Court Opinion

ID: 9388581
Source: CourtListenerOpinion
Date Created: 2023-04-20 23:01:58.979177+00
Date Added: 2024-06-11T17:18:21.121740
License: Public Domain

Filed 3/23/23; Certified for Publication 4/20/23 (order attached)

        IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                              FIRST APPELLATE DISTRICT

                                         DIVISION ONE

 CRESCENT TRUST,                                            A162465
            Plaintiff and Appellant,
                                                         (Alameda County
 v.                                                      Super. Ct. No.
 CITY OF OAKLAND,                                      RG20068131)
            Defendant and Respondent.

        This is an appeal from the denial of a petition for writ of mandate to
compel the City of Oakland to issue a certificate of compliance for a single lot,
known as lot 18, under the Subdivision Map Act.1 We reverse with directions
to grant the petition and issue an appropriate writ.
                                        BACKGROUND
        Lot 18 has its origins in the Map of San Antonio (Map) which was
prepared by surveyors and filed with the Alameda County Recorder’s Office
in 1854 and later recorded in 1869.2 The Map depicts numerous “blocks”
that, in turn, are divided into numerous “lots.” Many of these lots were soon

        1    Government Code section 66410 et seq.
       The land holding was originally part of the San Antonio Rancho
        2

acquired by the Peralta family.

                                                   1
conveyed to numerous grantees. One of the blocks, block 66, was retained by
the owner. This block includes lots 15, 16, 17, and 18.
      In 1877, these four lots were conveyed in conjunction with lots 10
through 14 through a probate proceeding, as were numerous other lots in
other blocks. The nine lots were separately identified, as were all the other
lots conveyed at that time, by reference to the Map.3
      In 1881, lots 10 through 18, along with numerous other lots in
numerous other blocks, were transferred to a bank as part of a financing
arrangement.4
      In 1885, the bank conveyed lots 15, 16, 17, and 18 to an individual
grantee, by way of a single conveyance.5
      In 1887, this individual grantee conveyed the four lots, again by way of
a single conveyance, to a new grantee.6
      In 1913, the lots were again conveyed by way of a single deed.7

      3  The nine lots were listed in the probate document and described as
follows: “42nd. Lots 10 to 18 inclusive in Block 66.”
      4  The lots were listed in the financing document and described as
follows: “Lots nos. <10 to 18> ten to eighteen, inclusive, in Block sixty-six
<66>.”
      5  The lots were described, as best as can be discerned from the copy of
the handwritten deed in the record, as follows: “. . . in the City of Oakland,
County of Alameda, State of California . . . Lots Nos. Fifteen, Sixteen,
Seventeen, and Eighteen <15, 16, 17, and 18> in Block No. Sixty-Six <66> of
what was formerly the . . . San Antonio . . . recorded in the Recorder’s Office
of said County of Alameda in . . . of maps at pages 2 and 3.”
      6 The lots were described as follows: “Lots Fifteen, Sixteen, Seventeen,
and Eighteen (15, 16, 17, and 18) in Block No. Sixty Six (66) of what was
formerly the Town of San Antonio as per Map thereof,” followed by a mete
and bounds description that encompassed all four lots.
      7  The description of the lots on the copy of the deed in the record is
illegible.

                                        2
      Nearly 20 years later, in 1932, lots 17 and 18 were, in a single deed,
conveyed to another grantee. This transaction was challenged in a probate
proceeding, resulting in a 1933 judgment that apparently invalidated the
transaction and, in any case, adjusted the boundaries of several of the four
lots. Lot 18, however, remained as depicted on the 1854 Map.
      In 1944, lots 17 and 18 and a portion of lot 16 were, in a single deed,
conveyed to a grantee.8
      Appellant eventually acquired this property in 2015, that is, lots 17 and
18 and part of lot 16, again by way of a single deed.9

      8   The property was described as follows:
      “BEGINNING at the point of intersection of the south eastern line of
      22nd Avenue, formerly Peralta Street, as said Peralta Street is shown
      on the map hereinafter referred to, with the Southwestern line of East
      21st Street; running thence Southeasternly along said line of East 21st
      street 62 feet; thence at right angles Southwesterly 140 feet; thence at
      right angles Northwesterly 62 feet to said Southwesterly line of 22nd
      Avenue; thence Northwesterly thereon 140 feet to the point of
      beginning.
      “BEING a portion of Lot Numbered 16, and all of Lots Numbered 17
      and 18 in Block Numbered 66, as said lots and block are delineated and
      so designated upon that certain map entitled ‘Map of San Antonio,’ filed
      September 12, 1854 and recorded April 27[,] 1869 in book 1 of maps at
      pages 2 and 3 in the office of the County Recorder of Alameda County.”
      9 A title insurance policy issued for the property in 2019 set forth the
“legal description” (capitalization omitted) as follows:
      “BEGINNING AT THE POINT OF INTERSECTION OF THE SOUTH
      EASTERN LINE OF 22ND AVENUE, FORMERLY PERALTA STREET,
      AS SAID PERALTA STREET IS SHOWN ON THE MAP
      HEREINAFTER REFERRED TO, WITH THE SOUTHWESTERN
      LINE EAST 21ST STREET; RUNNING THENCE SOUTHEASTERN
      ALONG SAID LINE OF EAST 21ST 62 FEET THENCE AT RIGHT
      ANGLES SOUTHWESTERLY 140 FEET THENCE AT RIGHT
      ANGLES NORTHWESTERLY 62 FEET TO SAID SOUTHWESTERLY

                                       3
      Appellant subsequently applied for a certificate of compliance for lot 18.
In its application, appellant made the following statements: “[L]ots were
created pursuant to the ‘Map of San Antonio,’ filed in Book 1 of Maps at Page
2.” “These are legal lots that were created under the applicable rules in effect
at the time the Map of San Antonio was filed.” “The lots” have since “been
improved pursuant to the map” and “streets accepted, and the improvements
[] constructed pursuant to the map.” Appellant asked “that a certificate of
compliance be issued, unconditionally, as Lot 18, Block 66 was legally created
and has never had a building over its lot line, which would have merged the
parcel.”
      The city surveyor agreed lot 18 “was legally created by conveyance in
accordance with the original said map,” observing that the “first labeled
indenture” of lots “15, 16, 17 and 18 per 1M2” was by way of the 1885 deed
“in 280 D 284.” The surveyor concluded, however, that lots “18 and 17, and a
portion of 15 and 16 were merged” by the 1933 probate judgment because
“[t]he adjudicated lines of the original lots were removed per judgment by
metes and bounds description,” and thereafter lots “18, 17 and a portion of
Lot 16 were effectively merged and resubdivided” by their conveyance in
1944. Since then, there had “been no effort to divide the parcel into the

