Sales Cases
Sales Cases
Sales Cases
OF THE I NTEGRATED
ARTICLES
Jose V. Abueva
Rogelio A. Vinluan,
Victor Basilio N. de Leon,
and Peter L. Calimag
REVIEW
C A SE
DIGEST
Vol. XXVII
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No. 2
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JOURNAL
OF T H E I NTEGRAT E D
B A R OF
THE
PH I L I P P I N E S
CONTENTS
ARTICLES
Towards a Federal Republic of the Philippines . . . . . . . Jose V. Abueva
31
51
69
79
CASE DIGEST
Subject Guide and Digests
Supreme Court Decisions
(July to December 2001) . . . . . . . . . . . . . . . . . . . . . . . Tarcisio A. Dio
85
86
Civil Law . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
87
Commercial Law . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
106
Criminal Law . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
111
Labor Law. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
141
Land Laws . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
146
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Political Law. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
157
Remedial Law . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
178
Taxation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
230
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MEMBERS
OF
THE
IBP BOARD
OF
GOVERNORS
(2001 - 2003)
TEOFILO S. PILANDO, JR.
Chairman of the Board and National President
JOSE ANSELMO I. CADIZ
Executive Vice-Presidentand Governor forBicolandia
ESTER L. PISCOSO-FLOR
Governor forNorthernLuzon
PEDRO S. PRINCIPE
Governor forCentral Luzon
SANTOS V. CATUBAY, JR.
Governor for Greater ManilaRegion
JOSEFINA S. ANGARA
Governor for Southern Luzon
EMIL L. ONG
Governor for Eastern Visayas
LEONARDO ESPINOZA-JIZ
Governor for Western Visayas
CARLITO U. ALVIZO
Governor for Eastern Mindanao
LITTIE SARAH A. AGDEPPA
Governor for Western Mindanao
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JOURNAL
OF THE I NTEGRATED BAR OF THE
P HILIPPINES
2001 - 2003
Editor-in-Chief
FRANCIS V. SOBREVIAS
Managing Editor
VICTORIA G. DE LOS REYES
Executive Editor
DIVINAGRACIA S. SAN JUAN
Editors
ELVI JOHN S. ASUNCION
CESARIO A. AZUCENA, JR.
RUBEN F. BALANE
JOEL L. BODEGON
JOSE MARIO C. BUAG
WILBERT L. CANDELARIA
SOLEDAD C. DE CASTRO
ANACLETO M. DIAZ
TARCISIO A. DIO
JAVIER P. FLORES
VICENTE B. FOZ
ISMAEL G. KHAN, JR.
ROSE MARY M. KING
SYLVETTE Y. TANKIANG
AMADO D. VALDEZ
ROGELIO A. VINLUAN
Editorial Consultants
JUSTICE REYNATO S. PUNO
JUSTICE JOSE C. VITUG
JUSTICE ARTEMIO V. PANGANIBAN
Editorial Assistant
AURORA G. GERONIMO
Staff Assistant
REYMA P. ENALISAN
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VOL. XXVII,
NO. 2
PrintedinthePhilippines
Vol. XXVII, No. 2
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ARTICLES
IN THIS ISSUE
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I. INTRODUCTION:
THE NEED FOR STRUCTURAL REFORM
OF OUR POLITICAL SYSTEM
Our Persistent Problems of Poverty and Ineffective Governance
When we regained our independence in 1946, the Philippines was ahead of many other new nation-states in the processes
of de-colonization, development and democratization. In Asia
we were perhaps second only to Japan in social, economic and
political development. But from 1972 to 1986, after over 13 years of
the Marcos dictatorship, crony capitalism, a politicized military,
institutionalized corruption, economic protectionism, and
heightened rebellion by the Communists and Moro secessionists,
the country retrogressed.
In the last three decades the Philippines has fallen rapidly
behind the tiger economies or newly industrializing countries
(NICs) in AsiaSouth Korea, Taiwan, Singapore, Malaysia, and
Thailandin economic and human and social development.
* President of Kalayaan College at Riverbanks Center, Marikina; U.P. Professor Emeritus of Political Science and Public Administration, and Chairman of the Committee on
Constitutional Continuity and Change of the Philippine Political Science Association.
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[XXVII, 2
At the same time, China and India have been making giant strides
in their industrialization and social and economic development
despite their enormous population.
After the EDSA Revolution we were able to restore our
democratic institutions and re-start our economy recovery, but our
seriously weakened economy, political instability, unabated
corruption, and rapid population growth have continued to stunt
our efforts to achieve progress. Poverty, unemployment and
underemployment, homelessness, injustice, low levels of social
services, endemic corruption, rebellion, and criminality are still
very much with us. Our leaders have not pushed for basic reforms
to address the root of these problems.
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OF THE
PHILIPPINES
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OF THE
PHILIPPINES
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(2)
(3)
(4)
structural and functional reforms in the constitutional commissions concerned with the civil
service, election administration, and auditing;
(5)
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OF THE
PHILIPPINES
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1.
2.
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3.
4.
The structures and processes and responsibilities of the federation will challenge and energize
the people and their state and local governments.
Such further democratization will encourage
creativity, initiative, and innovation, spur
inter-state competition, and foster state and local
self-reliance instead of continued dependency.
5.
6.
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OF THE
PHILIPPINES
efficient and viable regions called states, substantial, faster and equitable development for the
whole country is more likely to be achieved.
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7.
8.
9.
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(2)
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(3)
(4)
(5)
(6)
OF THE
PHILIPPINES
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(2)
(3)
(4)
(5)
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OF THE
PHILIPPINES
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(2)
(3)
(4)
(5)
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OF THE
PHILIPPINES
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OF THE
PHILIPPINES
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OF THE
PHILIPPINES
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2.
3.
4.
5.
2.
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3.
4.
5.
6.
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2.
3.
4.
5.
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6.
7.
8.
9.
OF THE
PHILIPPINES
21
2.
3.
4.
5.
6.
Vests both legislative and executive powers in the unicameral Batasang Estado (State Assembly), the Estado having a
parliamentary system like the Federasyon (Federation).
Provides for the election of as many Diputados or members of
the Batasang Estado as the number of Parlamentaryos or
members of the Parlamento elected in all the cities and
municipalities comprising the provinces in the Estado.
Provides for the election of the Diputados in the same legislative districts where the Parlamentaryos or members of the
Parlamento are elected.
Allows Diputados a term of office of five years unless the
Batasang Estado is sooner dissolved and new elections are held.
Prohibits the Diputados from holding any other office and
prevents conflict of interest in their actions.
Authorizes the Gobernador Estado (State Governor) as Head of
Government of the Estado to approve or veto bills passed by
the Batasang Estado.
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22
2.
3.
4.
5.
6.
7.
8.
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2.
3.
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4.
5.
6.
OF THE
PHILIPPINES
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2.
3.
4.
5.
6.
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2.
3.
4.
5.
6.
7.
OF THE
PHILIPPINES
25
The Judiciary
1.
2.
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3.
4.
5.
6.
7.
8.
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PHILIPPINES
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I. INTRODUCTION
Trademark litigation often deals with issues such as
likelihood of confusion between two marks, the existence of
secondary meaning, the dilution of a trademark and genericness.
Obviously, these issues involve questions of fact which are better
ascertained and resolved in the marketplace than in the courtroom.
The questions of whether two marks are confusingly
similar, whether a mark has acquired secondary meaning, whether
a mark has become generic, and whether dilution has occurred are
properly answered when there is sufficient evidence of public
opinion. These questions cannot or should not be left solely to the
discretion of the trier of fact.
Justice McFarland of the Supreme Court of Ontario, in a
case of trademark infringement and passing off of a tradename,
* This is a modified version of a lecture delivered by Atty. Rogelio A. Vinluan during a
symposium on March 15-17, 2002 sponsored by the Asian Patent Attorneys Association
and Fdration Internationale Des Conseils En Proprit Industrielle on March 15-17, 2002
at Newport Beach, California, U.S.A.
** Senior Partner, Abello Concepcion Regala & Cruz: B.S.J., LL.B., University of the
Philippines; LL.M., Yale University.
*** Associate, Abello Concepcion Regala & Cruz; A.B., LL.B., University of the
Philippines.
**** Associate, Abello Concepcion Regala & Cruz; A.B., J.D., Ateneo de Manila
University.
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Ibid.
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Chambers v. Mississippi 410 U.S. 284, 298, 93 S. Ct. 1038, 35 L. Ed. 2d 297 (1973).
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Standard
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76 A.L.R. 2d 630.
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LILLY , A N INTRODUCTION
TO THE
10 Id. at 192.
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25 2 M CCARTHY, T RADEMARKS and UNFAIR COMPETITION 507 (1973 Ed.), citing American
Luggage Works v. United States Trunk Co. (1957, DC Mass.) 158 F. Supp. 50, affd (CA1)
259 F.2d 69.
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V. CONCLUSION
It is regrettable that survey evidence is seldom, if at all,
used in trademark cases in our courts. The benefits of survey
evidence in trademark litigation are quite evident and cannot be
overemphasized. There is no better evidence of whether a likelihood of confusion exists, whether a mark has acquired secondary
meaning or whether dilution has occurred than survey evidence.
These questions should not be left to the subjective impressions of
the judge.
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A MODEL CONTRACT
FOR JOINT VENTURES
By Jose Mario C. Buag*
Last January 10, 2002, at the headquarters of the International Trade Centre (ITC) at 54, rue de Montbrillant, Geneva,
Switzerland, legal experts from 33 countries assembled to discuss
the possibility of a model joint venture contract, particularly for
small and medium-scale enterprises (SMEs), which are the
ones largely unable to afford the services of lawyers, let alone
high-powered law firms with an international practice. Twenty-six
more experts were expected to send in written comments. It was a
noble endeavor and a challenging concept one would expect from
the ITC.
The ITC is not exactly a household name, especially in these
parts which would be more familiar with the World Bank and
perhaps the World Trade Organization (WTO) due to the long
debates about it. Actually, it has a tie-up with WTO, which,
together with the United Nations Conference on Trade and
Development (UNCTAD), operates the ITC as a subsidiary. As its
mission statement puts it, the ITC is a technical cooperation
organization whose mission is to support developing and
transition economies, and particularly their business sectors, in
their efforts to realize their full potential for developing exports
and improving import operations with the ultimate goal of
achieving sustainable development.1
* Senior Partner, Buag Kapunan Migallos & Perez; B.A., LL.B., Ateneo de Manila
University; M.C.L., New York University.
1 The information in this paragraph came from the ITC publication ITC, Your Partner in
International Trade and Business Development.
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venturers. Here, only one instrument is necessary, the joint venture contract or agreement; and
2.
The Note suggests that instead of two (2) models for each
type, only one model covering both kinds of joint ventures should
be prepared. (There was some dissent that this was not possible
and would only lead to confusion.)
Another possible classification between Production Joint
Ventures and Distribution Joint Ventures was considered capable
of being covered by the single model and need not be specifically
addressed, subject to what the members of the committee would
say at the forthcoming meeting (the members said nothing which
was interpreted as an affirmation of the Notes statement). The
same sentiment was expressed with respect to the possibility of
preparing a model for each industry, e.g., transportation, mining,
etc. The model should be sufficiently flexible to adapt to the
specific industry to be covered by the joint venture.
In terms of intended users, the Note states that these would
be individuals and SMEs, whatever their origin. But what attracted
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55
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Parties
Preamble Objectives of the Parties
Definitions
Object and Purpose of the Joint Venture
The Main Obligations of the Parties Contributions
Management/ Internal Decisions
Representation of the Joint Venture
External Liability
Internal Liability
Liability for Debts Incurred before the
Incorporation of the Joint Venture Company
Guarantees between Partners
Profits and Losses
Corporate or Partnership Rights
Use of the Joint Ventures Assets and
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l
l
l
l
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Parties
There was a spirited discussion on how to call the parties to
the contract considering for instance that the word partners which
easily lent itself as a handy term to describe the parties had definite legal (and tax) implications.
