoption. If you will notice in the Domestic Adoption Act, this remedy is exclusively
available to the adoptee only. If the adoptee and adopter cannot live together peacefully, the adoptee is given this remedy
to file an independent special for the revocation or rescission of the adoption.
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.
Is it unfair to the adopter who could a victim of abusive conduct by the adoptee?
It is not, according the Domestic Adoption Law as the law gives to the adopter a remedy. The remedy given is for the
adopter to disinherit the adoptee. That is the only recourse given to the adopter given under the law if he is a victim of
abusive conduct from the adoptee.
Why the different treatment when it comes to the availability of remedies by the adopter and the adoptee?
The reason is because these adoption laws are construed to be in favor of the adoptee, of the minor.
If the adoptee is given this recourse while the adopter is given remedy to disinherit adoptee, is it not easier for the
adopter to avail of the remedy because what the law tells us is that what an adopter must do is very simple if will just
disinherit the adoptee?
If you will look at the provisions of the NCC concerning disinheritance, you will notice that disinheritance must be contained
in a last will and testament. And if that must be contained in a last will and testament, if the adopter dies, that will must be
submitted for probate, it must be accepted/allowed by the court in a probate proceeding. There must be proof that the will
has complied with the formalities contained in the NCC. If by chance the will of the adopter is not admitted to probate, then
that remedy of disinheriting becomes ineffective, because if the will is not admitted to probate, there will be no
disinheritance, and the adoptee will continue to be an heir of the adopter. Unlike a revocation or rescission of a decree of
adoption, in which the decree of adoption will be set aside altogether, there will be no more relationship between the
adopter and adoptee.
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.
Can there be a change of citizenship?
In the records of civil registry in the certificate, can there be a change of filiation from legitimate to illegitimate?
Can there be a change of sex or gender?
Can there be a change of name?
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.
When it comes to change or correction of entry involving a substantial change, it can be done, so long as a full-blown
hearing is done under Rule 108. There is a need for respondents the chance to present its own evidence, to cross-examine
the witnesses of the petitioner and they are notified of everything the court will do in the petition under Rule 108 with
respect to citizenship.
With respect to filiation, in the certificate of birth, there is an item for filiation, whether legitimate or illegitimate. There was
a petition for the correction of filiation of the children born to a particular woman where the petitioner filed his petition to
correct the entry in that certificate of birth from legitimate to illegitimate. The petitioner said that she is the lawful spouse
of the person mentioned as the father of the children, but the children are not hers, but the children of the mistress of her
spouse. They cannot be considered as legitimate children. They should be considered as illegitimate children. So the issue
to be resolved was that could it be done under Rule 108 as the change that was going to be involved was substantial.
Changing filiation of the children from legitimate to illegitimate will mean that the hereditary rights of these children will be
significantly reduced. As legitimate children, they are entitled to so much of the estate, whereas as illegitimate children,
each will get of what a legitimate child would get. SC, applying the principle in Republic vs. Valencia, also said that it could
be done as long as the hearing conducted is not a summary hearing. It is a full-blown hearing where we notify the SolicitorGeneral or his representative, we comply with all the requirements given in Rule 108 concerning publication, where the
petition will be filed, to implead the local civil registrar as a respondent in that petition. The bottom line is it can be done as
long as the hearing conducted is a full-blown hearing. The process is adversarial, according to SC.
With respect to gender, we have now a new law authorizing an administrative change of gender from male to female or
vice versa, enacted last year.
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.
Following the procedure in challenging this exercise of the local civil registrar of his authority under the old law; and in the
new law, which is amendatory in character, it is also the one followed in the old law. There could be an appeal to the
superior, the Civil Registrar General, there could be an appeal to the Office of the President, and from there, there could be
a petition for review that could be filed in the CA under the provisions of Rule 43. Under Rule 43, in the enumeration of
quasi-judicial bodies whose decisions may be brought to CA by way of petition for review, the enumeration includes the
Office of the President.
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)
Q: Within what period may a petition for correction or cancellation of entries be filed?
A: The law did not fix a period within which the petition for correction under Rule 108 in relation to Art. 412 of Civil Code
may be filed. Accordingly, such petition may be filed within 5 years from time the petitioner discovered the error or mistake
in the civil registry, and not from the date the birth certificate was registered in the civil registry. (Lee v. CA, supra.)
Q: Celine files a petition for cancellation of the birth certificate of her daughter Jeanie on the ground of falsified material
entries therein made by Celines husband as the informant. The RTC sets the case for hearing and directs the publication
of the order once a week for 3 consecutive weeks in a newspaper of general circulation. Summons was served on the
Civil Registrar but there was no appearance during the hearing. The RTC granted the petition. Jeanie filed a petition for
annulment of judgment before the CA, saying that she was not notified of the petition and hence, the decision was
issued in violation of due process. Celine opposed saying that the publication of the court order was sufficient
compliance with due process. Rule.
A: The petition for annulment of judgment before the CA should be granted. Jurisdiction of the court over a petition for
cancellation of a birth certificate requires reasonable notice to all interested parties and also publication of the order once a
week for 3 consecutive weeks in a newspaper of general circulation. In this case, publication of the order is insufficient
because Jeanie, a directly concerned party, was not given reasonable notice, hence, denied due process. The lower court,
therefore, did not acquire jurisdiction. (Ceruila v. Delantar, G.R. No. 140305, Dec. 9, 2005).
