Interpretation of California Construction
Defect Statutes
California
Construction Defect Statutes of repose should be interpreted broadly, despite the seeming restrictions of the
statutory language. In recent years, consumer
demand for housing in California has intensified and led to a marked increase in housing
construction. To meet this growing demand, and in an attempt to
maximize profits, many developers chose an assembly line form of home manufacturing, even with the potential
sacrifice in quality. As a result, much of California’s new housing
inventory was defectively constructed, igniting myriad construction defect lawsuits against developers and
contractors.
Many of these
cases have been resolved. Others will be brought in the near
future. Those contemplating future litigation, however, do not have
the luxury of unlimited time to initiate their claims. Construction
defect actions, as with virtually all civil litigation claims, must be brought within a specific time period
mandated by the California Legislature. Consequently, a viable
cause of action for construction defects often turns not only on the merits of the claim but also on whether the
lawsuit is brought within the statutory time limits. If a lawsuit
is brought merely one day late, the defendant developer will have an absolute defense to the claim, and the
plaintiff—even one with an otherwise factually and legally strong case against the developer—may be left without
a remedy. Understanding the various time limitations for bringing
construction defect actions is crucial to plaintiffs and defendants. Unfortunately, several aspects of these time limitations are confusing and
require clarification because of ambiguities contained in what is commonly known as the “control
exception.”
The
California Legislature has imposed different statutes of repose on construction defect cases depending on
whether the defects in question are considered “patent”—those that are apparent upon reasonable inspection—or
“latent”—those that do not present themselves until after the completion of construction. Code of Civil Procedure Section 337.1 applies to actions for patent
construction defects and limits such lawsuits to four years after substantial completion of the
construction. Code of Civil Procedure Section 337.15, in contrast,
provides for a 10-year statute of repose from the time of substantial completion of construction for lawsuits
arising out of latent construction defects. Both Sections 337.1 and
337.15, however, carve out identical exceptions to their respective time limitations. Each is referred to as the control exception. According to the exception, the time-related defense to liability prescribed
in the statutes cannot be asserted by “any person in actual possession or the control, as owner, tenant or
otherwise, of such an improvement, at the time any deficiency in the improvement constitutes the proximate cause
for which it is proposed to bring an action.” The control
exception, in other words, bars certain parties under certain conditions from using the statutes of repose of
Sections 337.1 and 337.15 as a defense in a construction defect lawsuit.
Even a
cursory reading of the control exception reveals the difficulties in comprehending its scope and
application. What exactly constitutes “actual possession or the
control”? Is control over certain aspects—but not all aspects—of a
development enough to fall under the control exception? At what
point does “possession or the control” have to be assumed by a developer? What if an entity had “possession or the control” of a development during
construction but relinquished it after completion of the construction? What persons or entities fall into the categories of “owner, tenant or
otherwise”? What about a governmental body, property management
company, or a condominium homeowners’ association? Does being in
“possession or the control” toll the applicable time limitations on actions? If a contractor builds and owns a development for more than 10 years before
selling it, does the applicable 10-year or 4-year time limitation begin to run at the time of the plaintiff’s
purchase of the development or has the time limitation already run?
Legislative Intent
One approach
to answering these questions is to ask why the legislature thought the control exception was
necessary. It is important to discern for whom the control
exception was designed to benefit or protect. In Eden v.
Van Tyne, the court of appeal neatly summarizes the statutory intent of Section 337.15 (and, by
extension, Section 337.1) and describes the legislative rationale for providing this type of defense to those in
the construction industry:
There is a
reason for treating persons in possession differently from the contractor and architect. In footnote 2 of the above case [Regents of the University of
California v. Hartford Accident and Indemnity Company], the court states: “A contractor is in the
business of constructing improvements and must devote his capital to that end; the need to provide reserves
against an uncertain liability extending indefinitely into the future could seriously impinge upon the conduct
of his enterprise.” On the other hand, one who owns the property or
controls it at the time of the accident (i.e., at the time the defect constitutes the proximate cause of the
damage or injury) is likely to have insurance.
According to
the Eden court, indefinite prospective liability for construction defects would make the construction
business financially untenable. It is for this reason that the
legislature enacted the various time limitations on actions against contractors and builders. However, why did the legislature also take away the protections of Section
337.1 and Section 337.15 from those in “possession or the control”?
By passing the control exception, the legislature limited the scope of the Section 337.1 and Section 337.15 time
limitation defenses. To this question, Eden also provides an
answer. Entities that are in “possession or the control” of
developed real property most probably have insurance.