Indeed, one of those who wrote in comments proposed that
a joint venture should come on its own and be distinguished from
corporations and partnerships.
Preamble
All the experts agreed that the preamble and objective
of the parties can only be drafted by the parties themselves.
The Commentary can only give drafting advice and supply
examples.
Definitions
The Guidance Note suggested that apart from the usual
definitions, this section should provide explanation which might
be necessary for certain technical terms like Board of Directors,
Shareholders or shareholders meeting.
Object and Purpose of Joint Venture
The preamble sets forth the expectation of the parties; this
provision describes the purpose of the joint venture, what the parties decided to achieve together. Again, this is best drafted by the
parties and the Model would be limited to giving advice and examples.
It is in this paragraph or section that the Model should set
forth the legal form or vehicle that the joint venture will take by
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59
cash
services
physical assets with or without transfer of
title
intellectual property
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l
l
l
This led to the issue that occupied the participants for some
time--deadlocks, how to break them. A write-in commentator listed
the following options:
l
l
l
l
independent referee
casting vote given to one party
arbitration
termination of the joint venture
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In the Contractual Joint Venture, these rights would normally be independent of the value and nature of the contributions.
Lalive suggests that the Model and the Commentary might mention the possibility of making the voting rights proportionate to
the value of the contribution.
In Incorporated Joint Ventures, stockholders rights are
governed by the applicable company law, together with the
articles of incorporation, the stockholders agreement and the joint
venture agreement. The agreements, being contractual, would not
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3.
In the Incorporated Joint Venture, the
shares are transmissible. In the Philippines, said
shares are subject to the right of first refusal,
provided it says so in the articles.
A subsidiary which is a party of a joint venture may be
acquired and its owners changed. The joint venture agreement
should therefore provide for the consequences of such an
occurrence. This may even be a cause for exclusion.
Termination
The Model should provide the grounds for termination of
the joint venture, such as achievement of the purpose, death or
departure of a party or even unilateral cancellation after notice.
The Model should then lay down the rules for winding up.
In case of an Incorporated Joint Venture, the applicable law
will prevail although it should be noted in the Commentary that
the liquidation of the initial joint venture does not mean the end
of the joint venture company which may continue to exist.
Miscellaneous Provisions
l
l
l
l
l
l
Severability clause
Amendments
Force majeure
Governing law
Disputes: courts or arbitration
Notices
Appendices
l
l
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Shareholders agreement
Articles of incorporation and by-laws,
if necessary
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* Partner, Castro Cadiz & Carag Law Offices; B.S.B.E., LL.B., University of the
Philippines. A practicing attorney, the author is the current Executive Vice President and
Governor for Bicolandia of the Integrated Bar of the Philippines.
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3 Rance v. National Labor Relations Commission, 163 SCRA 279 (1988); Liberty
Cotton Mills Workers Union v. Liberty Cotton Mills, Inc., 90 SCRA 391 (1979).
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The High Court applied the Wenphil ruling in all subsequent cases where there was a denial of due process but there was
just cause in terminating an employment5 . This was until the
doctrine enunciated by the High Court en banc in the Serrano case,
in January 2000.6
4
5 Manuel v. N.C. Construction Supply, 282 SCRA 326 (1997); Sebuguero v. NLRC, 248
SCRA 532 (1995); Villarama v. NLRC, 263 SCRA 280 (1994); Sampaguita Garments Corp.
v. NLRC, 233 SCRA 260 (1994); Aurelio v. NLRC, 221 SCRA 432 (1993); Cathedral School
of Technology v. NLRC, 214 SCRA 551 (1992); Kwikway Engineering Works v. NLRC, 195
SCRA 526 (1991); Great Pacific Life Assurance Corp. v. NLRC, 187 SCRA 694 (1990);
Cario v. NLRC, 185 SCRA 177 (1990); Rubberworld (Phils.), Inc. v. NLRC,183 SCRA 421
(1990); Seahorse Maritime Corp. v. NLRC, 173 SCRA 390 (1989).
6
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Note 1, supra.
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Agrarian Reform
Civil Law
Commercial Law
Criminal Law
Labor Law
Land Laws
Legal Ethics
Political Law
Remedial Law
Taxation
*
Partner, Villareal Rosacia Dio & Patag; B.A., LL.B., University of the
Philippines.
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SC DECISIONS - CIVIL L AW
87
CIVIL LAW
GENERAL PRINCIPLES
Conflict of Law. The divorce, subsequent marriage,
execution of will and death of a Filipino who became an
American citizen long before and at the time of the foregoing
incidents, are governed by foreign law. (Llorente v. CA,
G.R. No. 124371, Nov. 23, 2000).
PERSONS AND FAMILY RELATIONS
MARRIAGE
Annulment Due to Psychological Incapacity. The personal
medical or psychological examination of respondent is not a
requirement for a declaration of psychological incapacity.
Guidelines governing the application and interpretation of Art. 36
of the Family Code. Failure of respondent to provide material
support to, and his resort to physical abuse and abandonment of,
his family are not sufficient to establish psychological incapacity on
his part. (Marcos v. Marcos, G.R. No.136490, Oct. 19, 2000).
Need for Declaration of Nullity. The first and second
marriages of private respondent, contracted in 1977 and 1979,
respectively, are governed by the provisions of the Civil Code.
Whether a judicial declaration of nullity of a void marriage is
necessary, the Civil Code contains no express provision to that
effect. Originally, in People v. Mendoza (1954), and People v. Aragon
(1957), the Court held that no judicial declaration is necessary to
establish the nullity of a void marriage. Both cases involved the
same factual milieu. Accused contracted a second marriage during
the subsistence of his first marriage. After the death of his first
wife, accused contracted a third marriage during the subsistence
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the property upon the execution of the deed. The donation in this
case was inter vivos in light of the following: (i) the donation was
made out of the donors love and affection for the donee; (ii) the
reservation of lifetime usufruct which indicated that the donor intended to transfer the naked ownership over the properties, as
there was no need for such reservation if the donor and his spouse
remained the owners thereof; (iii) the donor reserved sufficient
properties for his maintenance in accordance with his standing in
society, indicating that he intended to part ownership of the properties donated; and (iv) the donee accepted the donation. Donation
mortis causa, being in the form of a will, are not required to be
accepted by the donee during the donors lifetime. A valid
donation, once accepted, becomes irrevocable, except on account
of officiousness, failure by the donee to comply with the charge
imposed by the donation, or ingratitude. (Spouses Gestopa v. CA,
G.R. No. 111904, Oct. 5, 2000).
SUCCESSION
Wills. The clear intent of the decedent to bequeath his
property to his second wife and children by her is glaringly shown
in the will he executed. Since the decedent was a foreigner, Philippine law on family rights and duties, status, condition and legal
capacity did not govern. Whether the will is intrinsically valid and
who shall inherit from the decedent are issues best proved by
foreign law which must be pleaded and proved. As a guide,
however, the trial court should note that whatever public policy
or good customs may be involved in our system of legitimes,
Congress did not intend to extend the same to the succession of
foreign nationals. (Llorente v. CA, G.R. No. 124371, Nov. 23, 2000).
Partition Inter Vivos may be done for as long as legitimes
are not prejudiced. The legitime of compulsory heirs is determined
after collation, as provided for in Art. 1061 of the Civil Code.
(Zaragosa v. CA, G.R. No. 106401, Sept. 29, 2000)
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was applied to obligations other than the rental then due) was
without basis and should have been dismissed. (Faculdo v. Regalado,
G.R. No. 123855, Nov. 20, 2000).
Compensation. Debt distinguished from mere claim.
(Republic v. Sandiganbayan, G.R. No. 128606, Dec. 4, 2000).
Novation. Incompatibilities between the old and the new
obligations included variance in the principal amount of the obligation; and positive as well as negative covenants found in one
contract and not in the other. Since the earlier loan obligation was
extinguished by novation, the Indemnity Agreement, an accessory
obligation, was necessarily extinguished also, pursuant to Art. 1296
of the Civil Code. (Security Bank and Trust Company, Inc. v. Cuenca,
G.R. No. 138544, Oct. 3, 2000).
CONTRACTS
Perfection. (a) Consent. [i] JPU could not have validly given
consent to the contract of sale, as he was not even conceived yet at
the time of its alleged perfection. LC could not have acted as
representative of JPU. In the first place, she did not have the right
to represent JPU for lack of legal authority to do so. Without
authority from the court, no person can make a valid contract in
behalf of a minor. (Pua v. CA, G.R. No. 134992, Nov. 20, 2000).
[ii] When one of the parties is unable to read, or if the contract is in
a language not understood by him, and mistake or fraud is
alleged, the person enforcing the contract must show that the terms
thereof have been fully explained to the former. (Unican Food
Products Manufacturing, Inc. v. CA, G.R. No. 125497, Nov. 20, 2000).
(b) Form. [i] The Civil Code upholds the spirit over the
form, and an agreement will be deemed to exist, provided the
essential requisites are present, viz.: proof of consent, subject matter and cause. It is generally obligatory in whatever form it may
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LEASE
Security Deposit. Security deposit properly applied to
unpaid rentals in this case. (Tala Realty Services Corp. v. Banco
Filipino Savings and Mortgage Bank, G.R. No. 137980, Nov. 15, 2000).
Renewal of Lease. Implied New Lease. (Lhuillier v. CA,
G.R. No. 128058, Dec. 19, 2000; Unican Food Products Manufacturing,
Inc. v. CA, G.R. No. 125497, Nov. 20, 2000).
Improvements By Lessee. The parties agreed that all
improvements introduced by the lessee would accrue to the
benefit of the owner at the end of the lease, without reimbursement. This stipulation, not being contrary to law, morals, public
order or public policy, binds the parties and is the law between
them. (Lhuillier v. CA, G.R. No. 128058, Dec. 19, 2000).
Sub-Lease. As mere sub-lessees, petitioners derive their right
from the sub-lessor whose termination of contract with the lessor
necessarily ended the sublease contract. Hence, after the termination of the contract of lease, the continued stay of petitioners in the
premises was merely by tolerance of the respondents (lessors) and
it became unlawful after they ignored the lessors demand to leave.
(Spouses Virgilio v. Patricia, Inc. G.R. No. 134651, Sept. 18, 2000).
MORTGAGE
Equitable Mortgage. In determining whether a deed absolute in form is a mortgage, the court is not limited to the written
memorials of the transaction. The decisive factor is the intention of
the parties, as shown not necessarily by the terminology used in
the contract but by all the surrounding circumstances, such as the
relative situation of the parties at that time, their attitude, acts,
conduct, declarations, the negotiation between them leading to the
deed and, generally, all pertinent facts having a tendency to fix
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SURETYSHIP
Novation. A surety agreement is strictly construed against
the creditor, and every doubt is resolved in favor of the solidary
debtor. The creditor must get the consent of the surety to any
material alteration in the loan agreement covered by his suretyship. Hence, petitioner bank cannot hold herein respondent liable
for loans obtained in excess of the amount or beyond the period
stipulated in the original agreement, absent any clear stipulation
that respondent waived his right to be notified thereof, or to give
consent thereto. This is especially true where, as in this case,
respondent was no longer the principal officer or major stockholder
of the corporate debtor at the time the amended obligations were
incurred. Respondents obligation as a surety should be deemed
extinguished, pursuant to Art. 2079 of the Civil Code, which specifically states that an extension granted to the debtor by the creditor without the consent of the guarantor extinguishes the guaranty.