      LINE OF 22ND AVENUE, THENCE NORTHEASTERLY THEREON
      140 FEET TO THE POINT OF BEGINNING.
      “BEING A PORTION OF LOT NUMBERED 16, AND ALL OF LOTS
      17 AND 18 IN BLOCK NUMBERED 66, AS SAID LOTS AND BLOCK
      ARE DELINEATED AND SO DESIGNATED UPON THAT CERTAIN
      MAP ENTITLED ‘MAP OF SAN ANTONIO’ FILED SEPTEMBER 12,
      1854 AND RECORDED APRIL 27, 1869 IN BOOK 1 OF MAPS AT
      PAGES 2 AND 3 IN THE OFFICE OF THE COUNTY RECORDER OF
      ALAMEDA COUNTY.
      “APN: 021-0252-022.”

                                       4
original 25 foot configurations,” “[n]o separately assessed parcel exist[s] for
[lot] 18 as of 1972,” and the lot had not been “separately” sold or conveyed. In
sum, the city “deem[ed] the [lots] effectively merged since 1944.”
      Appellant responded, stating it did “not wish to merge” the lots and
“view[ed] these as legally created.”
      The city surveyor replied that he “never said [the lots] were not legally
created,” but said they “are not in the same configuration as they were when
they were legally created.” “Regarding . . . merger,” the surveyor stated
appellant “ha[d] no choice as the [lots] are now legally merged” into a single
parcel.
      Appellant attempted to file an appeal with the city planning
commission but was told by the city zoning manager there was no
administrative appeal from the denial of an application for a certificate of
compliance, and any legal recourse required a court action.
      Disagreeing that lot 18 had been lost through merger, appellant filed
the instant writ proceeding. In its petition, appellant described the origin of
the lot as follows: “On September 1, 1854, multiple lots were recorded as part
of the ‘Map of San Antoni[o],’ filed in Book 1 of Maps at Page 2, Alameda
County Records. Individual lots were thereafter transferred to other owners
through sales, gifts, and as part of estates. Ultimately, [appellant] became
the owner of lots 17, 18, and portions of lot 15 and 16. [Appellant] requested
a Certificate of Compliance for Lot 18 only.” In short, appellant proceeded on
the assumption lot 18 had been legally created and the city was in error with
respect to merger.
      In its supporting memorandum of points and authorities, appellant
identified two ways in which “parcels” (used here interchangeably with the
term “lots”) created prior to 1972 can be deemed legally created for purposes

                                        5
of the Subdivision Map Act. One way, as appellant characterized it, is
through the Act’s “compliance” provision set forth in Government Code
section 66499.30.10 This, said appellant, “allows a historic subdivision of land
to be considered compliant if the division was done by the recording of a
compliant map, regardless of the size of the subdivision,” a “compliant map”
being one that complied with “a law [that] ‘substantively’ regulate[d] the
design and improvement of subdivisions.” Appellant acknowledged “the Map
of San Antonio that originally described Lot 18 . . . [did] not qualify for the
Compliance Provision because no subdivision law was in effect in California
in 1854” when the Map was recorded.11
      The other way, as appellant characterized it, is through the Subdivision
Map Act’s “Small Subdivision Provision” set forth in section 66412.6,
subdivision (a). This provision applies, as described by appellant, where (a)
there “was a division” of land prior to 1972, (b) the division resulted in “the
creation of fewer than five parcels,” and (c) at the time of the division, there
was no local ordinance regulating subdivisions resulting in fewer than five
parcels. Appellant asserted this provision applied because “Lot 18 was
conveyed in groups of fewer than five lots in 1887, 1913, 1932, and 1933”12
and “any of these conveyances would have been sufficient to subdivide the

      10All further statutory references are to the Government Code unless
otherwise indicated.
      11As we shall discuss, this statement implicitly acknowledged our
Supreme Court’s decision in Gardner v. County of Sonoma (2003) 29 Cal.4th
990 (Gardner) and this court’s decision in Witt Home Ranch, Inc. v. County of
Sonoma (2008) 165 Cal.App.4th 543 (Witt).
      12 As we have recited, lot 18 was first conveyed with only lots 15, 16,
and 17 in 1885 by a bank to an individual grantee.

                                        6
property” as there was no local ordinance regulating divisions resulting in
fewer than five parcels during that period of time.
      Following this general discussion, appellant turned to the issue of
merger. It supplied a copy of the 1933 judgment showing it was issued in
connection with a quiet title claim following a bench trial. Appellant
maintained the judgment preserved the “status quo by granting lots 17 and
18 as distinct lots, along with ‘portions of’ lots 15 and 16. . . . The judgment
stated the description in its then-current form, using [both] a metes and
bounds description, and a lot and block description.” It did “not include any
language about merger.”
      The city opposed the writ petition—but not on the ground lot 18 had
been lost through merger. Rather, the city changed course and now asserted
lot 18 “was never lawfully created” because it was depicted on an “antiquated
subdivision map” and had not been conveyed as a “separate” lot, citing
Gardner, which it maintained was “dispositive.”
      In reply, appellant emphasized it was not relying on either the filing or
recording of the Map, in and of itself, as having created the lot. Rather, it
was relying on the conveyances that transferred only lots 15, 16, 17 and 18
through at least 1933—all of which, according to appellant, resulted in lot 18
being presumptively legal for Subdivision Map Act purposes pursuant to
section 66412.6, subdivision (a). The fact the lot was not individually
conveyed, but was conveyed in conjunction with three other lots, was,
according to appellant, immaterial. These deeds separately identified the
four lots, and thus, according to appellant, effectuated a division of the
property. Appellant asserted Gardner was not only factually distinguishable,
but the Supreme Court expressly stated it was not considering section
66412.6, subdivision (a).