Consequently,
there is no need to protect these entities from indefinite prospective liability, because this liability
presumably will be borne by an insurance company. Aggrieved
property owners will be able to get their relief from a member of the insurance industry, which apparently—at
least in the legislature’s conception—is better suited to carry the costs of this type of
liability. From the Eden perspective, the statutory
scheme might even be viewed as favoring consumers by making sure that potential defendants have deep enough
pockets to pay a judgment entered against them. This reasoning
became an important guide for California courts considering the proper application of Sections 337.1 and
337.15.
The time
limitations on most tort claims run from the time the injury in question is discovered by the potential
plaintiff. Sections 337.15 and 337.1, however, operate differently
in that their applicable time limitations run from “substantial completion” of the construction rather than from
the time the injured party knew, or should have known, of the injury. This difference distinguishes a statute of repose from the more typical
statute of limitation.
In Inco
Development Corporation v. Superior Court, the court of appeal further delineated the hallmarks of
these two types of statutes setting forth time periods within which an action can be brought:
Cal. Code
Civ. Proc. §337.15 has characteristics of a statute of repose. It
is not dependent upon traditional concepts of accrual of a claim, but is tied to an independent, objectively
determined and verifiable event, i.e., the date of substantial completion of the improvement. That date may very well predate the time when a potential plaintiff purchases
the property. A suit to recover for a construction defect generally
is subject to limitations periods of three or four years, depending on whether the theory is breach of warranty
or tortious injury to property. Unlike these statutes of limitation
which begin to run only when the defect was or should have reasonably been discovered, the 10-year period in
Cal. Code Civ. Proc. §337.15 imposes an absolute requirement that a lawsuit to recover damages for latent
defects be brought within 10 years of substantial completion of the construction, whether or not the defect was
or even could have been discovered within that period.
Therefore,
under California law, Section 337.15 is a statute of repose rather than a statute of limitation. Consequently, the 10-year time limitation is an absolute bar that is not
dependent on when a latent construction defect is discovered or when the property in question is sold by the
developer. Furthermore, it follows that the fact that a developer
is in “possession or the control” of a development does not toll Section 337.15 during the time the developer
possesses or controls the property.
Similar case
law in connection with Section 337.1 provides that this statute is also deemed a statute of repose rather than
one of limitation. As such, the date of discovery of a patent
construction defect is likewise irrelevant to the operation of the statute. As with Section 337.15, the fact that a developer is in “possession or the
control” of a development does not toll this provision during the time the developer possesses or controls the
property.
Interpreting
the Control Exception For the control exception to apply, the “possession” and “control” must occur “at the time
any deficiency in the improvement constitutes the proximate cause for which it is proposed to bring an
action.” Reading this portion of the statute certainly seems to
indicate that if a party is in possession or control when it caused the defect, it cannot plead the statute of
repose defense for construction defect actions. One can even
imagine a valid public policy basis for this interpretation: It will create a greater incentive for developers
to monitor builders and ensure that the work they perform is free from defect. According to this approach, once a party in possession or control—presumably
the party with the best chance at detecting and preventing a construction defect—allows a construction defect to
go unrepaired under its supervision, it is forever liable for the consequences.
This
interpretation of the control exception, however, defies logic.
Such an interpretation would eviscerate the statutes, as almost all parties involved in the creation of a
development can be said to have been at one time in possession or control of the development. This issue was at the heart of the court’s decision in the Eden
case. The plaintiffs—purchasers of a residential property—filed a
complaint for rescission and damages against the sellers of the property and for damages against the builder and
a soils engineer. According to the plaintiffs, the sellers had
concealed the fact that a substantial section of a patio wall had failed and toppled down a
slope. After investigating the wall failure, the plaintiffs
discovered that the land was unstable, contrary to representations made to them by the sellers, and that the
residence had suffered substantial structural distress requiring considerable reconstruction of the
property. The builder and the soils engineer moved for summary
judgment on the grounds that the causes of action against them were barred by the 10-year statute of repose
in Section 337.15.11
In response,
the plaintiffs argued that Section 337.15(e) barred the contractor—and named others—from using the statute of
repose defense because they were in possession or control of the premises at the time the defective latent
condition was designed, installed, or built into the improvement.
Under the plaintiffs’ reading of Section 337.15(e), if a party was ever in possession or control of an
improvement, it could never plead a Section 337.15 defense, no matter how much time had elapsed between the
discovery of the defect and the party’s relinquishment of possession or control.