Distinguish this case from Philamgen v. Mutuc, where the Court
sustained the stipulation binding the surety not only to the specified term of the loan, but to any extension thereafter made, without notice to the surety, who waived the right to be notified of any
renewal or extension of the bond which may be granted under this indemnity agreement. That the Indemnity Agreement is a continuing surety
does not authorize the bank to extend the scope of the principal
obligation inordinately. Distinguish the ruling on this point from
the Dino v. CA case, where the surety agreement contained an
unequivocal stipulation that in case of any extension or renewal
of the bond, we equally bind ourselves to the Company under the
same terms and conditions as herein provided without the necessity of executing another indemnity agreement for the purpose
and that we hereby equally waive our right to be notified of any renewal or
extension of the bond which may be granted under this indemnity agreement. Moreover, in the Dino case, the surety agreement specifically provided that each suretyship is a continuing one which
shall remain in full force and effect until this bank is notified of its
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der the exclusive control of the person in charge; and (iii) the
injury suffered must not have been due to any voluntary action or
contribution of the person injured. In this case, while the patient
died just a few hours after professional medical assistance was
rendered, there is really nothing unusual or extraordinary about
his death. Prior to his admission, the patient already had recurring
fevers and chills for five days unrelieved by the analgesic, antipyretic, and antibiotics give him by his wife. This shows that he
had been suffering from a serious illness and professional medical
help came too late for him. (Reyes v. Sisters of Mercy Hospital,
G.R. No. 130547, Oct. 3, 2000).
DAMAGES
Actual and Compensatory. (a) For actual and compensatory
damages to be awarded, there must be competent proof constituting evidence of the actual amount thereof, such as receipts showing the expenses incurred on account of the incident. (People v.
Gopio, G.R. No. 133925, Nov. 29, 2000). There must be competent
proof of the actual amount of loss, duly supported by receipts.
Considering that the actual damages claimed by private respondents were based only on job estimate and a photo showing the
damage to the truck, there is absence of competent proof on the
specific amounts of actual damages suffered. (Viron Transportation
Co., Inc. v. De los Santos, G.R. No. 138296, Nov. 22, 2000). While the
testimony of private respondent that he had made promotions of
the product in some provinces was not rebutted by petitioner, no
receipts covering such expenditures were adduced in evidence
and private respondents testimony thereon was not corroborated.
Actual damages cannot be presumed, but must be duly proved
with reasonable degree of certainty. (Bayer Philippines, Inc. v. CA,
G.R. No. 109269, Sept. 15, 2000). Respondents refusal to answer
adequately for damages forced petitioners to litigate and incur
expenses. Compensatory, moral and exemplary damages as well
as attorneys fees were allowed in this case. (Cartesiano v. Nuval,
G.R. No. 138054, Sept. 28, 2000).
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COMMERCIAL LAW
CORPORATION LAW
Pre-Emptive Right. (Republic v. Sandiganbayan, G.R.
No. 128606, Dec. 4, 2000).
Treasury Shares. Converting the sequestered shares in
question to treasury shares will result in: [i] the outstanding shares
so converted becoming property of the issuing corporation and
will cease to earn dividends; [ii] the retained dividends on those
shares going to the issuing corporation as a whole; and [iii] the
voting rights of those shares cannot be exercised; hence, the voting
strength of the other shares remaining issued and outstanding
being enhanced to the extent of the outstanding shares thus
converted to treasury. (San Miguel Corporation v. Sandiganbayan,
G.R. Nos. 104637-38, Sept. 14, 2000).
Intra-Corporate Dispute. (Pascual v. Court of Appeals,
G.R. No. 138542, Aug. 25, 2000).
Foreign Corporations. (a) There is no general rule or governing principle as to what constitutes doing or engaging in
or transacting business in the Philippines. Each case must be
judged in the light of its peculiar circumstances. Participating in
the bidding process (involving the opportunity to develop and
operate a modern marine container terminal within the Subic Bay
Freeport Zone) constitutes doing business because it shows the
foreign corporations intention to engage in business here for which
a license is required. In this regard, it is the performance by a
foreign corporation of the acts for which it was created, regardless
of volume of business, that determines whether or not it should
get a license to do business in the Philippines. The primary purpose of a license requirement is to compel a foreign corporation
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INSURANCE
Fire Policy. Coverage. (Rizal Surety & Insurance Co. v. CA,
G.R. No. 112360, Jul 18, 2000).
Life insurance. (Philippine American Life Insurance Co. v. CA,
G.R. No. 126223, Nov. 15, 2000).
TRUST RECEIPTS LAW
Violation. The law is violated whenever the person in whose
favor a trust receipt was issued fails: (1) to return the goods covered by the trust receipt; or (2) to return the proceeds of the sale of
the said goods. The foregoing acts constitute estafa punishable
under Article 315 (1) (b) of the Revised Penal Code. (Metropolitan
Bank and Trust Co. v. Tonda, G.R. No. 134436, Aug 16, 2000).
Not Trust Receipts Transaction. In this case, the transaction
between the parties was a simple loan, not a trust receipts agreement. Petitioners received the merchandise (materials) for their
construction project. It was only a day after receipt of the merchandise that petitioners went to the bank to apply for a loan to pay for
the merchandise for which the bank required the execution of trust
receipts. (Colinares v. CA, G.R. No. 90828, Sept. 5, 2000).
INVESTMENT COMPANY
The transaction between petitioners and respondent was one
involving not a loan but purchase of receivables at a discount,
well within the purview of investing, reinvesting or trading in
securities which an investment company is authorized to perform
and does not constitute violation of the General Banking Act. Indubitably, what is prohibited by law is for investment companies
to lend funds obtained from the public through receipts of deposit, which is a function of banking institutions. Here, the funds
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CRIMINAL LAW
FELONIES
Duty of the Court in Cases of Excessive Penalty. Considering that the accused: [i] was only 21 years old when she committed
the crime of kidnapping penalized by reclusion perpetua; [ii] did
not maltreat the child victim; and [iii] had been in preventive
detention since 1991, the Court recommended that she be granted
either a commutation of sentence or executive clemency. (People v.
Acbangin, G.R. No. 117216, Aug. 9, 2000). Likewise, the Court
recommended the grant of executive clemency to the accusedappellant convicted of rape penalized by reclusion perpetua, as he is
already 72 years old, suffering from an acute heart ailment that
requires a heart-bypass operation and has served a term of
imprisonment consistent with the ends of retributive justice.
(People v. Del Rosario, G.R. No. 134581, Oct. 26, 2000).
Attempted Distiguished from Frustrated Felony. (People v.
Albacin, G.R. No. 133918, Sept. 13, 2000).
Conspiracy as a Mode of Committing Felony. While there
is no evidence of previous agreement between the appellants to
kill the victims, their simultaneous acts in stoning the victims indubitably show unity of purpose, and intent to harm the victims.
(People v. Sinda, G.R. No. 115247-48, Dec. 1, 2000). Conspiracy may
be inferred from the acts of the accused before, during and after
the commission of the crime which indubitably point to a joint
purpose, concert of action and community of interest. (People v.
Listerio, G.R. No. 122099, Jul. 5, 2000). The existence of conspiracy
makes the act of one the act of all. Hence, the accused-appellant
was held liable for three counts of rape and three counts of frustrated homicide on account of a clear conspiracy among the three
accused found guilty of committing, one after the other, rape and
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then homicide. (People v. Honra, G.R. No. 136012-16, Sept. 26, 2000).
However, a finding of conspiracy does not make each of the
accused-appellants liable for as many crimes of murder as there
are conspirators. (People v. Birayon, G.R. No. 133787, Nov. 29, 2000).
In an indictment based on conspiracy, the acquittal of a conspirator does not absolve the co-conspirator from criminal liability. If
the prosecution fails to prove conspiracy, the alleged conspirators
should be individually responsible for their respective acts.
(People v. Figueroa, G.R. No. 134056, Jul. 6, 2000).
JUSTIFYING CIRCUMSTANCES
Self-Defense. - Not established. (People v. Casturio, G.R.
No. 128819, Nov. 20, 2000; People v. Nacario, G.R. No. 137049,
Nov. 29, 2000; People v. Briones, G.R. No. 128127, Oct. 23, 2000). When
the accused invokes self-defense or accident to avoid criminal
liability, he thereby admits having caused the death of the victim.
He must therefore prove by clear and convincing evidence the
justifying circumstance he invokes. If he fails, his conviction is
inevitable. In this case, the theory of the prosecution was sustained
that: if A indeed shot T by accident, the natural reaction
expected of him would be to immediately see to it that T be
brought to a hospital or get medical attention at the quickest time
possible. Instead A left T, who was supposed to be his good
friend, lying dead on the floor for several hours. If indeed he and
T both had their hands on the gun and there was no telling who
actually pulled the trigger, A should have seen to it that no one
else would touch that gun barehanded to preserve the fingerprints
on it. Instead, he gave the gun to SPO4 N who had no concern
for preserving the fingerprints on the gun. Not only that, A also
handed the gun to Mayor JE. Thus, one tangible piece of
evidence that could have proven his claim of self-defense or
accident was unfortunately lost. (People v. Antonio, G.R. No. 128900,
Jul. 14, 2000).
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Dec. 19, 2000; People v. Caber, Sr., G.R. No. 129252, Nov. 28, 2000).
This circumstance was not appreciated where, at the time of his
surrender, accused-appellant already had a pending warrant of
arrest 5 days before his surrender. (People v. Taraya, G.R. No. 135551,
Oct. 27, 2000).
Lack of Education. (People v. Zinampan, G.R. No. 126781,
Sept. 13, 2000).
Incomplete Self-Defense. Privileged mitigating. (People v.
Librando, G.R. No. 132251, Jul 6, 2000).
Fulfillment of duty or lawful exercise of right. Privileged
mitigating. (People v. Ulep, G.R. No. 132547, Sept 20, 2000).
Passion and Obfuscation . The act of the victim of
demanding that the accused-appellant, among others, vacate her
land and transfer elsewhere was not unlawful and unjust as she
was exercising her right to her land. The exercise of a lawful right
cannot be a proper source of obfuscation that may be considered a
mitigating circumstance. (People v. Lopez, G.R. No. 136861,
Nov. 15, 2000; People v. Bayotas, G.R. No. 136818, Dec. 19, 2000).
Vindication of a grave offense. (People v. Lopez, G.R.
No. 136861, Nov. 15, 2000).
AGGRAVATING CIRCUMSTANCES
Treachery. The attendance of treachery qualifies the killing
to murder. As such, treachery must be specifically alleged in the
information and established by proof beyond reasonable doubt.
(People v. Aquino, G.R. No. 130613, Oct. 5, 2000).
(a) To be appreciated, treachery should normally attend
the inception of the aggression. (People v. Aquino, G.R. No. 130613,
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purpose. In this case, all the evidence shows is that the incident
was an impulse killing. It was a spur-of-the-moment crime.
One who, in the heat of passion, loses his reason and self-control,
cannot consciously employ a particular means, method, or form
of attack in the execution of the crime. (People v. Antonio, G.R.
No. 128900, Jul. 14, 2000). However, in his concurring and dissenting
opinion, Justice Puno observed that treachery attended the killing
of T; and the accused-appellant should be held guilty of murder. He stressed that the murder weapon was a 9 mm Beretta
Model 92F pistol with a laser sight. The victim sustained a single
gunshot wound on the forehead, between his eyes. He was shot at
close range. He explained that the victim had absolutely no opportunity to defend himself from the aggression of accused-appellant and that means, method and manner of execution were deliberately and consciously adopted by the offender. (id.). Treachery
cannot qualify a killing to murder if the solitary eyewitness did
not see the commencement of the assault. (People v. Macaliag,
G.R. No. Aug. 9, 2000).