                                        7
      After hearing argument by the parties, the trial court denied the writ
petition in a judgment stating only that “the arguments raised [by the city]
are dispositive, and that controlling legal authority prohibits [the city] from
issuing a certificate of compliance for Lot 18.”
                                     DISCUSSION
      Given the parties’ articulated positions, the issue before us boils down
to the following—since lot 18 was conveyed in conjunction with three or fewer
other lots prior to the enactment of any local ordinance governing such
subdivisions, is the lot presumptively legal for purposes of the Subdivision
Map Act pursuant to section 66412.6, subdivision (a).13 In other words, we
are not concerned with whether the filing and recording of the Map, itself,
created legal parcels for purposes of the Subdivision Map Act, as appellant
has acknowledged it did not. Nor are we concerned with whether lot 18 was
ever “merged” into the adjoining lots, as the city has never made any effort,
in either the trial court or on appeal, to justify its denial of a certificate of
compliance on that basis.14
The Statutory Language
      Section 66412.6, subdivision (a) provides:
      “For purposes of this division or of a local ordinance enacted pursuant
      thereto, any parcel created prior to March 4, 1972, shall be conclusively
      presumed to have been lawfully created if the parcel resulted from a

      13 The parties agree this is a legal question and our standard of review
is de novo.
      14  The city has thus doubly forfeited any such contention. (See
Schmidt v. Bank of America, N.A. (2014) 223 Cal.App.4th 1489, 1509 [by
failing to provide analysis or authority in support of alternative ground to
affirm, respondent “waived” the point]; Jones v. Superior Court (1994)
26 Cal.App.4th 92, 99 [“Issues do not have a life of their own: if they are not
raised or supported by [substantive] argument or citation to authority, we
consider the issues waived [or forfeited].”].)

                                          8
      division of land in which fewer than five parcels were created and if at
      the time of the creation of the parcel, there was no local ordinance in
      effect which regulated divisions of land creating fewer than five
      parcels.”15

      This section was added to the Subdivision Map Act in 1980 by way of
Assembly Bill No. 978 (1979–1980 Reg. Sess.). (Stats. 1980, ch. 403, § 1.)
The legislation “create[d] a conclusive presumption” that a parcel was
“lawfully created if such parcel resulted from a division of land into fewer
than [five] parcels prior to March 4, 1972, and if at such time there was no
local ordinance in effect which regulated divisions of land creating fewer than
five parcels.” (Sen. Dem. Caucus Report, Assem. Bill No. 978 (1979–1980
Reg. Sess.) as amended May 22, 1980, p. 1.)16
      The Assembly Floor Vote Analysis explained, “Prior to the enactment
[in 1972] of provisions dealing with parcel maps (subdivisions of less than
five parcels), it was possible to legally divide land without going through the
Subdivision Map Act. . . . [While] parcel maps were not required [by the Act],
. . . local ordinance could provide for such a requirement. Confusion has
arisen over the legality of parcels created prior to March 4, 1972, where there
was no local ordinance.” (Positions of Assem. Floor Vote Analysis, Assem.
Bill No. 978 (1979–1980 Reg. Sess.) as amended May 22, 1980, p. 2.)

      15 Subdivision (b) provides a similar presumption for bona fide
purchases, stating in pertinent part: “For purposes of this division or of a
local ordinance enacted pursuant thereto, any parcel created prior to March
4, 1972, shall be conclusively presumed to have been lawfully created if any
subsequent purchaser acquired that parcel for valuable consideration without
actual or constructive knowledge of a violation of this division or the local
ordinance.” (§ 66412.6, subd. (b).)
      16 We take judicial notice of the legislative history on our own motion.
(Evid. Code, §§ 452, subds. (a), (c), 459.)

                                       9
      The Enrolled Bill Report prepared by the Department of Real Estate
similarly stated, “Current law requires that local government under certain
circumstances deny a development permit for any property illegally
subdivided. This bill would establish a conclusive presumption that any
parcel created prior to March 4, 1972, is legal if: (1) the parcel resulted from a
subdivision of fewer than five parcels; and (2) if, at the time of the creation of
the parcel, there was no local ordinance regulating divisions of land creating
fewer than five parcels.” (Enrolled Bill Report, Dept. of Real Estate, Assem.
Bill No. 978 (1979–1980 Reg. Sess.) p. 1.) In short, the bill would “limit the
power of local government to deny development permits . . . for parcels
created by an illegal subdivision prior to March 4, 1972.” (Id. at p. 2.)
      In 1988, section 66412.6 was amended to address a problem that had
arisen in Southern California, where subdivisions of fewer than five parcels
had been approved prior to March 4, 1972, pursuant to local ordinance, but
were being developed after that date. (Sen. Housing & Urban Affairs Com.
Report., Sen. Bill No. 1857 (1987–1988 Reg. Sess.) as amended May 2, 1988,
pp. 2–3.) Because section 66412.6, at the time, referred only to the situation
where “there was no local ordinance” in effect, some local planning officials
were taking the position that the statutory presumption of legality did not
apply where there was a local ordinance in effect. Thus, subdivisions of fewer
than five parcels that had previously been approved pursuant to local
ordinance were, after March 4, 1972, being issued only conditional
certificates of compliance that imposed new regulatory requirements. (Sen.
Rules Com., Off. of Sen. Floor Analyses, Sen. Bill No. 1857 (1987–1988 Reg.
Sess.) as amended May 9, 1988, p. 2.)
      The amendment provided that parcels created prior to March 4, 1972,
pursuant to local ordinance were also presumed to be lawfully created. (Sen.

                                        10
Rules Com., Off. of Sen. Floor Analyses, Sen. Bill No. 1857 (1987–1988 Reg.
Sess.) as amended Aug. 10. 1988, p. 1 [“[t]his bill establishes a presumption
that property is legally subdivided if it meets local ordinances existing at that
time”].) Furthermore, this new presumption—based on compliance with a
local ordinance—applied regardless of the size of the subdivision. (Id. at p. 3
[“This measure expands the existing presumption of a lawful division of land
from 4 parcels to any number of parcels created prior to March 4, 1972 in
compliance with a local ordinance.”]; Enrolled Bill Report, Off. of Local
Government Affairs, Sen. Bill No. 1857 (1987–1988 Reg. Sess.) as amended
Aug. 10, 1985, p. 3 [expansion to any number of parcels accommodated Los
Angeles planning officials’ desire “to avoid [having to make] a determination
as to whether lots created by a [local approval] were created from a division
of five or fewer parcels”].)
      The 1988 amendment also included a sunset provision. Accordingly,
the Legislature revisited section 66412.6 during the 1993 session. (Sen. Bill
No. 121 (1993–1994 Reg. Sess.) as introduced Jan. 25, 1993, pp. 1–2.) The
upshot was that the expanded presumption of validity for all pre-1972 parcels
created in compliance with local ordinances was allowed to expire and the
presumption pertaining to “fewer than five” parcels returned, as of 1995, to
its original form and as it currently exists.
      It is undisputed that in 1885 when lot 18 was first conveyed as one of
four separately identified lots there was no law—state or local—regulating
divisions of land creating fewer than five parcels. It is also undisputed there
was no such law in 1887, 1913, 1932 and 1933, when lot 18 continued to be
conveyed in conjunction with all or some of lots 15, 16 and 17. Although the
earliest version of the Subdivision Map Act was enacted in 1893, it did not,
during any of these time periods, apply to subdivisions resulting in “fewer