The court of
appeal, however, rejected the plaintiffs’ argument, concluding that such an interpretation “would defeat the
intent of the statute.” All contractors, developers, and the like
are in control of an improvement at some stage of its development.
Thus, the plaintiffs’ interpretation of subdivision (e) would wholly deny the intent of the
statute. Indeed, the court found that the argument by the
plaintiffs stretches the language of the subdivision beyond the point at which it can be validly
applied.
Therefore,
despite the language of the statute, the Eden court found that in order to determine whether the control
exception applies to a certain party, it is not only relevant who was in control at the time the defect was
created but also who was in control at the time it was discovered.
Furthermore, although the Eden court never mentions this specifically, it is reasonable for parties in
possession or control at the time a lawsuit is filed to be excepted from the time limitations defenses by the
control exception. This principle can be inferred from the
Eden court’s reasoning because the party in possession or control is not only best situated to identify a
construction defect and remedy it before the filing of a lawsuit but also most likely to cover up the
defect. To put it even more starkly, without the control exception
a party in “possession or the control” of a development that is aware of a major construction defect could
simply elect to withhold this information and run out the clock by failing to relinquish control over the
development until the statutory time limit had expired.
The more
recent case of Magnuson-Hoyt v. County of Contra Costa deals with the constitutes the proximate
cause for which it is proposed to bring an action.” Reading this
portion of the statute certainly seems to indicate that if a party is in possession or control when it caused
the defect, it cannot plead the statute of repose defense for construction defect actions. One can even imagine a valid public policy basis for this interpretation: It
will create a greater incentive for developers to monitor builders and ensure that the work they perform is free
from defect. According to this approach, once a party in possession
or control—presumably the party with the best chance at detecting and preventing a construction defect—allows a
construction defect to go unrepaired under its supervision, it is forever liable for the
consequences.
This
interpretation of the control exception, however, defies logic.
Such an interpretation would eviscerate the statutes, as almost all parties involved in the creation of a
development can be said to have been at one time in possession or control of the development. This issue was at the heart of the court’s decision in the Eden
case. The plaintiffs—purchasers of a residential property—filed a
complaint for rescission and damages against the sellers of the property and for damages against the builder and
a soils engineer. According to the plaintiffs, the sellers had
concealed the fact that a substantial section of a patio wall had failed and toppled down a
slope. After investigating the wall failure, the plaintiffs
discovered that the land was unstable, contrary to representations made to them by the sellers, and that the
residence had suffered substantial structural distress requiring considerable reconstruction of the
property. The builder and the soils engineer moved for summary
judgment on the grounds that the causes of action against them were barred by the 10-year statute of repose
in Section 337.15.11
In response,
the plaintiffs argued that Section 337.15(e) barred the contractor—and named others—from using the statute of
repose defense because they were in possession or control of the premises at the time the defective latent
condition was designed, installed, or built into the improvement.
Under the plaintiffs’ reading of Section 337.15(e), if a party was ever in possession or control of an
improvement, it could never plead a Section 337.15 defense, no matter how much time had elapsed between the
discovery of the defect and the party’s relinquishment of possession or control.
The court of
appeal, however, rejected the plaintiffs’ argument, concluding that such an interpretation “would defeat the
intent of the statute.” All contractors, developers, and the like
are in control of an improvement at some stage of its development. Thus, the plaintiffs’ interpretation of subdivision (e) would wholly deny the
intent of the statute. Indeed, the court found that the argument by
the plaintiffs stretches the language of the subdivision beyond the point at which it can be validly
applied.
Therefore,
despite the language of the statute, the Eden court found that in order to determine whether the control
exception applies to a certain party, it is not only relevant who was in control at the time the defect was
created but also who was in control at the time it was discovered.
Furthermore, although the Eden court never mentions this specifically, it is reasonable for parties in
possession or control at the time a lawsuit is filed to be excepted from the time limitations defenses by the
control exception. This principle can be inferred from the
Eden court’s reasoning because the party in possession or control is not only best situated to identify a
construction defect and remedy it before the filing of a lawsuit but also most likely to cover up the
defect. To put it even more starkly, without the control exception
a party in “possession or the control” of a development that is aware of a major construction defect could
simply elect to withhold this information and run out the clock by failing to relinquish control over the
development until the statutory time limit had expired.