(c) When treachery is present in the special complex crime
of robbery with homicide, it is to be regarded as a generic aggravating circumstance. (People v. Cando, G.R. No. 128114, Oct. 25, 2000).
Abuse of Superior Strength (a) Qualifies killing to murder,
as when an armed man with a deadly weapon attacks an unarmed
and defenseless woman (People v. Bohol, G.R. 130587, Jul. 12, 2000);
or, a 22-year-old male with a deadly weapon assaults an old woman
with failing eyesight and unarmed. However, since treachery was
already appreciated as a qualifying circumstance, abuse of
superior strength was deemed absorbed therein. (People v. Lopez,
G.R. No. 136861, Nov. 15, 2000).
(b) As a generic aggravating circumstance, capable of being
proved and taken into consideration in imposing the sentence,
even if it is not alleged in the information. (People v. Lopez,
G.R. No. 136861, Nov. 15, 2000).
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Matibag, G.R. No. 110515, Jul 18, 2000). Thus, the trial court erred in
ordering each appellant to pay P50,000, or a total of P200,000 as
civil indemnity. (c) Under present case law, the award of P50,000
for civil indemnity is mandatory upon the finding of the fact of
murder. Moral damages, vis--vis compensatory damages or civil
indemnity, are different from each other and should thus be
awarded separately. The indemnity authorized by our criminal
law as civil liability ex delicto for the offended party, is itself equivalent to actual or compensatory damages in civil law. It is not to be
considered moral damages thereunder, the latter being based on a
different jural foundation and assessed by the court in the exercise
of sound discretion. (People v. Bangcado, G.R. No. 132330, Nov. 28,
2000). (d) Civil indemnity in robbery with homicide P100,000.
(People v. Serenilla, G.R. No. 1130224-24, Dec. 15, 2000). In rape with
homicide P100 thousand. (People v. Tuangco, G.R. No. 130331,
Nov. 22, 2000). In qualified rape P75,000. (People v. Brondial,
G.R. No. 135517, Oct. 18, 2000).
Loss of Earning Capacity. Under Article 2206 of the Civil
Code, in addition to civil indemnity for the death of the victim, the
accused-appellants are also jointly and severally liable for the loss
of earning capacity of the deceased and such indemnity should be
paid to the heirs of the latter. (People v. Sirad, G.R. No. 130594,
Jul. 5, 2000).
Moral Damages. P50,000 awarded in robbery with
homicide without need of proof or pleading the basis thereof.
(People v. Serenilla, G.R. No. 1130224-24, Dec. 15, 2000). P50,000
awarded in qualified rape without need of proof. (People v. Brondial,
G.R. No. 135517, Oct. 18, 2000).
Exemplary Damages. May be imposed when the crime is
committed with one or more aggravating circumstances. (People v.
Listerio, G.R. No. 122099, Jul. 5, 2000).
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Art. 267 of the RPC, as amended by R.A. No. 7659. (People v. Mercado,
G.R. No. 116239, Nov. 29, 2000).
CRIMES AGAINST PROPERTY
Robbery with Homicide. (a) A crime against property and
not against persons - homicide being merely an incident of the
robbery with the latter being the main purpose and object of the
criminals. As such, treachery cannot be validly appreciated as an
aggravating circumstance under Art. 14 of the RPC. The offenders
did not commit two (2) separate counts of robbery with homicide
but only a delito continuado, as the ransacking of the two (2) houses
and the killing of the victims were not entirely disconnected and
distinct acts of depredation. (People v. Arizobal, G.R. No. 135051-52,
Dec. 14, 2000). The robbery itself must be established as conclusively as any other essential element of the crime. (People v. Dizon,
G.R. No. 131506, Sept. 6, 2000; People v. Mucam, G.R. No. 137276,
Jul. 13, 2000; People v. Palijon, G.R. No. 123545, Oct. 18, 2000).
(b) When homicide is committed as a consequence or on the
occasion of robbery, all those who took part as principals in the
robbery will also be held guilty as principals of the special
complex crime of robbery with homicide, although they did not
actually take part in the homicide, unless it clearly appears that
they endeavored to prevent the homicide. The trial court erred in
convicting the accused-appellants of the crime of robbery in band
with multiple homicide. There is no such crime in the RPC and in the
statutes. Robo con homicidio is killing of a human being for the
purpose of robbery. Homicide is used in Art. 294 of the RPC in a
generic sense. Under said provision, the term homicide comprehends murder, double homicide and multiple homicide, while band
is considered as a mere generic aggravating circumstance. The crime
of robbery with homicide remains fundamentally the same regardless of the persons killed in connection with robbery. (People v.
Carrozo, G.R. No. 97913, Oct. 12, 2000).
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ited were not sufficient to cover the amount of the check; and
[iii] The payee has been defrauded. In view of the amendment by
R.A. No. 4885, the following are no longer elements of estafa:
(a) knowledge of the drawer that he has no funds in the bank or
that the funds deposited by him are not sufficient; and (b) failure
to inform the payee of such circumstance. The drawer of the dishonored check is given three days from receipt of dishonor to
deposit the amount necessary to cover the check. Otherwise, a
prima facie presumption of deceit will arise which must then be
overcome by the accused. In this case, there is no evidence that
deceit accompanied the issuance of the check. It was not shown
that a notice of dishonor was sent to accused-appellant. On the
contrary, complainants affidavit showed that he filed his complaint on the same day the check was dishonored. Complainant
admitted that he knew at the time of the issuance of the check that
it was not funded and that the money to cover it was still to come
from Switzerland. He likewise admitted that accused-appellant
informed him twice before the checks due date and days
thereafter that the money from Switzerland had not arrived.
Hence, there is no proof that complainant was defrauded. Indeed,
the evidence adduced by the parties shows that the P100,000 given
by the complainant to accused-appellant was a loan and the
liability of accused-appellant was merely civil. (People v. Holzer,
G.R. No. 132323, Jul. 20, 2000). In another case, no damage was
sustained by private complainant by reason of appellants issuance of his check, as it was not proved that appellant received
something of value from private complainant. Appellant had no
obligation to pay him, or to make good the SBTC check. The evidence consisting of the invoices, deliveries of materials and the
bounced MBTC checks relate to the delivery of construction materials to unidentified persons, all of whom were not authorized
by appellant and the bounced MBTC checks issued to pay such
deliveries were not of appellant. (People v. Tan, G.R. No. 120672,
Aug. 17, 2000). Still, in another case, the guilt of accused-appellant
as co-principal (by conspiracy) was not proven. Accused-appellant
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par. (1), Sec. 20, as amended, i.e., 750 grams or more. Sec. 17 of
R.A. 7659 does not prescribe any fine in cases involving a
quantity of less than 750 grams. (People v. Flores, G.R. No. 137491,
Nov. 23, 2000).
(b) The penalty for illegal sale and delivery of dangerous
drugs (either prohibited or regulated) of 750 grams or more consists of two (2) indivisible penalties, that is reclusion perpetua to
death. Applying Art. 63 of the RPC, there being no mitigating nor
aggravating circumstance that attended the commission of the offense, the lesser penalty of reclusion perpetua should be imposed.
(People v. Banawor, G.R. No. 131927, Sept 20, 2000).
(c) Violation, not established. The Court, like the Solicitor
General (which recommended acquittal), was perplexed by the
evidence for the prosecution which showed that the request for
laboratory examination preceded the confiscation of the drugs.
(People v. Leodones, G.R. No. 138735, Nov. 22, 2000).
(d) Defense of frame-up given credence. (People v. Tan,
G.R. No. 133001, Dec. 14, 2000).
(e) Illegal Sale of Dangerous Drugs, elements: [i) identity of
the buyer and seller, the object and consideration; [ii] the delivery
of the thing sold and the payment thereof. What is fatal to the
prosecution of a dangerous drugs case is the non-presentation of
the poseur-buyer if there is no other eyewitness to the illicit
transaction. In this case, the other members of the team that
conducted the buy-bust operation testified in court that they
witnessed the consummation of the illegal sale perpetrated by
accused-appellant. (People v. Uy, G.R. No. 129019, Aug. 16, 2000;
People v. Montano, G.R. No. 130836, Aug. 11, 2000; People v. Zaspa,
G.R. No. 136396, Sept 21, 2000). Under Sec. 4 of the Act, the selling
or acting as broker in a sale of marijuana and other prohibited
drugs consummates the crime. Specifically, it punishes the mere
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CARNAPPING
There is no crime of Carnapping with Homicide. The proper
denomination is Carnapping as defined and penalized by R.A.
No. 6539, Secs. 2 and 14. Under Sec. 14, the penalty for carnapping,
in case the owner, driver or occupant of the carnapped vehicle is
killed in the course of the commission of the carnapping shall be
reclusion perpetua to death. Considering that at the time of the
commission of the crime the death penalty was suspended, the
accused were only sentenced to reclusion perpetua. (People v. Sirad,
G.R. No. 130594, Jul. 5, 2000; People v. Calabroso, G.R. No. 126368,
Sept. 14, 2000).
BOUNCING CHECKS LAW
(a) For violation of Batas Pambansa Blg. 22 (BP 22) to be committed, the following elements must be present: (1) the making,
drawing, and issuance of any check to apply for account or for
value; (b) the knowledge of the maker, drawer, or issuer that at the
time of issue there are no sufficient funds in or credit with the
drawee bank for the payment of such check in full upon presentment; (c) the subsequent dishonor of the check by the drawee bank
for insufficiency of funds or credit or dishonor for the same reason
had not the drawer without any valid cause, ordered the bank to
stop payment. For liability to attach, it is not enough that the
prosecution establish that a check was issued and that the same
was subsequently dishonored. The prosecution must also prove
that the issuer, at the time of the checks issuance, had knowledge that
that he did not have sufficient funds or credit in the bank for payment
thereof upon its presentment. Since this element involves a state of
mind which is difficult to verify, Sec. 2 of BP 22 creates a presumption juris tantum that the second element prima facie exists when the
first and the third elements of the offense are present. (Ting v.
Court of Appeals, G.R. No. 140665, Nov. 13, 2000). If not rebutted, it
suffices to sustain a conviction. Why and to whom the check was
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issued is irrelevant in determining culpability. The terms and conditions surrounding the issuance of the checks are also irrelevant.
Unlike in estafa under the RPC, BP 22 does not require proof that
the check was issued in payment of an obligation, or that there
was damage. In this case, the Court modified the penalty imposed
on petitioner by the trial court, deleting the prison sentence and
imposing instead a fine double the amount of the check issued.
(Lim v. People, G.R. No. 130038, Sept. 18, 2000). But the presumption
does not arise when the issuer pays the amount of the check or
makes arrangement for its payment within 5 banking days after
receiving notice that such check has not been paid by the drawee.
Full payment of the amount appearing in the check within 5 banking days from notice of dishonor is a complete defense. (Ting v.
Court of Appeals, G.R. No. 140665, Nov. 13, 2000). The gravamen of
the offense punished by B.P. 22 is the act of making and issuing a
worthless check that is dishonored upon its presentation for payment. Petitioners argument that the subject check was issued without consideration is inconsequential. (Ong v. People, G.R. No. 139006,
Nov. 27, 2000).
(b) While Sec. 2 of BP Blg. 22 does not state that the notice
of dishonor be in writing, taken in conjunction with Sec. 3 of the
law, i.e., that where there are no sufficient funds in or credit with
such drawee bank, such fact shall always be explicitly stated in the
notice of dishonor or refusal, a mere oral notice of demand to pay
would appear to be insufficient for conviction under the law.
(Domagsang v. CA, G.R. No. 139292, Dec. 5, 2000).