                                        11
than five” parcels. (See generally van’t Rood v. County of Santa Clara (2003)
113 Cal.App.4th 549, 563, 565–566.) The earliest local regulation that
arguably applied to such subdivisions was adopted in 1939.17
The Relevant Case Law
      The parties have cited, and we are aware of, only two cases that have
discussed the “fewer than five” presumption of legality set forth in section
66412.6, subdivision (a) in any remotely similar context.
      The first is Lakeview Meadows Ranch v. County of Santa Clara (1994)
27 Cal.App.4th 593 (Lakeview). The plaintiff in that case acquired title “to
thousands of acres of ranchland.” (Id. at p. 596.) The case concerned three
parcels included within the acreage but not “separately described” in the
deed. (Ibid.) One of the parcels had been created in 1882 by a deed from one
individual to another. Another was originally part of a patent to Southern
Pacific Railroad and created in 1892 when Southern Pacific deeded it to an
individual. (Ibid.) The third was created in 1891 by a federal patent to
Southern Pacific that described the parcel by reference to a federal survey
map. (Ibid.) The federal patent conveyed not only this third parcel, but
numerous other, noncontiguous, parcels. (Id. at p. 597.) The plaintiff applied

      17  Because the pre-1972 versions of the Map Act defined “subdivision”
to exclude subdivisions of “fewer than five” parcels within a given assessment
period, this gave rise to a practice referred to as “quartering.” A parcel would
be subdivided into four parcels, and these four parcels would, in turn, each be
divided into four more parcels prior to the preparation of the next assessor’s
map. Even after the Act was expanded to require parcel maps for
subdivisions of “fewer than five” parcels, some subdividers attempted to
evade the Act’s more rigorous tentative and final mapping requirements by
“quartering.” The courts quickly prohibited such efforts to avoid the Act’s
mapping requirements. (See, e.g., People v. Byers (1979) 90 Cal.App.3d 140,
146, fn. 1.) This practice—“quartering” within a single assessment cycle—is
not at issue here.

                                      12
for, but was denied, certificates of compliance for the three lots. (Id. at
p. 596.)
      The county did not dispute that the first two parcels were “created
prior to the 1893 enactment of regulations governing the subdivision of land”
(i.e., prior to the first iteration of the Subdivision Map Act). (Lakeview,
supra, 27 Cal.App.4th at pp. 596, 599 & fn. 2.) But it did dispute that the
third parcel was “created” prior to that time. Accordingly, the Court of
Appeal turned first to that issue and held the third parcel had been “ ‘created’
when it was separated from the other units of land with which it was
contiguous by the 1891 federal patent which conveyed title to [the] parcel” to
the railroad. (Id. at pp. 597–598.) The court expressly distinguished between
federal land patents, which are conveyances, and federal “[s]urvey [m]aps,”
which are not. (Ibid.) “Because the federal patent which conveyed [the]
parcel to [the railroad] did not convey the contiguous parcels . . . , this
conveyance was a ‘subdivision’ of land which ‘created’ [the] parcel . . . as a
separate lot.” (Id. at p. 598.)
      The court next held the plaintiff was entitled to certificates of
compliance, rejecting the county’s assertion the plaintiff was required to
comply with parcel map requirements. (Lakeview, supra, 27 Cal.App.4th at
pp. 598–599.) In this regard, the court discussed two sections of the Act.
      The first was section 66499.30, the “ ‘compliance’ ” provision, which
“ ‘prohibits the sale, lease or financing’ ” of parcels unless the requirements of
the Act are met for such parcels. (Lakeview, supra, 27 Cal.App.4th at p. 598;
§ 66499.30, subd. (a).) The statute does not apply, however “ ‘to any parcel or
parcels of a subdivision . . . sold . . . in compliance with or exempt from any
law (including a local ordinance), regulating the design and improvement of
subdivisions in effect at the time the subdivision was established.’ ”

                                        13
(Lakeview, at p. 598, italics added; § 66499.30, subd. (d).)18 Rejecting the
county’s assertion that subdivision (d) did not apply to the parcels at issue
because prior to 1893 there “were no laws regulating the creation of
subdivisions” from which to be exempt, the court went on to imply, but did
not squarely hold, that section 66499.30, subdivision (d) excused the plaintiff
from complying with parcel map requirements.19 (Lakeview, at pp. 598–599.)
      The court next discussed the statute that concerns us, section 66412.6,
which at the time in question extended the presumption of legality to any
parcel “ ‘if at the time of the creation of the parcel there was compliance with
any local ordinance or there was no local ordinance in effect which regulated
divisions of land creating fewer than five parcels.’ ” (Lakeview, supra,
27 Cal.App.4th at p. 599, italics added.) The court held the fewer-than-five
presumption of legality applied to the lots at issue. “As the three parcels
herein at issue were created prior to the 1893 enactment of any laws
regulating the creation of subdivisions, the conclusive presumption of
Government Code section 66412.6, subdivision (a) applies, and we must
presume that these three parcels were ‘lawfully created.’ ” (Ibid.)
      The court went on to address the county’s claim that the three parcels
had, in any case, “ ‘merged’ ” with “contiguous land by reason of common
ownership sometime prior to [the] plaintiff’s acquisition of title.” (Lakeview,

      18 Subdivision (d) of section 66499.30 is sometimes referred to as the
“grandfather” provision of the Act. (See, e.g., Witt, supra, 165 Cal.App.4th at
p. 548.) However, to avoid any confusion between this section and section
66412.6, we refer to section 66499.30, as did Lakeview, as the compliance
provision.
      19 As we discuss, infra, Lakeview’s interpretation of section 66499.30,
subdivision (d) was subsequently called into question in Gardner, supra,
29 Cal.4th at pp. 1000–1001, and in light of Gardner, rejected in Witt, supra,
165 Cal.App.4th at page 543.