The more
recent case of Magnuson-Hoyt v. County of Contra Costa deals with the question of what classes of
parties may employ the statute of repose defense. The
plaintiff-property owner alleged that landslide damage to her property in 1986 was caused by the manner in which
an adjoining public street was constructed in 1968. The complaint
alleged that the county substantially participated in the design and construction of the street. The county had no responsibility for maintenance of the street after June
1977, and the action was filed in August 1987. Thus, the county
pled a defense based on Section 337.15.14
In an attempt
to make use of Section 337.15’s legislative rationale in order to defeat its application in the lawsuit, the
plaintiff offered two arguments in response. First, the statute
does not mention public agencies but refers only to a “person” developing real property. Second, the legislative rationale of the law was to protect “contractors and
other professionals and tradespeople in the construction industry,” not government entities. The court of appeal rejected the plaintiffs’ contentions in full, finding the
language of the statute to be broad enough to encompass government entities:
Section
337.15 clearly and unambiguously expresses a legislative intent to put a 10-year limit on latent deficiency
liability exposure for “any person” performing certain activities in making improvements to real
property.
Among the
activities covered by the statute are performing or furnishing the design or specifications of the
improvement. There is nothing in the words of the statute that
suggests a public or governmental entity which has engaged in one of the specified activities is precluded from
asserting the statute as a defense. Consequently, resort to the
legislative history of section 337.15 is unnecessary. We therefore
hold that the provisions of section 337.15 can apply to claims against governmental and public
entities.
The
Magnuson-Hoyt court never directly addressed the issue of why the legislature would have sought to
protect a party from outside the construction industry that would not share a builder’s burden to maintain large
capital reserves. Nevertheless, the court makes clear that the
statutes of repose regarding construction defects should be read broadly to shield “any person” from liability
who might otherwise be excluded from the defense if considering solely the legislative purpose expressed by
Eden—namely, the protection of members of the building industry. Courts analyzing the appropriateness of applying the control exception to a
given situation must keep in mind Magnuson-Hoyt’s broad reading of the applicable statute of repose to
include nondeveloper parties—a result the legislature may never have intended.
Interestingly, in the spring of 1998,
Assembly Bill 2631 (Baugh) was proposed to limit the applicability of the Section 337.15(e) exclusion to
government entities. In accordance with this proposal, the
possession/control exclusion of subdivision (e) would be made applicable only to government entities that had
actual knowledge of the latent deficiency in question and unreasonably failed to take action to cure
it. Under this bill, a government agency, even one in possession or
control of an improvement, could plead the 10-year statute of repose defense, except in situations in which it
knew of and unreasonably ignored a defect. Although the measure
ultimately failed to become law, it reveals some additional legislative sympathy toward expanding the statutes
of repose in Sections 337.1 and 337.15 beyond the construction industry, notwithstanding the original intent of
the legislature.
Assessing Control
In
Gaggero v. County of San Diego, the court of appeal addressed the issue of how much control gives
rise to the Section 337.15(e) exception to the statute of repose.
The County of San Diego owned and operated a landfill until it was sold in 1969. Subsidence later caused major damage to nursery structures on the property,
and the subsequent owners alleged that the decomposition of material in the landfill had produced methane gas,
which in turn created void pockets in areas beneath the landfill covering. In 2000, they brought an action against the County of San Diego alleging
negligence in the manner in which the landfill was planned, designed, owned, occupied, and
maintained. The county moved for summary judgment, contending that
the action was time-barred.
The
plaintiffs countered, arguing that because the county installed methane monitoring equipment on the landfill in
1988, the county was in actual possession or control of the landfill within the meaning of the exception to
Section 337.15.18. The court disagreed with the plaintiffs and held
that they could not take advantage of the Section 337.15(e) exception. In doing so, the court reiterated a policy principle:
First, the
class of persons to whom builders may be liable is larger than the class to which owners may be liable….Second,
a builder may be liable for construction defects under various legal theories—contract, warranty, negligence,
and perhaps strict liability in tort. Landowner liability for such
defects, on the other hand, typically lies only in tort, unless the landowner is a lessor, in which case he is
liable only for events occurring while the tenant is in possession….Third, landowners can ordinarily avoid
liability by taking adequate care of their land and structures….The builder has no such control over his product
after relinquishing it to the landowner.
The court
concluded by noting that “[t]he county’s monitoring activity did not bring it within the rationale of the
exception. The monitoring did not narrow the scope of potential
claimants nor the theories upon which the county might be held liable. Rather, quite to the contrary, the monitoring arguably expanded the scope of
the county’s potential liability.” In accordance with this
reasoning, which paid special attention to the legislative intent behind the statute of repose, the court found
that the county’s mere monitoring of methane on the site did not constitute enough “possession” or “control” to
give rise to the subsection (e) exclusion.