(c) The notice of dishonor must actually be sent and
received by the petitioner to afford her the opportunity to avert
prosecution under BP 22. To prove mailing, the prosecution
presented a copy of the demand letter as well as the registry
return receipt. However, no attempt was made to show that the
demand letter was indeed sent through registered mail nor was
the signature on the registry return receipt authenticated or
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LABOR LAW
WELFARE LEGISLATION
Employees Compensation. For sickness and the resulting
disability or death to be compensable, it must be an occupational
disease (hereafter Occupational Disease) listed under Annex A
of the Amended Rules on Employees Compensation; otherwise,
the claimant or employee concerned must prove that the risk of
contracting the disease was increased by the working condition.
For Occupational Diseases, i.e., cardiovascular diseases, including
atherosclerotic heart disease, atrial fibrillation, cardiac arrhythmia, no
further proof of casual relation between the disease and claimants
work is necessary. (Salmone v. Employees Compensation Commission,
G.R. No. 142392, Sept. 26, 2000).
LABOR RELATIONS
National Labor Relations Commission (NLRC). Rehabilitation and Labor Cases. The power to hear and decide labor disputes is deemed suspended when the Securities and Exchange
Commission puts the corporation under rehabilitation. (Rubberworld
[Phils.], Inc. v. NLRC, G.R. No. 128003, Jul 26, 2000).
Voluntary Arbitrator. Labor Arbiter. By express provision
of law, illegal termination disputes fall within the exclusive
original jurisdiction of Labor Arbiters. Absent express stipulation
to the contrary in the collective bargaining agreement, the phrase
all disputes of the parties that may be referred to a voluntary
arbitrator should be construed as limited to areas of conflict
traditionally within the jurisdiction of voluntary arbitrators,
i.e., disputes relating to contract-interpretation, contract implementation, or interpretation or enforcement of company personnel
policies. Illegal termination disputes do not fall under any of the
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LAND LAWS
Registration of Imperfect Title. (a) Under the public land
act, judicial confirmation of imperfect title required possession
en concepto de dueo since time immemorial, or since July 26, 1894.
Under C.A. No. 141, this requirement was retained. However, on
June 22, 1957, R.A. No. 1942 was enacted, amending C.A. No. 141,
and providing that adverse possession for a period of only 30
years was sufficient. On January 25, 1977, P.D. No. 1073 was
issued, further amending C.A. No. 141, particularly, Secs. 48
(b) and (c), Chapter VIII, making them applicable only to alienable
and disposable lands of the public domain which have been in open,
continuous, exclusive and notorious possession and occupation
by the applicant himself or thru his predecessor-in-interest under
a bona fide claim of acquisition of ownership, since June 12, 1945.
Unless a public land is reclassified and declared as alienable and
disposable, occupation thereof in the concept of owner, no matter
how long ago, cannot confer ownership or possessory rights.
(Public Estates Authority v. CA, G.R. No. 112172, Nov. 20, 2000; Spouses
Geminiano v. Alros, G.R. No. 135527, Oct. 19, 2000).
(b) An applicant seeking to establish ownership of land must
conclusively show that he is the owner in fee simple, for the
standing presumption is that all lands belong to the public
domain of the State, unless acquired from the Government either
by purchase or by grant, except land possessed by an occupant
and his predecessors since time immemorial, for such possession
would justify the presumption that the land had never been part
of the public domain, or that it had been private property even
before the Spanish conquest. In this case, the land in question is
admittedly public. (id.)
(c) To prove that the land in question formed part of the
alienable and disposable lands of the public domain, petitioners
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JUDGES
Ex Parte Proceedings. An ex parte ocular inspection without
notice to nor presence of the parties and after the case had already
been decided was highly improper. If respondent judge entertained
doubts that she wished to clarify after the trial had already
terminated, she should have ordered motu propio the reopening of
the trial for the purpose, with due notice to the parties, whose
participation therein is essential to due process. (Adan v. Judge
Abucejo-Luzano, A.M. No. MTJ-00-1298, Aug. 3, 2000).
Unjust Judgment. A charge of rendering an unjust
judgment will not prosper against a judge acting in good faith.
Absent the element of bad faith, an erroneous judgment cannot be
the basis of a charge for any said offenses - mere error of judgment
not being a ground for disciplinary proceedings. (Spouses Daracan
v. Judge Natividad, A.M. No. RTJ-99-1447, Sept. 27, 2000).
Prompt Disposition of Cases. Sec. 15, Article VII of the
Constitution provides that all cases filed before the lower courts
must be decided or resolved within three (3) months from the date
of submission. Non-observance of this mandate constitutes a
ground for administrative sanction against the defaulting judge.
(Mosquera v. Judge Legaspi, A.M. RTJ-99-1511, Jul. 10, 2000). If
respondent judge felt he could not decide the case within the
reglementary period, all he had to do was to ask for a reasonable
extension of time to decide the case. The Court, cognizant of the
caseload of judges and mindful of the difficulty encountered by
them in the seasonable disposition of cases, would almost always
grant the request. (Villanueva v. Estoque, A.M. No. RTJ-99-1494,
Nov. 29, 2000).
Bias and Prejudice. (a) Mere suspicion that the judge is
partial to one of the parties is not enough; there must be evidence
to prove the charge. Respondent judges efforts to have the parties
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POLITICAL LAW
FUNDAMENTAL POWERS OF THE STATE
Expropriation. (a) The requirements of E.O.1035, i.e., conduct of feasibility studies, information campaign and detailed
engineering/surveys are not conditions precedent to the issuance
of a writ of possession against the property being expropriated.
The requirements for the issuance of a writ of possession, once the
expropriation case is filed, are expressly and specifically governed
by Sec. 2, Rule 67 of the 1997 Rules of Civil Procedure. Pursuant to
said rule and the Robern Development Corporation case, the only
requisites for authorizing immediate entry in expropriation
proceedings are: (i) the filing of a complaint for expropriation
sufficient in form and substance; and (ii) the making of a deposit
equivalent to the assessed value of the property subject to expropriation. The owners of the expropriated land are entitled to legal
interest on the compensation eventually adjudged from the date
the condemnor takes possession of the land until the full compensation is paid to them or deposited in court. (Biglang-awa v. Judge
Bacalla, G.R. No. 139927 and 139936, Nov. 22, 2000).
(b) The acquisition of an easement of right-of-way falls within
the power of eminent domain. (Camarines Norte Electric Cooperative,
Inc. v. CA, G.R. No. 109338, Nov. 20, 2000).
BILL OF RIGHTS
Due Process. A denial of due process suffices to cast on
the official acts taken by whatever branch of government the
impression of nullity. A decision rendered without due process
is void ab initio and may be attacked directly or collaterally.
(Uy v. CA, G.R. No. 109557, Nov. 29, 2000).
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(c) In case of consented searches or waiver of the constitutional guarantee against obtrusive searches, it is fundamental that
to constitute waiver, it must first appear that the right exists; the
person involved had knowledge, either actual or constructive,
of the existence of such right; and the said person had an actual
intention to relinquish the right. The third condition did not exist
in the instant case. Neither was the search incidental to a valid
warrantless arrest. (People v. Figueroa, G.R. No. 134056, Jul. 6, 2000).
An alleged consent to a warrantless search and seizure cannot be
based merely on the presumption of regularity in the performance
of duty. This presumption, by itself, cannot prevail against the
constitutionally protected rights of an individual, and zeal in the
pursuit of criminals cannot ennoble the use of arbitrary methods
that the Constitution itself abhors. (People v. Baula, G.R. No. 132671,
Nov. 15, 2000).
Freedom of the Press. Academic Freedom. Campus
Journalism. Sec. 7 of the Campus Journalism Act prohibits the
expulsion or suspension of a student solely on the basis of articles
he or she has written, except when such article materially disrupt
class work or involve substantial disorder or invasion of the rights
of others. The power of the school to investigate is an adjunct of its
power to suspend or expel. It is corollary to the enforcement of
rules and regulations and the maintenance of a safe and orderly
environment conducive to learning. That power, like the power to
suspend or expel, is an inherent part of the academic freedom of
institutions of higher learning guaranteed by the Constitution.
(Miriam College Foundation, Inc. v. Court of Appeals, G.R. No. 127930,
Dec. 15, 2000).
Rights During Custodial Investigation. (a) Procedure that
police authorities shall observe in effecting arrests and conducting
investigations. Under Art. III, Sec. 12(1) of the Constitution, a
suspect in custodial investigation must be: (i) informed of his
right to remain silent; (2) warned that anything he says can and
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will be used against him; and (3) told that he has the right to
counsel, and that if he is indigent, a lawyer will be appointed to
represent him. In this case, accused-appellant was given no more
than a perfunctory recitation of his rights, signifying nothing more
than a feigned compliance with the Constitutional requirements.
(People v. Samolde, G.R. No. 128551, Jul. 31, 2000). It is always
incumbent upon the prosecution to prove at the trial that, prior to
in-custody questioning, the confessant was informed of his constitutional rights. The presumption of regularity of official acts does
not prevail over the constitutional presumption of innocence. Hence,
in the absence of proof that the arresting officers complied with the
above constitutional safeguards, extra-judicial statements, whether
inculpatory or exculpatory, made during custodial investigation,
are inadmissible not only against the declarant but more so against
third persons. This is so even if such statements are gospel truth
and voluntarily given. Such statements are useless except as
evidence against the very police authorities who violated the
suspects rights. (People v. Figueroa, G.R. No. 134056, Jul. 6, 2000).
(b) Custodial Investigation. [i] The protection under Sec. 12,
Art. III of the Constitution begins when a person is taken into
custody for investigation of his possible participation in the commission of a crime, or from the time he is singled out as a suspect
in the commission of the crime, although not yet in custody. Custodial investigation begins when it is no longer a general inquiry
into an unsolved crime but starts to focus on a particular person as
a suspect, i.e., when the police investigator starts interrogating or
exacting a confession from the suspect in connection with an alleged offense. The place of interrogation is not determinative of
the existence or absence of custodial investigation but the tone and
manner of questioning by the police authorities. Thus, there was
custodial investigation when the police authorities, upon their
arrest of some of the accused, immediately asked them regarding
their participation in the commission of the crime, even while they
were still walking along the highway on their way to the police
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it took about 8 years before the trial of this case was resumed, such
delay did not amount to violation of petitioners right to speedy
trial considering that such delay was not be attributable to the
prosecution. (Sumbang v. Gen. Court Martial, G.R. No. 140188,
Aug. 3, 2000). Factors to consider in determining whether or not
such right has been violated: length of delay, reasons for such
delay, assertion or failure to assert such rights by the accused and
the prejudice caused by the delay. (Blanco v. Sandiganbayan,
G.R. No. 136757-58, Nov. 27, 2000). [ii] Speedy Trial Act of 1998
(R.A. 8493). The authority of the Secretary of Justice to review resolutions of his subordinates even after an information has already
been filed in court does not present an irreconcilable conflict with
the 30-day period prescribed in Sec. 7 of the Speedy Trial Act of
1998. (Solar Team Entertainment, Inc. Hon. How, G.R. No. 140863,
Aug. 22, 2000).
(f) Double Jeopardy. Evolution of doctrine. Appeal by the
Government from verdicts of acquittal. As mandated by the
Constitution, statutes and cognate jurisprudence, an acquittal is
final and unappealable on the ground of double jeopardy, whether
it happens at the trial court level or before the CA. In general, the
rule that a remand to a trial court of a judgment of acquittal brought
before the Supreme Court on certiorari cannot be had unless there
is a finding of mistrial, as in Galman v. Sandiganbayan. (People v.
Hon. Velasco, G.R. No. 127444, Sept. 13, 2000).