                                       14
supra, 27 Cal.App.4th at pp. 599–600.) With respect to this point, the court
cited to section 66451.10 which then provided, “ ‘[T]wo or more contiguous
parcels or units of land which have been created under the provisions of this
division, or any prior law regulating the division of land, or a local ordinance
enacted pursuant thereto, or which were not subject to those provisions at the
time of their creation, shall not be deemed merged by virtue of the fact that
the contiguous parcels or units are held by the same owner. . . .’ ” (Lakeview,
at p. 600, italics added, quoting § 66451.10.) “ ‘If, when the parcels were
created, no land-division provisions were in existence, the parcels necessarily
“were not subject to those provisions at the time of their creation.” ’ ”
(Lakeview, at p. 600, quoting Morehart v. County of Santa Barbara (1994)
7 Cal.4th 725, 761 (Morehart).20) Since the “[p]laintiff’s three parcels were
created prior to the enactment of any land-division regulations,” under
“section 66451.10, common ownership of these parcels and contiguous land

      20  In Morehart, our Supreme Court held, among other things, that
certain merger provisions did not apply to parcels which the county conceded
were created pursuant to an antiquated subdivision map. (Morehart, supra,
7 Cal.4th at pp. 760–761.) Specifically, these provisions specified, in
pertinent part, that common ownership of parcels did not automatically
result in a merger thereof if the parcels were “ ‘created under the provisions
of [the Act], or any prior law regulating the division of land, or a local
ordinance enacted pursuant thereto, or . . . were not subject to those
provisions at the time of their creation. . . .’ ” (Id. at p. 761.) The county read
the phrase “ ‘not subject to those provisions at the time of their creation,’ to
mean ‘exempted from land-division provisions that were in existence at the
time of the parcels’ creation.’ ” (Ibid.) The high court “disagreed with that
strained interpretation” and held that “[i]f, when the parcels were created, no
land-division provisions were in existence, the parcels necessarily ‘were not
subject to those provisions at the time of their creation.’ ” (Ibid.) Thus, the
anti-merger provisions applied “to parcels created before the effective date of
any applicable law regulating the division of land,” including parcels created
by an antiquated subdivision map or by conveyance of a lot depicted thereon.
(Id. at p. 762.)

                                        15
did not result in merger,” and there “was no evidence of any such statement
in any prior deed in the chain of title to these parcels.” (Lakeview, at p. 600.)
      Thus, as pertinent to this case, Lakeview construed the pivotal
language of the fewer-than-five presumption of legality set forth in section
66412.6, subdivision (a)—“no local ordinance in effect which regulated
divisions of land creating fewer than five parcels” (italics added)—as
embracing any time period prior to 1972 when there was “no” local regulatory
provision in place, including any period prior to the initial enactment of the
Subdivision Map Act in 1893. (Lakeview, supra, 27 Cal.App.4th at p. 599.)
As we have noted, this construction is consistent with the Supreme Court’s
decision in Morehart construing similar language in the Act’s then applicable
merger provision. Lakeview also acknowledged, in a rather backhanded way,
that multiple, legally created lots can be conveyed in a single deed. (Id. at
pp. 596, 600.)
      Factually, however, Lakeview involved the converse of the scenario we
are considering. In Lakeview, the three parcels at issue were separately
created, thereafter aggregated with other properties, and then subsequently
conveyed in a single deed. Here, lot 18 was conveyed several times with more
than three other lots before it was conveyed in conjunction with only three
other lots.
      The second case discussing section 66412.6, subdivision (a) in an
arguably similar context is Fishback v. County of Ventura (2005)
133 Cal.App.4th 896 (Fishback). In that case, the owner of a 140-acre parcel
recorded, in 1940, a survey depicting 15 lots on the southern part of the
acreage. (Id. at pp. 899–900.) The owner conveyed 10 of those lots, leaving it
with “four” remaining parcels (what those “four” parcels encompassed is
unclear from the opinion). (Id. at p. 900.) Several years later, the owner of

                                       16
the remainder of the parent property conveyed some portion thereof to a
grantee, who promptly divided the property he acquired into four lots. (Ibid.)
The owner of the larger acreage subsequently conveyed two more lots from
the remaining property. (Ibid.) Eventually, most of the initially conveyed 10
lots, the four lots created by the grantee, and the two later conveyed lots from
the remainder of the parent property, ended up in a single ownership. The
holder of an option on that consolidated ownership sought 12 certificates of
compliance, two of which were issued. (Ibid.) At all relevant times, the
Subdivision Map Act’s mapping requirements applied to subdivisions of land
into “five or more parcels within any one-year period.” (Id. at p. 902.)
      On appeal, the option holder claimed the first four lots conveyed
following the survey were legally created by “ ‘quartering.’ ” (Fishback,
supra, 133 Cal.App.4th at pp. 901–902.) The Court of Appeal rejected this
theory, concluding the “10 conveyances broke up the parent parcel so as to
create 14 parcels.” (Id. at p. 902.) The subdivision had therefore resulted in
“ ‘five or more parcels within any one year period,’ ” triggering the Act’s
mapping requirements. (Ibid.)
      The holder alternatively argued that, at the very least, the four parcels
the grantee had created from the parcel he purchased were legal under the
fewer-than-five presumption of legality set forth in section 66412.6,
subdivision (a). (Fishback, supra, 133 Cal.App.4th at p. 904.) The court also
rejected this theory, stating the statute “simply clarifies that parcels legally
created without a parcel map are legal even after the parcel map requirement
was added to the [Subdivision Map Act]. The statute does not legalize
illegally created parcels.” (Ibid.) “Here,” said the court, “the four . . . parcels
[created by the grantee] resulted from the parent parcel’s division into 14
parcels,” which brought the original subdivision within the ambit of the

                                        17
Subdivision Map Act, but with which there had been no compliance. (Id. at
pp. 905–906.) The court distinguished Lakeview on the ground the three
parcels at issue in that case had been created prior to enactment of the Act
and none “resulted from an illegal division of land.” (Ibid.)
      Thus, Fishback did not question Lakeview’s reading of section 66412.6,
subdivision (a)—i.e., that its presumption of legality can apply to any lot
created prior to 1972, including a lot created prior to the original enactment
of the Subdivision Map Act or any local subdivision ordinance. Rather,
Fishback held the presumption will not apply where the parcel from which
fewer than five parcels are created was, itself, not lawfully created, as was
the case in Fishback since the Subdivision Map Act’s mapping requirements
were then in effect but there had been no compliance therewith.
      At this point, we turn to Gardner, supra, 29 Cal.4th 990, which
appellant asserts did not consider the fewer-than-five presumption of legality
set forth in section 66412.6, subdivision (a), but which the city continues to
claim is dispositive.
      The plaintiffs in Gardner owned approximately 158 acres of what had
once been a 1,000-plus acre holding, for which an ostensible subdivision map
depicting nearly 90 lots had been recorded in 1865. (Gardner, supra,
29 Cal.4th at p. 994.) Over the years, parts of the holding were conveyed to
various parties. In 1903, 352 acres was transferred to a grantee. In 1990,
the plaintiffs acquired 158 acres of that acreage. (Id. at p. 995.) The 158
acres included two of the lots depicted on the 1865 map and fragments of 10
of the other lots. The plaintiffs eventually applied for, and were denied, 12
certificates of compliance. (Id. at pp. 995–996.) The issue before the
Supreme Court was whether the antiquated subdivision map (i.e., a
subdivision map recorded prior to 1893), in and of itself, created “legally