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)
Q: Helen is the daughter of Eliza, a Filipina, and Tony, a Chinese, who is married to another woman living in China. Her
birth certificate indicates that Helen is the legitimate child of Tony and Eliza and that she is a Chinese citizen. Helen
wants her birth certificate corrected by changing her filiation from "legitimate" to "illegitimate" and her citizenship from
Chinese" to "Filipino" because her parents were not married. What petition should Helen file and what procedural
requirements must be observed? Explain.
A: A petition has to be filed in a proceeding under Rule 108 of the Rules of Court. A petition to change the record of birth by
changing the filiation from legitimate to illegitimate and petitioners citizenship from Chinese to Filipino does not
involve a simple summary correction which could otherwise be done under the authority of R.A. 9048. Procedural
requirements include: (a) filing a verified petition; (b) naming as parties all persons who have or claim any interest which
would be affected; (c) issuance of an order fixing the time and place of hearing; (d) giving reasonable notice to the parties
named in the petition; and (e) publication of the order once a week for 3 consecutive weeks in a newspaper of general
circulation. (2005 Bar Question)
GUARDIANSHIP
Q: What is guardianship?
A: It is a trust relation in which one person acts for another whom the law regards as incapable of managing his own affairs.
Note: Guardianship of minors is now governed by the Rule on Guardianship of Minors (AM No. 03-02-05-SC) which took
effect on May 1, 2003. While guardianship of incompetents who are not minors is still governed by the provisions of the
Rules of Court on Guardianship. (Rule 92- 97)
Q: What is ancillary guardianship?
A: It refers to the guardianship in a state other than that in which guardianship is originally granted.
annual income, to guarantee the performance of the obligations prescribed for general guardians (Sec. 16, A.M. No. 03-0205-SC).
Q: Who may petition for appointment of guardian for resident?
A:
1. Any relative;
2. Other person on behalf of the minor;
3. Minor himself is 14 years of age; or
4. Secretary of Social Welfare and Development AND by the Secretary of Health in case of insane minor who needs to be
hospitalized. (Section 2, AM-03-02-05-SC)
Q: Is court appointment necessary to enable the father and the mother to exercise joint legal guardianship over the
person and property of minor?
A: No. The father and the mother shall jointly exercise legal guardianship over the person and property of their minor
without the necessity of a court appointment. In such case, this Rule shall be suppletory to the provisions of the Family
Code on Guardianship (Section 1, AM -03-02-05-SC)
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).
Q: What are the factors to be considered for the appointment of guardian of minors?
A:
1. Moral character;
2. Physical, mental, and psychological condition;
3. Financial status;
4. Relationship of trust with the minor;
5. Availability to exercise the powers and duties of a guardian for the full period of the guardianship;
6. Lack of conflict of interest with the minor; and
7. Ability to manage the property of the minor (Sec. 5, 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. 03-0205-SC).
3. Actual custodian of the minor over 21 years of age, unless unfit or disqualified;
4. Any other person, who in the sound discretion of the court would serve the best interests of the minor (Sec. 6, A.M. No.
03-02-05-SC).
Q: What are the grounds for opposition to petition of guardianship of minors?
A:
1. Majority of the alleged minor; or
2. Unsuitability of the person for whom letters are prayed for (Sec. 10, A.M. No. 03-02-05-SC).
Q: How may a petition for guardianship of minors or incompetents be opposed?
A: Any interested person may contest the petition by filing a written opposition and pray that the petition be denied, or
that letters of guardianship issue to himself, or to any suitable person named in the opposition (Sec. 10, A.M. No. 03-02-05SC; Sec. 4, Rule 9).
The rest of the special proceedings like guardianship for instance, the guardian has the same duties as that of an
administrator/executor because both are fiduciaries. The main difference between a guardian and administrator/executor
is that a guardian has the authority by himself alone to pay the indebtedness of his ward. The administrator/executor does
not have that authority. In settlement proceedings, we speak about statute of non-claims. There is no statute of non-claims
in guardianship.
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.
For purposes of jurisdiction in guardianship proceedings, do not be of the impression that guardianship proceedings are
always cognizable by the family court. If there is a guardianship proceeding involving a minor, that is exclusively cognizable
by a Family Court. But when the guardianship is over an incompetent who is not a minor, the competent court is an RTC.
The competent court is either a family court or an RTC, depending on who the ward is. If the ward is a minor, we go to a
family court. If the ward is an incompetent of major age, then we go to the RTC.
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.
When it comes to termination of guardianship. When the guardianship is via the family court by reason of minority, and the
minor reaches the age of majority, there is no need for the family court to issue an order directing that the guardianship has
ended. The guardianship automatically ends if the minor reaches the age of majority. By operation of law, he is no longer a
minor.
But when the guardianship is by reason of incompetency, there is a need for RTC to issue an order saying that the
incompetency has ended, and there must be a hearing conducted by the court. There must be a finding by the court that
the incompetent person is now competent and therefore, the guardianship should be terminated.