CITIZENSHIP
If an alien [i] gave or donated his money to a citizen of the
Philippines so that the latter could invest it in the purchase of
private agricultural lands, or [ii] purchased private agricultural
lands for a citizen of the Philippines, such acts, provided they are
done in good faith, do not violate our laws. What was prohibited
by the Anti-Dummy Law and the Retail Trade Law then prevailing
were the acquisition by an alien for himself of private lands in the
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ELECTION LAWS
Voters Registration Act of 1996 (R.A. No. 8189) (De Guzman
v. COMELEC, G.R. No. 129118, Jul 19, 2000).
Party-List System. Under this system, any national, regional
or sectoral party or organization registered with the COMELEC
may participate in the election of party-list representatives who,
upon their election and proclamation, shall sit in the House of
Representatives as regular members. To determine the winners in
a Philippine-style party-list election, the Constitution and R.A. No.
7941 mandate at least four invariable parameters: First, the twenty
percent allocation the combined number of all party-list
congressmen shall not exceed 20% of the total membership of the
House of Representatives, including those elected under the
party-list. The 20% allocation is not mandatory but merely a ceiling. Second, the two percent threshold only those parties garnering a minimum of 2% of the total valid votes cast for the party-list
system are qualified to have a seat in the House of Representatives. Third, the three-seat limit each qualified party, regardless
of number of votes it actually obtained, is entitled to a maximum
of three seats; that is, one qualifying and two additional seats.
Fourth, proportional representation the additional seats which a
qualified party is entitled to shall be computed in proportion to
their total number of votes. (Veterans Federation Party v. COMELEC,
G.R. No. 134781, Oct. 6, 2000).
House of Representatives Electoral Tribunal (HRET).
Under Art. VI, Sec. 17 of the Constitution, the HRET has sole and
exclusive jurisdiction over all contests relative to the election,
returns, and qualifications of members of the House of Representatives. Once a winning candidate is proclaimed, takes his oath,
and assumes office as a member of the House of Representatives,
COMELECs jurisdiction over protests relating to his election,
returns and qualifications ends, and the HRETs own jurisdiction
begins. (Guerrero v. COMELEC, G.R. No. 137004, Jul. 26, 2000).
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G.R. No. 138298, Nov. 29, 2000). The Supreme Court has inherent
power to suspend its own rules in a particular case in order to do
justice. For equitable considerations, the Court has relaxed the
application of otherwise stringent rules by giving due course to
appeals filed out of time, treating petitions for certiorari as
petitioners for review, and remanding the case for trial even though
their previous dismissal had become final. (Anacleto v. Van Twest,
G.R. No. 131411, Aug. 29, 2000).
(c) Locus Standi. A party suing as a taxpayer must specifically prove that he has sufficient interest in preventing the illegal
expenditure of money raised by taxation. In line with the liberal
policy of the Court on locus standi when a case involves an issue of
overarching significance to society, the Court finds the petitioners,
as members of the House of Representatives, to have legal
standing to file the petitions at bar, as they claim that the operation
of jai-alai constitutes an infringement by PAGCOR of the
legislatures exclusive power to grant franchise. (Del Mar v.
PAGCOR, G.R. No. 138298, Nov. 29, 2000). The question of standing
is whether a party has alleged such a personal stake in the outcome of the controversy as to assure that concrete adverseness
which sharpens the presentation of issue upon which the court so
largely depends for illumination of difficult constitutional
questions. A citizen acquires standing only if he can establish that
he has suffered some actual or threatened injury as a result of the
allegedly illegal conduct of the government; the injury is fairly
traceable to the challenged action; and the injury is likely to be
redressed by a favorable action. A taxpayer is deemed to have a
standing to raise a constitutional issue when it is established that
public funds have been disbursed in alleged contravention of the
law or the Constitution. Thus, a taxpayers action is properly
brought only when there is an exercise of Congress of its taxing or
spending power. In the final analysis, the Court retains the power
to decide whether or not it will entertain a taxpayers suit. In the
case at bar, there being no exercise by Congress of its taxing or
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REMEDIAL LAW
COURTS
Regional Trial Court (RTC). Jurisdiction. (a) The amended
complaint sought to enjoin petitioners from rescinding the contract
and taking over the property. While possession was a necessary
consequence of the suit, it was merely incidental. The main issue
was whether SBMA could rescind the Agreement, a dispute
incapable of pecuniary estimation; hence, within the jurisdiction
of the RTC. (SBMA v. Universal International Group of Taiwan,
G.R. No. 131680, Sept. 14, 2000). (b) The original complaint
(for specific performance and damages) of K against Q was within
the jurisdiction of the trial court. The amended complaints with
regard to Q alleged substantially the same causes of action against
Q and new causes of action against G (the condominium project
developer) and its officers. Insofar as the causes of action directed
against Q, they were still within the jurisdiction of the trial court.
Yet, with regard to the causes of action against G and its officers,
the Housing and Land Use Regulatory Board (HLURB) had
jurisdiction over them pursuant to Sec. 1, PD 1344. Anyway, the
filing of the first amended complaint did not result in ousting the
trial court of its jurisdiction over the entire case because it retained
jurisdiction over the cause of action filed against Q. (Que v. CA,
G.R. No. 135442, Aug. 31, 2000).
Forum Non Conveniens. A Philippine court or agency
may assume jurisdiction over the case if it chooses to do so
provided: [i] The Philippine court is one to which the parties
may conveniently resort to; [ii] The Philippine court is in a
position to make an intelligent decision as to the law and the facts;
and [iii] The Philippine court has or is likely to have power to
enforce its decision. In this case, all the incidents occurred outside
the Philippines. All acts complained of took place in China. And
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MOTION TO DISMISS
(1) Grounds. (a) Forum-shopping. From petitioners motion
before the trial court and her petition before the CA, it is clear that
there is forum-shopping. The motion and the petition before the
CA pertain to the same subject amendment of the compromise
agreement. Said motion had not yet been resolved by the trial
court when the CA petition was filed. Forum-shopping occurs not
only when a final judgment in one case will amount to res judicata
in another, but also when the elements of litis pendentia are present.
The filing of multiple suits involving the same parties for the same
cause of action, either simultaneously or successively, for the purpose of obtaining a favorable judgment amounts to forum-shopping. (Quinsay v. CA, G.R. No. 127058, August 31, 2000). There is
forum shopping whenever, as a result of an adverse decision in
one forum, a party seeks a favorable opinion (other than by appeal
or certiorari) in another. (PEZA v. Hon. Vianzon, G.R. No. 131020,
Jul. 20, 2000). A party is not permitted to pursue simultaneous
remedies in two different fora. This practice ridicules the judicial
process, plays havoc with the rules of orderly procedure, and is
vexatious and unfair to the other parties to the case. (Heirs of
Penaverde v. Heirs of Penaverde, G.R. No. 131141, Oct. 20, 2000).
(b) Conclusiveness of Judgment. The rule precludes the
relitigation of a particular fact or issue in another action between
the same parties based on a different claim or cause of action. The
previous judgment is conclusive in the second case, only as to
those matters actually and directly controverted and determined
and not as to matters merely involved therein. (Rizal Surety &
Insurance Co. v. CA, G.R. No. 112360, Jul 18, 2000).
(c) Res Judicata. Stare Decisis. The doctrine of the law of the
case has certain affinities with, but is clearly distinguishable from,
the doctrines of res judicata and stare decisis, principally on the ground
that the rule of the law of the case operates only in the particular
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case and only as a rule of policy and not as one of law. The ruling
covered by the doctrine of law of the case is adhered to in the
single case where it arises, but is not carried into other cases as a
precedent. On the other hand, under the doctrine of stare decisis,
once a point of law has been established by the court, that point of
law will, generally, be followed by the same court and by all courts
of lower rank in subsequent cases where the same legal issue is
raised. (Ayala Corp. v. Rosa-Diana Realty and Development Corp.,
G.R.No. 134282, Dec. 1, 2000). In this instance, the law of the case
holds that petitioner has the equity of redemption without any
qualification whatsoever, that is, without the right of redemption.
Whether or not the law of the case is erroneous is immaterial.
It still remains the law of the case. (Huerta Alba Resort, Inc. v. CA,
G.R. No. 128567, Sept. 1, 2000).
(d) Lack of Cause of Action. There was no need to plead
such ground in a motion to dismiss or in the answer since the
same was not deemed waived if it was not pleaded. (Financial
Building Corp. v. Forbes Park Association, Inc., G.R. No. 133119,
Aug. 17, 2000). In a motion to dismiss based on failure to state a
cause of action, there cannot be any question of fact or doubt or
difference as to the truth or falsehood of acts, simply because there
are no findings of fact in the first place. What the trial court merely
does is to apply the law to the facts as alleged in the complaint,
assuming such allegations to be true. Therefore, a decision
dismissing a complaint based on failure to state a cause of
action necessarily precludes a review of the same decision on
questions of fact. (China Road and Bridge Corp. v. CA, G.R. No. 137898,
Dec. 15, 2000).
(2) Principles. (a) In the event that a defending party has a
ground for dismissal and a compulsory counterclaim at the same
time, he must choose only one remedy. If he decides to file a
motion to dismiss, he will lose his compulsory counterclaim. But
if he opts to set up his compulsory counterclaim, he may still
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able to show that there is a justifiable reason for his failure to pay
the correct amount of docket fees within the prescribed period.
(Yambao v. CA, G.R. No. 140894, Nov. 27, 2000).
Notice of Appeal. The 1997 Rules of Civil Procedure, which
took effect on July 1, 1997, provide that a notice of appeal must be
filed within the 15-day reglementary period from receipt of the
decision or order appealed from and the docket and other lawful
fees must also be paid within the same period. (Chan v. CA,
G.R. No. 138758, Jul. 6, 2000; Barangay 24 of Legaspi City v. Imperial,
G.R. No. 140321, Aug. 24, 2000).
Wrong Mode of Appeal. On the 14th day following his
receipt of the adverse RTC judgment, petitioner opted to file a
motion for reconsideration. Subsequently, he received a copy of
the RTCs order denying his motion for reconsideration, on which
date, he had only one day left, within which to file with the CA a
petition for review. However, on said date, petitioner filed a
notice of appeal. He palpably availed of the wrong mode of
appeal. And since he never instituted the correct one, he lost it.
(Yao v. CA, G.R. No. 132428, Oct. 24, 2000).
PETITION FOR REVIEW FROM THE RTC TO THE CA
Copies of Assailed Decision. A petition for review filed
before the CA must contain a certified true copy or duplicate
original copy of the assailed decision, final order or judgment.
(Lee v. CA, G.R.No. 136421, Nov. 23, 2000). However, the other
supporting papers attached to the petition are not required to be
certified true copies as well. In this case, the Contract to Sell, which
is the center of the controversy, was reproduced verbatim in the
MTC Decision, a duplicate original of which was attached to the
Petition. Moreover, a certified true copy of the Contract was
attached to the Motion for Reconsideration. Hence, the appellate
court erred in denying due course to the Petition. (Cusi-Hernandez
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v. Spouses Diaz, G.R. No. 140436, Jul. 18, 2000). Substantial compliance with requirement. (Uy v. BIR, G.R. No. 129651, Oct. 20, 2000).
APPEALS TO THE CA
Appellate Docket Fees. With the exception of Sec. 1 (b),
which refers to the failure to file notice of appeal or the record of
appeal within the reglementary period, the grounds enumerated
in Rule 50, Sec. 1, are merely directory and not mandatory.
Despite the jurisdictional nature of the rule on payment of docket
fee, the appellate court still has the discretion to relax the rule in
meritorious cases, as in this case, where appellant was, from the
start, ready and willing to pay the correct docket fee, but was
unable to do so due to the error of an officer of the court in
computing the correct amount. (Ayala Land, Inc. v. Spouses Carpo,
G.R. No. 140162, Nov. 22, 2000). The power of discretionary
dismissal of appeal should be used in accordance with the tenets
of justice and fair play and with a great deal of circumspection,
taking into consideration all attendant circumstances. (Tedora v.