                                       18
cognizable subdivisions” of the land for purposes of the Subdivision Map Act.
(Id. at p. 994.) The court held it did not. (Ibid.)
      Among other provisions of the Act, the high court considered whether
section 66499.30, the “compliance” provision, and specifically subdivision
(d)—which, as we have recited, states the statute’s prohibitions do not apply
to any subdivision “ ‘in compliance with or exempt from any law (including a
local ordinance), regulating the design and improvement of subdivisions in
effect at the time the subdivision was established’ ”—applied, thereby
excusing the plaintiffs from complying with the Act’s map requirements.
(Gardner, supra, 29 Cal.4th at pp. 999–1000.) There were no state or local
regulations governing subdivisions in 1865, and the plaintiffs cited to
Lakeview in support of their assertion that the exception set forth in section
66499.30, subdivision (d) applied. Observing that Lakeview had concluded
that the “exempt from” language of section 66499.30 (the compliance
provision) and the “not subject to” language of section 66451.10 (the anti-
merger provision) have “essentially the same meaning,” the court did not
decide the issue.21 (Gardner, at p. 1000.)
      Instead, even assuming the differing language of the two statutes had
the same meaning, the high court held the recording of the 1865 map, in and
of itself, did not “lawfully ‘establish[]’ ” the subdivision for purposes of section
66499.30, subdivision (d). (Gardner, supra, 29 Cal.4th at p. 1000, italics
added.) That was because the common law at the time the map was recorded
provided that a lot depicted on map not recorded pursuant to any statute,

      21 As we have discussed, the Lakeview court also viewed the “no local
ordinance in effect” language of section 66412.6, subdivision (a) (the fewer-
than-five presumption of legality) as akin to the “not subject to” language of
section 66451.10 (the anti-merger provision) the high court had construed in
Morehart. (Lakeview, supra, 27 Cal.App.4th at p. 599.)

                                        19
ordinance, or regulation, “generally enjoyed no independent legal status until
the owner actually conveyed the lot separately from the surrounding lands
through a deed or patent.” (Id. at p. 1001.) In short, “the recordation of a
subdivision map [in the county in question] in 1865, without something more
(such as a conveyance), could not and did not work a legal subdivision of the
property.” (Id. at p. 1002, italics added.) Because the property at issue had
“remained intact under sequential owners throughout its history,” the
plaintiffs could not “fit their case within the decisions recognizing the
establishment of subdivisions by conveyance.” (Id. at p. 1003.)
      The one comment the high court made about section 66412.6 appeared
in a footnote observing that the plaintiffs had made a “passing reference” to
the statute but failed to offer any analysis or argument supporting its
application. Accordingly, the court refrained from addressing the provision
as not being properly raised. (Gardner, supra, 29 Cal.4th at p. 999, fn. 6.)
      The Supreme Court’s holding in Gardner, thus, has two prongs: (1) the
exception set forth in the compliance section of the Act (§ 66499.30, subd. (d))
applies, at a minimum, only to a subdivision that was legally created at the
time; and (2) under the common law prior to the enactment of the Subdivision
Map Act, the recording of a subdivision map did not, in and of itself, legally
subdivide property “without something more (such as a conveyance).”
(Gardner, supra, 29 Cal.4th at p. 1002.)
      Thus, Gardner is not on all fours. First, the facts of Gardner are
significantly different. Here, unlike in Gardner, many of the lots depicted on
the Map of San Antonio, including lot 18, were conveyed to grantees, and
many of those lots, as well as the infrastructure depicted on the map, were
developed. Indeed, a significant part of the City of Oakland has been
developed pursuant to the lot designations and improvements shown on that

                                       20
map. Second, the high court did not consider section 66412.6. To the
contrary it concluded any argument based on that statute had been waived.
Analysis
      Appellant acknowledges that, under Gardner, lot 18 was not legally
created merely by virtue of the 1854 filing, or the 1869 recording, of the Map
of San Antonio. Rather, appellant maintains that because lot 18 was
conveyed from the original holding, and specifically was conveyed with only
lots 15, 16, and 17 before any local ordinance applied, the fewer-than-five
presumption of legality set forth in section 66412.6, subdivision (a) applies for
purposes of compliance with the Subdivision Map Act.
      In support of this assertion, appellant relies on two propositions.
      The first is that a single deed can convey multiple parcels. (See
Lakeview, supra, 27 Cal.App.4th at p. 596 [three legally created lots were not
merged when acquired by a single landowner and were “part of” the property
as it was subsequently conveyed]; see generally 3 Miller & Starr, Cal. Real
Estate (4th ed.) § 8:76 [“It is common for a parcel or parcels of land to be
conveyed by a single instrument, and for the legal description of the property
conveyed to be made up of a series of separate descriptions.”].) And, indeed,
very early cases reflect that this was a recognized practice at the time in
question. (See, e.g., City of Yuba City v. Consolidated Mausoleum Syndicate
(1929) 207 Cal. 587, 588–589 (Yuba City) [1893 deed conveyed “ ‘Lots 4, 5, 6,
7, and 8, according to a Map entitled “Plot of the South half of Lot Eight in
the Teegarden Addition to Yuba City” filed for record November 23rd, 1892,
in the office of the recorder of said Sutter County, in Book One of Maps, page
7’ ”]; Martin v. Holm (1925) 197 Cal. 733, 738, 740–741, 748 (Martin)22 [1904

      22Disapproved on another ground in Citizens for Covenant Compliance
v. Anderson (1995) 12 Cal.4th 345, 360, 366.