The decision
in Gaggero is narrowly written, addressing only the issue of whether monitoring methane meets the
requisite level of “possession or the control” rather than the broader issue of the elements constituting
possession or control. Thus, it is difficult to derive a broad
lesson from Gaggero. Clearly future courts faced with
analyzing whether a party has the minimal level of possession or control will have to consider at least some
precedent for the idea that, in some cases, mere supervision over one aspect of a development by an entity is
not enough to deem the entity in control of the development for other matters.
In contrast
to Gaggero, the court in Leaf v. City of San Mateo found that responsibility for storm and
sanitary sewer easements constituted enough possession or control to permit the invocation of the control
exception and exclude the City of San Mateo from asserting a defense based on the statute of
repose. In Leaf, the owners of a duplex brought an action
for inverse condemnation against the city arising from subsidence damage alleged to be the result of the
city’s defective sewage and drainage systems. The plaintiffs
filed the action against the city on January 28, 1977. The trial
court granted summary judgment in favor of the city on the ground that the action was brought more than 10
years after the date of completion of the duplex and thus fell under the ambit of Section 337.15. The court of appeal reversed:
The purpose
of the ten-year statute is to protect developers of real estate against liability extending indefinitely into
the future. [Citations omitted.]
Section
337.15 does not protect persons in actual possession or control, as owner or otherwise, of the offending
property at the time of the proximate cause of the injury.
[Citations omitted.] Defendant City was in possession and control
of the storm and sanitary sewer easements on and near plaintiffs’ property. Therefore, City of San Mateo was not within the protected class, specifically
developers, which was intended by this statute. According to the
Leaf decision, it was not even necessary for a party to be in control of the damaged
property. Mere possession or control over the cause of the
defect was enough to bar the protections of Section 337.15 and invoke the control exception.
Although
Leaf is as narrowly drawn as Gaggero, a consideration of the decisions in tandem suggests the
proper parameters for addressing the question of how much control is enough to qualify for the control
exception. In Gaggero, the defendant’s supervisory
responsibilities did not give it the information necessary or the authority to identify or remedy the
construction defect that was the subject of the underlying litigation. No matter how diligently the County of San Diego monitored the methane at the
site, it would not have discovered or been in a position to fix the alleged soil subsidence
problem. As a result, excepting the County of San Diego from
employing the statutory time limitations defense would seem unfair.
Unlike the
Gaggero court’s analysis regarding the County of San Diego, the Leaf court found that the
responsibility of the defendant, the City of San Mateo, was to maintain the city’s sewage and drainage
systems—the very subject of the lawsuit. The city, therefore, was
uniquely positioned to have discovered the purportedly defective sewage and drainage systems during the years
leading up to the lawsuit and would have been best able to remedy any defects. Thus, the City of San Mateo should be barred from using the applicable statute
of repose as a complete defense to the action.
Although the
case law and legislative history pertaining to Section 337.1 and Section 337.15 are scant, the information
available allows for the extraction of several principles that can guide the judiciary’s interpretation of these
statutes. First, the applicable statutes of repose are designed to
avoid the indefinite prospective liability for construction defects that would make the construction business
financially untenable. The control exception is designed to except
entities that are in “possession or the control” of a development from the protections of the statutory time
limitations because these types of entities most probably have insurance to provide for their
liabilities. Thus, the statutory rationale should not apply to
them.
Second,
despite the statutory language that the relevant period for possession and control to determine the
applicability of the control exception is “at the time any deficiency in the improvement constitutes the
proximate cause for which it is proposed to bring an action,” the proper question is who is in possession or
control at the time the suit is filed. Any contrary interpretation
would eviscerate the purpose of the statute, as all developer parties were in possession or control at some
point during the construction. The party in possession or control
at the time the defect is discovered is best situated to identify a construction defect and remedy it before the
filing of a lawsuit—and is most likely to conceal the defect.
Third, the
construction defect-related statutes of repose should be read broadly to shield “any person” from liability, not
just developer parties—despite contrary rationales for the statutory language.
Fourth, a
party that was well positioned to discover and remedy a construction defect as a result of its degree of control
or supervision over a development should be barred by the control exception from using the statutory time
limitations as a defense.
Last, when
interpreting the control exception and the statutory time limitations on construction defect actions, it is
important to bear in mind that Sections 337.1 and 337.15 are statutes of repose under California
law. As such, these statutes are not tolled during the period
that a developer is in possession or control of a development.
|