CA, G.R. No. 142021, Nov. 29, 2000).
Late Appeal. A motion contesting a late appeal may be filed
before the appellate court even after the transmittal of the records
therein. The legality of the appeal may be raised at any stage of
the proceedings in the appellate court, and the latter is not precluded from dismissing the petition on the ground of its being out
of time. A recognition of the merit of the petition does not necessarily carry with it any assumption or conclusion that it has been
timely filed. (Manila Memorial Center, Inc. v. CA, G.R. No. 137122,
Nov. 15, 2000).
Motion for Reconsideration. A motion for reconsideration
is not pro forma just because it reiterated the arguments earlier
passed upon and rejected by the appellate court. The Court has
explained that a movant may raise the same arguments, precisely
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to convince the court that its ruling was erroneous. (Security Bank
and Trust Co., Inc. v. Cuenca, G.R. No. 138544, Oct. 3, 2000).
APPEAL BY CERTIORARI TO THE SUPREME COURT
Petition for Review on Certiorari (Rule 45). (a) Factual
questions may not be raised in a petition for review on certiorari.
(American President Lines, Ltd. v. CA, G.R. No. 110853, Jul 31, 2000;
Telefunken Semiconductors Employees Union-FFW v. CA, G.R. Nos.
143013-14, Dec. 18, 2000).
(b) Exceptions to the rule: [i] When the factual findings
complained of are devoid of support from the evidence on record
or the assailed judgment is based on a misappreciation of
facts. (Metropolitan Bank and Trust Co. v. Tonda, G.R. No. 134436,
Aug. 16, 2000); [ii] When the factual findings of the RTC and the
CA are opposite. (Cordial v. Miranda, G.R. No. 135495, Dec. 14, 2000).
(c) The failure of petitioner to attach an authentic copy of
the CA Decision, which he claims annulled the trial court decision,
is an added reason why this petition should be denied. (Buaya v.
Stronghold Insurance Co., Inc., G.R. No. 139020, Oct. 11, 2000).
(d) Petition filed under Rule 45 of the Rules of Court,
alleging that the appellate court and regional trial court acted with
grave abuse of discretion amounting to lack of jurisdiction, should
be dismissed outright, for being a wrong remedy. Nevertheless, in
the interest of justice, the Court considered the petition and the
issues therein as if they were properly brought by way of a special
civil action for certiorari under Rule 65. (Spouses Gerardo v. CA,
G.R. No. 121104, Nov. 27, 2000).
ORIGINAL CASES BEFORE THE CA
Under Rule 46, Sec. 7 of the 1997 Rules of Civil Procedure,
when the respondent in an original action filed with the court fails
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to file its comment, the case may be decided on the basis of the
evidence on record without prejudice to disciplinary action against
the disobedient party. Concomitant thereto is the rule that pursuant to Rule 51, Sec. 1 (b) (1), where no comment is filed upon the
expiration of the period to comment in an original action or a
petition for review, the case shall be deemed submitted for
decision. Both provisions are applicable to a petition for review
filed with the Supreme Court as provided in Rule 56, Sec. 2 (a) of
the Rules. (Thermochem Inc. v. Naval, G.R. No. 131541, Oct. 20, 2000).
ANNULMENT OF JUDGMENTS OR FINAL ORDERS
(a) Exclusive Jurisdiction of CA. The CA has exclusive
jurisdiction over actions for annulment of trial court decisions. An
RTC has no authority to annul the final judgment of a co-equal
court. (Nery v. Leyson, G.R. No. 139306, Aug. 29, 2000).
(b) There is no such remedy as annulment of the judgment
of the HLURB or the Office of the President by the CA. Assuming
arguendo that the annulment petition can be treated as a petition
for review under Rule 43 of the 1997 Rules of Civil Procedure, the
same should have been dismissed by the CA, because no error of
judgment was imputed to the HLURB and the Office of the
President. Fraud and lack of jurisdiction are beyond the province
of petitions under Rule 43, as it covers only errors of judgment.
(Atty. Cole v. CA, G.R. No. 137551, Dec. 26, 2000).
(c) A judgment can be the subject of an action for annulment
on two grounds: [i] the judgment is void for want of jurisdiction or
lack of due process of law; or [ii] the judgment has been obtained
by fraud. An action to annul a final judgment on the ground of
fraud will lie only if the fraud is extrinsic or collateral in character.
The decision of the trial court cannot be annulled on the basis of
petitioners allegation that the purported deed of sale of the property under scrutiny was dubious and forged, for this kind of fraud,
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(b) Under Sec. 6, Rule 71, the court has the discretion either
to impose a fine of not exceeding P1,000 or imprisonment of not
more than 6 months, or both, for indirect contempt. Sec. 7 of the
same rule provides for indefinite incarceration in civil contempt
proceedings to compel a party to comply with the order of the
court. This 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. However, the power to
punish for contempt should only be exercised on the preservative
and not on the vindictive principle. (Quinio v. CA, G.R. No. 113867,
Jul. 13, 2000; United Homeowners v. Justice Sandoval-Gutierrez,
A.M. No. CA-99-30, Oct. 16, 2000). A party cannot be held in indirect contempt for disobeying an order which is not addressed to
him. (Caas v. Hon. Castigador, G.R. No. 139844, Dec. 15, 2000;
United Homeowners v. Justice Sandoval-Gutierrez, A.M. No. CA-99-30,
Oct. 16, 2000).
Escheat. Bank deposits. (Republic v. CA, G.R. No. 95533,
Nov. 20, 2000).
EJECTMENT
(a) Execution Pending Appeal. Only the execution of the
Metropolitan Trial Courts judgment pending appeal with the RTC
may be stayed by a compliance with the requisites provided in
Rule 70, Sec. 19 of the 1997 Rules of Civil Procedure. Once the
RTC has rendered a decision in its appellate jurisdiction, such
decision shall, under Rule 70, Sec. 21, be immediately executory,
without prejudice to an appeal, via a petition for review, to the CA
and/or the Supreme Court. (Uy v. Hon. Santiago, G.R. No. 131237,
July 31, 2000).
(b) Remand of Final Decision for Execution. Since the RTC
affirmed in toto the decision of the MTC in an ejectment suit and
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the affirming decision had become final and executory, the case
should be remanded to the MTC for execution. The only exception
is the execution pending appeal, which can be issued by the RTC
under Sec. 8 of Rule 70 or by the CA or the Supreme Court under
Sec. 10 of the same Rule. Sec. 1, Rule 39 of the 1997 Rules of Civil
Procedure does not authorize the appellate court which has
resolved the appeal to order the execution of its own judgment.
What is authorized is the execution of the judgment of the court of
origin even before the remand to the latter by the appellate court
of the records of the case, solely on the basis of the certified true
copy of the judgment of the appellate court and the entry thereof.
(Jason v. Judge Ygaa, A.M. No. RTJ-00-1543, Aug. 4, 2000).
(c) Case Deemed Submitted for Resolution. There was no
error in declaring the ejectment case submitted for decision based
solely on the complaint, upon failure of petitioner to appear at the
preliminary conference. Under Adm. Circular No. 28 dated
July 3, 1989, submission of memoranda is not a mandatory
requirement. Failure of petitioner to submit her memoranda after
having been required to submit the same does not preclude the
RTC from rendering judgment on the basis of the entire records of
the proceedings in the court of origin. The fact that the court also
sent a copy of the order to petitioner does not mean that the
reglementary period shall be reckoned from the date of receipt of
said order by petitioner. The rule is that it is the date of receipt by
counsel from which the reglementary period must be counted,
it being the counsels responsibility, not the clients, to file
the required memorandum in due time. (Tubiano v. Raso,
G.R. No. 132598, Jul. 13, 2000).
(d) Enforcement of Writ of Execution. Under the Rules of
Court, immediate enforcement of a writ of execution in ejectment
cases is carried out by giving the defendant notice of such writ,
and making a demand that defendant comply therewith within a
reasonable period, normally from 3 to 5 days, and it is only after
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such period that the sheriff enforces the writ by the bodily removal
of the defendant and his personal belongings. And if demolition is
involved, there must first be a hearing on motion and due notice
for the issuance of a special order under Sec. 14 of Rule 39.
(Lu v. Judge Siapno, A.M. MTJ-99-1199, Jul. 6, 2000). Sec. 9, Rule 141
requires that the sheriffs estimate of expenses in the execution of a
writ should be approved by the judge. (Canlas v. Sheriff Balasbas,
AM No. P-99-1317, Aug. 1, 2000).
SPECIAL PROCEEDINGS
Judicial Settlement of Estate. Claims of Compulsory Heirs.
Since the intestate court had ascertained in the settlement proceedings who the lawful heirs are, there is no need for a separate or
independent action to resolve claims of legitimate children of the
deceased. The court first taking cognizance of such proceeding
acquires exclusive jurisdiction to resolve all questions concerning
the settlement of the estate to the exclusion of all other courts or
branches of the same court. (Chan Sui Bi v. CA, G.R. No. 129507,
Sept. 29, 2000). Claims of title to, or right of possession of, personal
or real property, made by the heirs themselves, by title adverse to
that of the deceased, or made by third persons, cannot be entertained by the probate court. In this case, however, private respondent who refused to vacate the house and lot being eyed as part of
the estate of the deceased, cannot be considered an outside party
for he is one of the compulsory heirs of the former. As an exception, when the parties are all heirs of the decedent, it is optional
upon them to submit to the probate court the question of title to
the property. Here, the probate court is competent to decide the
question of ownership. (Cortes v. CA, G.R. No. 117417, Sept 21, 2000).
Settlement of Estate. The order of the probate court authorizing, or subsequently approving, the absolute sale of property of
the estate in favor of a specified buyer constitutes a final determination of the rights not only of the buyer and the estate but also of
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v.
CRIMINAL PROCEDURE
PROSECUTION OF OFFENSES
Information. (a) Sufficient: [i] Even when the date of
commission of rape is not stated with certainty, as the date of
commission is not an element of said crime and what is essential,
being the occurrence of rape, not the time of its commission.
(People v. Castillo, G.R. No. 130205, July 5, 2000; People v. Cabigting,
G.R. No. 131806, Oct. 20, 2000). [ii] Even when rape and frustrated
homicide were charged in a single information. (People v. Honra,
G.R. No. 136012-16, Sept. 26, 2000). [iii] An information alleging
conspiracy can stand even if only one person is charged, but the
court cannot pass verdict on the co-conspirators who were not
charged in the information. (Garcia v. CA, G.R. No. 134730,
Sept. 18, 2000). In the cases referred to in [i] and [ii] above, no
timely motion to quash was filed and the accused-appellant
actively participated in the trial of the cases.
(b) Designation of Offense. It is not the designation of the
offense in the information that is controlling but the allegations
therein which directly apprise the accused of the nature and cause
of the accusation against him. [i] An information was sufficient
where it clearly charged the accused of raping his niece, who was
a minor, although in the preamble, it stated that the accused
was being charged with the rape of a woman under 12 years of
age or who was demented. (People v. Banihit, G.R. No. 132045,
Aug. 25, 2000).
Amendment of Information. The amendment of the information for rape in order to allege the relationship of accusedappellant to the victim is clearly substantial in character and can
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case (People v. Madraga, G.R. No. 129299, Nov. 15, 2000), and does
not constitute a valid ground for a motion to quash the information. (Raro v. Sandiganbayan, G.R. No. 108431, Jul. 14, 2000).