                                       21
deed conveyed “lots 16 and 17 of the tract” that had been subdivided into 53
lots; after many of the tract lots were conveyed to various grantees, a 1910
deed from the original subdivider to his wife conveyed “lots 9, 10, and 11 of
the Western Heights tract”]; McCullough v. Olds (1895) 108 Cal. 529, 530–
532 (McCullough) [1858 deed granted “ ‘lots number three (3) and four (4)’ ”
depicted by “lines dividing” survey made by a surveyor based on the “official
map of San Diego”].)
      The second is that a deed can sufficiently describe the property
conveyed by referencing the map (including an antiquated map) that depicts
it and that a metes and bounds description is not required. (McCullough,
supra, 108 Cal. at p. 532 [“it is a familiar rule that when a tract of land has
been subdivided into blocks or lots, and a map thereof made on which the
blocks or lots are designated by numbers, a description of the blocks or lots in
a deed by the numbers so designated is sufficient, provided the map can be
produced and identified”]; see generally 3 Miller & Starr, Cal. Real Estate
(4th ed.) § 8:64 [“if the deed references the map and is sufficiently precise in
describing the portion of the property in the map or survey that is conveyed,
the description is adequate and the deed is valid, whether or not the map is
recorded”].) Again, this practice is reflected in very early cases. (E.g., Yuba
City, supra, 207 Cal. at pp. 588–589; Martin, supra, 197 Cal. at pp. 741–742;
McCullough, supra, 108 Cal. at pp. 530–531.)
      Given the propositions on which appellant relies, we asked the parties
to submit supplemental briefing on whether it could be said that lot 18 was
created prior to 1885, i.e., when it was conveyed several times in conjunction
with lots 10 through 17.23 Appellant candidly acknowledged this would be so.

      23As we have recited, many other separately identified lots depicted on
the San Antonio Map were also conveyed by way of these early conveyances.

                                       22
But it pointed out it is not relying on those early conveyances because, as it
also candidly acknowledged, those conveyances were not of fewer-than-five
lots and thus section 66412.6, subdivision (a)’s presumption of legality for
Subdivision Map Act purposes would not apply. Appellant maintained,
however, that the fact the earliest conveyances do not come within the Map
Act presumption is immaterial since each conveyance was lawful at the time
and the subsequent conveyances of only lots 15, 16, 17 and 18 squarely come
within the presumption.
      The city reiterated its view that Gardner controls and because lot 18
was never separately conveyed as a single lot, it was never “lawfully
‘established’ ” as a subdivided lot (Gardner, supra, 29 Cal.4th at p. 1000) and
therefore the fewer-than-five presumption set forth in section 66412.6,
subdivision (a) cannot apply. Given the city’s argument, we asked counsel at
oral argument whether it is the city’s position the only conveyance that can
ever effectuate a lawful subdivision under Gardner is a conveyance of only a
single lot. Counsel declined to concede the point, stating there might be some
set of extraordinary circumstances where a single conveyance could, under
Gardner, lawfully create more than one lot. However, counsel acknowledged
that in the case at hand it is the city’s view that lot 18 had to be “separately”
and individually conveyed to “work a legal subdivision of the property.” (Id.
at p. 1002, italics added.) Indeed, the city’s respondent’s brief is replete with
assertions that “Gardner requires lots shown on a pre-1893 map to be
separately conveyed.” It likewise asserted in its supplemental letter brief
that the “holding in Gardner is directly on point” and no lot depicted on an
antiquated map can be “formally ‘created’ unless it is conveyed separately
from the surrounding lands.”

                                       23
      On close examination of Gardner, we conclude the city has read the
case to impose a single-lot-only constraint on conveyances that the high court
did not, in fact, impose. As we have recited, the facts of Gardner are
markedly different from those here, and the court was not called on to
consider, nor did it consider, the question of conveyances of multiple,
separately identified lots, let alone in a context where many of the lots and
the infrastructure depicted on the subdivision map were developed. The city
has also overlooked the high court’s recitation of the findings by the local
board of supervisors that provided the factual predicate for the court’s
decision. The local board of supervisors found: “(1) plaintiffs’ property had
been ‘repeatedly and consistently conveyed as a single unit of land’ since 1865
and ‘generally described in metes and bounds since 1903’; and (2) none of
plaintiffs’ 12 purported lots had ever been separately conveyed or separately
described in a grant deed.” (Gardner, supra, 29 Cal.4th at p. 996, italics
added.)
      Here, appellant’s lots were “separately described” in every conveyance of
fewer than five lots. And, as we have discussed, this was wholly consistent
with the law then, and now, that multiple, separately described lots can be
transferred by way of a single conveyance, such as a grant deed. (E.g., Yuba
City, supra, 207 Cal. at p. 588 [1893 deed conveyed multiple, separately
identified lots]; Martin, supra, 197 Cal. at pp. 738, 740–741, 748 [1904 and
1910 deeds conveyed multiple, separately identified lots]; McCullough, supra,
108 Cal. at pp. 530–532 [1858 deed conveyed multiple, separately identified
lots].) Indeed, in not one of these early cases did the Supreme Court remotely
suggest the properties in question had not been legally subdivided because

                                       24
the separately identified lots, as depicted on a subdivision map, had been
conveyed in a single deed.24
      Accordingly, the city’s insistence that Gardner is dispositive does not
hold sway.
      We also conclude the fact lot 18 was initially conveyed with eight other
lots does not preclude the fewer-than-five presumption from applying upon
its being conveyed with only lots 15, 16, and 17. The parties agree that prior
to 1939 there were no state or local regulatory controls applicable to
subdivisions resulting in fewer than five lots. Thus, in this regard, to quote
Witt, “[l]andowners were free to subdivide and sell their real property as they
saw fit.” (Witt, supra, 165 Cal.App.4th at p. 552.)
      The ability of owners to use their property as they wanted, including
dividing their property into smaller lots, is also reflected by cases decided
during that early time period. As a general matter these cases established
that the grantees of lots depicted on a subdivision map could be restricted in
their use and transfer of the property only in limited circumstances, e.g.,
where the deeds transferring all, or nearly all, of the lots shown on the map
contained restrictions for the benefit of the other grantees. (See, e.g.,
McBride v. Freeman (1923) 191 Cal. 152, 153–154, 158–160 [although deeds
conveying “a large number of lots” depicted on subdivision map contained use
restrictions, these restrictions could not, under the rule of Werner v. Graham,
be enforced by and against subsequent grantees]; Werner v. Graham (1919)
181 Cal. 174, 177, 181, 184–185 [although 1905 deeds conveying 116 of 132
lots shown on tract map restricted uses, deed conveying another one of the

      24  These cases also refute the city’s assertion in its supplemental brief
that lot 18 was never “ ‘separately describe[d],’ ” because it “always appears
as part of a reference to a group of lots on the 1854 Map.”