(b) The right to preliminary investigation is waived
when the accused fails to invoke it before or at the time of entering
a plea on arraignment. (People v. Palijon, G.R. No. 123545,
Oct. 18, 2000; People v. Deang, G.R. No. 128045, Aug. 24, 2000).
Preliminary Investigation by a Municipal Trial Court Judge.
When a preliminary investigation is conducted by a municipal
trial court judge, he is obligated, upon conclusion of the preliminary investigation, to transmit to the provincial or city fiscal, for
appropriate action, the resolution of the case which must contain a
brief statement of findings of fact and of the law supporting said
resolution and attach thereto: [i] the warrant, if the arrest is by
virtue of a warrant; (ii) the affidavits and other supporting
evidence of the parties; (iii) the undertaking or bail of the accused
(iv) the order of release of the accused and cancellation of his bail
bond, if the resolution is for the dismissal of the complaint.
(Directo v. Bautista, A.M. No. MTJ-99-1205, Nov. 29, 2000).
Injunction. (a) As a general rule, the Court will not issue
writs of prohibition or injunction, preliminary or final, to enjoin or
restrain, criminal prosecution. With more reason will injunction
not lie when the case is still at the stage of preliminary investigation or reinvestigation. However, in extreme cases, the Court laid
the following exceptions: [i] when the injunction is necessary to
afford adequate protection to the constitutional rights of the
accused; [ii] when it is necessary for the orderly administration of
justice or to avoid oppression or multiplicity of actions; [iii] when
there is a prejudicial question which is subjudice; [iv] when the acts
of the officer are without or in excess of authority; [v] where the
prosecution is under an invalid law, ordinance or regulation;
[vi] when double jeopardy is clearly apparent; [vii] where the Court
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motion for a bill of particulars. The failure to move for specifications or the quashal of information on any of the grounds
provided for in the Rules of Court deprives the accused of the
right to object to evidence which could be lawfully introduced and
admitted under an information of more or less general terms but
which sufficiently charges the accused with a definite crime.
(People v. Marquez, G.R. No. 137408-10, Dec. 8, 2000).
MOTION TO QUASH
At any time before entering his plea, the accused may move
to quash the information on any of the grounds for a motion to
quash. Failure to assert such grounds before the accused pleads to
the information, either because he failed to file a motion to quash
or failed to allege such grounds in his motion, shall be deemed a
waiver thereof, except the following: [i] no offense is charged in
the information; [ii] the court trying the case has no jurisdiction
over the offense charged; [iii] the offense or penalty therefore has
been extinguished; and [iv] the accused would be twice put in
jeopardy. The special civil action for certiorari and prohibition is
not the proper remedy to assail the denial of a motion to quash an
information. (Raro v. Sandiganbayan, G.R. No. 108431, Jul. 14, 2000).
TRIAL
Discharge of Accused to be a State Witness. The discharge
of an accused in order that he may be utilized as a state witness is
expressly left to the sound discretion of the court. (People v. ExMayor Peralta, G.R. No. 121971, Oct. 16, 2000). If the discharged
witness should lack some of the qualifications enumerated by Sec.
9, Rule 119 of the Rules of Court, his testimony will not, for that
reason alone, be discarded or disregarded. Stated differently, the
improper discharge of an accused will not render inadmissible his
testimony nor detract from his competency as a witness. Once the
discharge is ordered, any future development showing that any,
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some, or all, of the five conditions have not been actually fulfilled,
may not affect the legal consequences of the discharge, and the
admissibility and credibility of his testimony if otherwise
admissible and credible. (People v. Bariquit, G.R. No. 122733,
Oct. 2, 2000).
Deemed Trial In Absentia. The trial court did not render
judgment against accused de la Torre, notwithstanding that he
was arraigned and pleaded not guilty to both charges. Under the
circumstances, he should be deemed to have been tried in absentia
and, considering the evidence presented by the prosecution against
him, convicted of the crime charged together with the appellant.
(People v. Listerio, G.R. No. 122099, July 5, 2000). Trial in absentia
cannot apply to the accused who have not been arraigned. (People
v. Taliman, G.R. No. 1099143, Oct. 11, 2000).
Demurrer to Evidence. (a) With the grant by the RTC of the
demurrer to evidence, the same constituted a valid acquittal and
any further prosecution of petitioners on the same charge would
expose them to being put twice in jeopardy for the same offense. A
dismissal of a criminal case by the grant of a demurrer to evidence
is not appealable. (Ong v. People, G.R. No. 140904, Oct. 9, 2000).
(b) From a denial of a demurrer to evidence, appeal in due
time is the proper remedy, not certiorari, in the absence of grave
abuse of discretion or excess of jurisdiction, or an oppressive exercise of judicial authority. Consequently, if denial of the demurrer
to evidence is attended by grave abuse of discretion, the denial
may be assailed through a petition for certiorari. In the instant case,
there is no sufficient evidence to support a verdict of guilt against
the petitioners. All documentary evidence submitted by the private complainant were uncertified photocopies, the signatures on
which were either unidentified or unauthenticated. The due execution and authenticity of the documentary evidence presented
not having been proved, and since they were mere photocopies,
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[XXVII, 2
RULES OF ADMISSIBILITY
DOCUMENTARY EVIDENCE
Best Evidence Rule. (W-Red Construction and Devt. Corp. v.
CA, G.R. No. 122648, Aug. 17, 2000). Requisites for secondary
evidence to be admissible. (Santos v. Santos, G.R. No. 139524,
Oct. 12, 2000).
Parol Evidence Rule. Sec. 9, Rule 130 of the Revised
Rules of Court expressly requires that for parol evidence to be
admissible to vary the terms of the written agreement, the mistake
or imperfection thereof or its failure to express the true agreement
of the parties should be put in issue by the pleadings. (Pilipinas
Bank v. CA, G.R. No. 141060, Sept. 29, 2000).
TESTIMONIAL EVIDENCE
WITNESSES
(a) Child. A child, regardless of age, can be a competent
witness if he can perceive and, perceiving, can make known his
perceptions to others and that he is capable of relating truthfully
facts upon which he is examined. (People v. Mucam, G.R. No. 137276,
Jul. 13, 2000; People v. Librando, G.R. No. 132251, Jul 6, 2000). The
determination of the competency and credibility of a child to testify rests primarily with the judge who sees the witness, notices
her manner, her apparent possession or lack of intelligence, as
well as her understanding of the obligation of an oath. (People v.
Pajo, G.R. No. 135109-13, Dec. 18, 2000).
(b) Illiterates - must be treated with the broadest understanding, without in any way sacrificing the quest for truth. (People
v. de la Cruz, G.R. No. 118967, Jul. 14, 2000). Intellectual weakness,
no matter what form it assumes, is not a valid objection to the
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[XXVII, 2
APPRECIATION OF EVIDENCE
CREDIBILITY OF WITNESSES
(a) Test of Credibility. There is no single test to determine
with all exactitude the probity of testimony and the courts can
only give conformity to the quotidian knowledge, observation and
experience of man. The most positive testimony may be
contradicted by the fact that it is contrary to common observation
or experience or the common principles by which the conduct of
mankind is governed. The courts are not required to believe that
which they judicially know to be incredible. (People v. Bacalso,
G.R. No. 129055, Sept. 25, 2000). Evidence to be believed must not
only come from the mouth of a credible witness but must itself be
credible. [i] In one case, the killing took place on the eve of a
wedding. The prospective groom was one of those accused of the
crime, while the prospective bride was a relative of the deceased.
Given these facts, why should accused-appellants want to kill on
the eve of a wedding and mar the joy of the occasion, when there
was no sufficient reason to do so. Moreover, it appears that when
the accused-appellants first arrived in 1986 in Barangay Dumarao
to settle there, they lived in the house of the deceased and stayed
there until they were able to build their own house. They did not
have any quarrel. One of the accused-appellants said he and the
deceased regarded each other as brothers. And even after the death
of the victim, his widow went to the house of accused-appellants
to borrow palay. Given these facts, why should accusedappellants kill the deceased? (People v. Giganto, G.R. No. 123077,
Jul. 20, 2000). [ii] In another case, the sons response to the
events was far from the natural reaction of one who just witnessed
the grisly murder of his own mother. With all bitterness and
indignation expected of a person similarly situated, it is quite odd
that accused-appellant would keep the matter to himself and
fail to disclose his knowledge of the crime to the police authorities, or even to any his relatives, despite his presence during the
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(f) Coached Witness. The argument that the victim had lost
her credibility since she admitted that she was coached by her
grandmother has no merit. The victim, an innocent and guileless
5-year old when the crime was committed against her, cannot be
expected to recall every single detail of the brutal experience that
she went through in the hands of the accused. At the time of her
testimony, she had stopped schooling and did not have the gift
of articulation. Besides, she testified on her harrowing experience
two (2) years after the incident. (People v. Mayorga, G.R. No. 135405,
Nov. 29, 2000).
(g) Testimony Credible in Part. The witnesses identification
of erstwhile accused as one of the perpetrators of the crime was
not given credence by the trial court. That, however, did not entirely impugn her credibility as a witness as regards her identification of the appellants as the perpetrators of the crime. The settled
rule is that the testimony of a witness may be believed in part and
disbelieved in part as the corroborative evidence or improbabilities of the case may require. Even where the witness has been
found to have deliberately falsified the truth in some particulars,
it is not required that the whole of his testimony be rejected.
(People v. Alvarez, G.R. No. 121769, Nov. 22, 2000).
IDENTIFICATION OF ACCUSED
(a) Crime Scene. The issue of illumination of the crime scene
or its visibility is indispensable in the identification of a criminal
offender. That the witness was able to recognize appellant by
the light of the gas lamp is not far fetched. (People v. de la Cruz,
G.R. No. 118967, Jul. 14, 2000).
(b) Out-of-Court Identification. Totality of Circumstances
Test. Police Line-up. In resolving the admissibility of and
relying on out-of-court identification of suspects, the totality of
circumstances test has been adopted, where the following factors
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[XXVI, 2
TAXATION
INCOME TAX
Deductions. Capital losses. The equity investment in
shares of stock held by CBC in its Hongkong subsidiary is not an
indebtedness and is a capital (not an ordinary) asset. Assuming
that such equity investment has indeed become worthless, the
loss sustained is capital and not an ordinary loss. Capital loss can
only be deducted from capital gains, if any, derived by the
taxpayer during the same taxable year when the securities
became worthless. (China Banking Corp. v. CA, G.R. No. 125508,
Jul. 19, 2000)
BUSINESS TAXES
Specific Tax. Ad Valorem Tax. Claim for tax credit. Credit
Tax Numeric Codes. (Evangelista v. People, G.R. No. 108135-36,
Aug. 14, 2000).
REAL PROPERTY TAX
Based on Actual Use. LRT Stations and carriageways. Under the Real Property Tax Code, real property is classified for
assessment purposes on the basis of actual use, which is defined as
the purpose for which the property is principally or predominantly utilized by the person in possession of the property. Unlike public roads which are open for use by everyone, the LRT is
accessible only to those who pay the required fare. It is thus
apparent that petitioner does not exist solely for public service,
and that the LRT carriageways and terminal stations are not exclusively for public use. Moreover, the charter of petitioner (E.O. No.
603) does not provide for any real estate tax exemption in its favor.
Even granting that the national government indeed owns the
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National Secretary
- Jaime M. Vibar
National Treasurer
- Ivan John E. Uy
- Josefina S. Angara
- Ma. Celia H. Fernandez
- Victor C. Fernandez
- Francis V. Sobrevias
ISSN 0118-9247
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Vol. XXVII,
Vol. XXVII,
J OURNAL
No. 1
OF THE
I NTEGRATED B AR
OF THE
P HILIPPINES
1st
2001
No. 1