                                       25
lots did not and grantee’s use of that property was not restricted];
Farquharson v. Scoble (1918) 38 Cal.App. 680, 682 [rejecting claim that
where “the owner of a tract of land has laid it out and offered it for sale under
general plan, he has no right to change or modify such plan, either by
subdivision of the tract into smaller lots than originally laid out, or by
releasing the unsold portion from restrictive covenants imposed on the sold
portion”].)
      Accordingly, that commencing in 1885 grantors chose to convey the
property as four separately identified lots, rather than, for example, a single
lot described by a general metes and bounds description, had, at the time,
legal significance.
      Moreover, no case, early or recent, holds the fewer-than-five
presumption of legality set forth in section 66412.6, subdivision (a) cannot
apply in the particular circumstances presented by this case. While
Fishback, on first reading, may appear to bear some similarity to the case at
hand, in fact, its differences are significant. As we have discussed, in that
case a 1940 survey purportedly subdivided the parent property into a number
of parcels, 10 of which were conveyed, breaking “up the parent parcel so as to
create 14 parcels, including four parcels left in possession of” the original
owner. (Fishback, supra, 133 Cal.App.4th at p. 902.) Thus, the court stated
the question before it as follows: “What is a legal subdivision according to the
Subdivision Map Act (SMA) as it existed in the 1930’s and 1940’s.” (Id. at
p. 899.) That, of course, is not remotely the question before us. As the court
went on to explain, in 1940 the Subdivision Map Act’s mapping requirements
applied to subdivisions of five or more parcels and therefore applied to the
subdivision of the parent parcel into 14 parcels. (Id. at p. 902.) Since the
owner had not complied with the Act, the parcels were illegal. (Ibid.) The

                                       26
court went on to hold that these illegal parcels could not, in turn, be
subdivided into fewer than five parcels and thereby yield presumptively legal
parcels under section 66412.6. (Fishback, at pp. 904–905.)
      Here, in contrast, lot 18 does not have its genesis in an illegal
subdivision. The city insists to the contrary, citing to Gardner. But, as we
have discussed, Gardner does not impose the one-lot-only constraint on
conveying subdivided property the city claims it does. Not only did the high
court address a different set of facts, but such a reading of Gardner is at odds
with the board findings underpinning the court’s analysis. It also cannot be
squared with decisions of the high court during the time period relevant here
that, unlike Gardner, did involve deeds conveying multiple, separately
identified lots depicted on a subdivision map and do not remotely suggest the
lots were not “legally” created.
      The city also maintains that applying the fewer-than-five presumption
of legality set forth in section 66412.6, subdivision (a) to the circumstances
here would “render this provision in direct conflict with” the exception to the
compliance provision set forth in section 66499.30, subdivision (d). This
assertion is answered by Fishback and Lakeview—both of which separately
discussed the two sections without any intimation that, despite their differing
language, the two provisions must be read in lockstep, i.e., as essentially
redundant, to avoid a purported conflict.25 (Fishback, supra, 133 Cal.App.4th

      25  We note, for example, that the compliance provisions of section
66499.30 “do not apply to any parcel or parcels of a subdivision offered for
sale or lease, contracted for sale or lease, or sold or leased in compliance with
or exempt from any law (including a local ordinance), regulating the design
and improvement of subdivisions in effect at the time the subdivision was
established.” (§ 66499.30, subdivision (d), italics added.) The fewer-than-
five-presumption is much more limited in scope and states, “any parcel
created prior to March 4, 1972, shall be conclusively presumed to have been

                                       27
at pp. 901–902 [discussing section 66499.30, subdivision (d)], id. at pp. 904–
905 [discussing section 66412.6, subdivision (a)]; Lakeview, supra,
27 Cal.App.4th at p. 598 [discussing section 66499.30, subdivision (d)], id. at
p. 599 [discussing section 66412.6, subdivision (a)].) In short, we discern no
“conflict” in our conclusion that lot 18 is presumptively lawful under section
66412.6, subdivision (a) and the exception to the compliance provision set
forth in section 66499.30, subdivision (d).
                                DISPOSITION
      The judgment is REVERSED with directions to grant the petition for
writ of mandate and issue an appropriate writ requiring the city to issue a
certificate of compliance for lot 18. Appellant to recover costs on appeal.

lawfully created if the parcel resulted in a division of land in which fewer
than five parcels were created and[,] if at the time of the creation of the
parcel, there was no local ordinance in effect which regulated divisions of
land creating fewer than five parcels.” (§ 66412.6, subdivision (a), italics
added.)

                                       28
                                           _________________________
                                           Banke, J.

We concur:

_________________________
Margulies, Acting P.J.

_________________________
Swope, J.*

**Judge of the San Mateo County Superior Court, assigned by the Chief
Justice pursuant to article VI, section 6 of the California Constitution.

A162465, Crescent Trust v. City of Oakland

                                      29
Filed 4/20/23
                        CERTIFIED FOR PUBLICATION

       IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                           FIRST APPELLATE DISTRICT

                                    DIVISION ONE

 CRESCENT TRUST,                               A162465
         Plaintiff and Appellant,
                                               (Alameda County
 v.                                            Super. Ct. No.
 CITY OF OAKLAND,                            RG20068131)
         Defendant and Respondent.
                                               ORDER
                                               CERTIFYING
                                               OPINION FOR
                                               PUBLICATION

                                               [NO CHANGE IN
                                               JUDGMENT]

THE COURT:
       The opinion in the above-entitled matter, filed on March 23, 2023, was
not certified for publication in the Official Reports. After the court’s review of
a request under California Rules of Court, rule 8.1120, and good cause
established under rule 8.1105, it is hereby ordered that the opinion should be
published in the Official Reports.

Dated:                                        _______________________________
                                              Acting P. J.

                                         1
Trial Court: Alameda County Superior Court

Trial Judge:     Hon. Paul Herbert

Counsel:

Chandler & Shechet, LLP, Nathan Aaron Shechet and Anne Leigh Chandler
for Plaintiff and Appellant.

Jarvis, Fay & Gibson, LLP, Christine Crowl and Rick Jarvisl; Oakland City
Attorney’s Office, Patrick Brian Mulry, Barbara Parker and Maria Bee for
Defendant and Respondent.

                                     2