Cardorette v. United States ( 1993 )


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  • USCA1 Opinion








    February 22, 1993

    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT

    ____________________


    No. 92-1181

    ALBERT J. CADORETTE, ET AL.,

    Plaintiffs, Appellees,

    v.

    UNITED STATES OF AMERICA,

    Defendant, Appellant.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Walter Jay Skinner, U.S. District Judge] ___________________

    ____________________

    Before

    Breyer, Chief Judge, ___________
    Campbell, Senior Circuit Judge, ____________________
    and Torruella, Circuit Judge. _____________

    ____________________

    Jacques B. Gelin, Attorney, Department of Justice, with whom _________________
    Barry M. Hartman, Acting Assistant Attorney General, A. John ___________________ ________
    Pappalardo, United States Attorney, George B. Henderson, II, Assistant __________ _______________________
    United States Attorney, and David C. Shilton, Attorney, Department of ________________
    Justice, were on brief for United States.
    John D. Hallisey for appellee Jean Stevenson Clark. ________________
    Arthur C. Croce for appellees Roger Treat Jackson, Jr., Margery ________________
    Jackson Chambers, Barbara Jackson Allgeier, and Betsey Jackson
    Patterson.
    ____________________

    ____________________

    [NOTE FROM SYSTEMS: APPENDIX I is not available on the EDOS
    publication of this opinion.]
















    BREYER, Chief Judge. In 1972 the United States ____________

    bought eight acres of land in Truro, Massachusetts, to add

    to the Cape Cod National Seashore. Unfortunately, the

    seller, Elizabeth Freeman, owned only a small percentage

    share of the eight acres that she purported to convey.

    Elizabeth's long-lived great-grandfather, Edmund Freeman,

    (whom we shall call "Edmund the Elder") had owned 100% of

    the eight acres when he died in 1870, but, after his death,

    the property descended, through inheritance, to many

    different children, grandchildren, and great-grandchildren,

    each of whom obtained title to various small percentage

    interests.

    In 1984, plaintiff Jean Stevenson Clark brought

    this action against the Government to "quiet title" to what

    she said was her percentage share in the property -- a share

    she claimed to have obtained from the grandchild of one of

    Elizabeth's aunts. 28 U.S.C. 2409a(a) ("The United States

    may be named as a party defendant in a civil action under

    this section to adjudicate a disputed title to real property

    in which the United States claims an interest"). Five years

    later four grandchildren of a different aunt intervened in

    the lawsuit in order to assert similar claims of ownership.

    Eventually, the district court entered a judgment that tried





















    to sort out precisely who owned what, and set the

    compensation that plaintiff and intervenors must receive

    should the Government decide to keep their interests in the

    property. 28 U.S.C. 2409a(b) ("if the final determination

    [of the plaintiff's 'quiet title' action] shall be adverse

    to the United States, the United States nevertheless may

    retain such possession or control of the real property or of

    any part thereof as it may elect, upon payment [of just

    compensation] to the person . . . entitled thereto"). The

    Government now appeals this judgment, arguing primarily that

    the district court did not properly interpret or apply the

    Massachusetts law of descent and distribution.

    After the United States took this appeal, it filed

    a complaint in condemnation, pursuant to 40 U.S.C. 257,

    against the same property. United States v. 8.0 Acres of _____________ ____________

    Land, No. 92-12663S (D. Mass. filed Nov. 5, 1992). When ____

    that condemnation is completed, the Government will take

    whatever interests in the eight acres it does not already

    own. Because the basic question in a "quiet title" action

    is "who owns the land," and because condemnation

    definitively answers this question for the future (i.e.,

    "the United States does"), we have had to consider whether




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    (or the extent to which) the condemnation action has

    "mooted" this "quiet title" proceeding.

    We find that the district court correctly

    allocated certain of the interests in dispute (those

    inherited through ancestors named "Charles" and "Richard

    Sr."), but that it improperly distributed certain other

    interests (those derived from ancestors named "Betsey I" and

    "Edmund II"). We also decide that the condemnation action

    "moots" any further judicial efforts to allocate the "Betsey

    I" and "Edmund II" shares in this "quiet title" proceeding.

    Instead, the district court shall decide afresh who is

    entitled to compensation for the "Betsey I" and "Edmund II"

    shares in the context of the condemnation action now pending

    before it.



    I.

    Background __________

    With the help of a diagram (see Appendix I) and ___

    the facts as revealed by the record on appeal, we shall

    retrace the parties' contested claims and the district

    court's determination of them. We begin with Elizabeth's

    great-grandfather, Edmund "the Elder" Freeman, who was born

    in 1780, and who died intestate in 1870. At Edmund the


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    Elder's death each of his three surviving children, and his

    grandchildren by a fourth child, received an undivided 25%

    interest in the eight acres. We shall refer to these four

    siblings as (1) "Charles," (2) "Betsey I," (3) "Edmund II,"

    and (4) "Richard Sr." The youngest of these siblings,

    Richard Sr. (Elizabeth's grandfather), died in 1886. He

    left his 25% interest to his five surviving children,

    Richard Jr. (Elizabeth's father) and her four aunts. Each

    of these five thereby obtained an undivided 5% interest in

    the property. When Richard Jr. died in 1940, he left his 5%

    interest to his daughters Elizabeth and Catherine, 2.5% to

    each. Catherine (wife of the famous Admiral Nimetz)

    subsequently conveyed to Elizabeth her vested 2.5% interest

    (and, the court found, any inchoate interests as well).

    Thus, Elizabeth, at the time she purported to convey the

    eight acres to the United States in 1972, undoubtedly owned

    at least a 5% share. But did she own any more, and if so,

    how much?

    The "quiet title" action sought to answer this

    question. To do so, the court had to decide: (1) What

    happened to the remaining 20% of Richard Sr.'s 25% share? _________

    (2) What happened to the other 75% interest in the land




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    originally inherited by Richard Sr.'s three siblings --

    Charles, Betsey I, and Edmund II -- 25% to each?












































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    A.

    Richard Sr.'s 25% Share _______________________

    The district court had considerable genealogical

    information about the line of Richard Sr. As we have said,

    Richard Sr. was survived by five children, namely, Richard

    Jr. (Elizabeth's father), and Elizabeth's four aunts, whom

    we shall call, "Betsey II," "Ellen," "Clara," and "Ada." As

    we have also said, Elizabeth obtained her father's 5%. The

    district court found that the remaining 20% (initially

    belonging to the aunts) descended and devised through

    various routes, some parts eventually coming to Elizabeth,

    other parts ending up in the hands of plaintiff Jean

    Stevenson Clark (who took her interest from Clara's

    grandchild, Phoebe), and still other parts ending up in the

    hands of the intervenors, who are Ada's grandchildren.

    No one contests this division (which is reflected

    in Appendix II) in this appeal. It is therefore final, and

    we need not discuss these interests further.



    B.

    Charles' 25% Share __________________

    We turn next to the 25% interest ascribed to

    Charles. Charles died in 1868, two years before the death


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    of his father, Edmund the Elder, in 1870. Upon Edmund the

    Elder's death, Charles' children inherited the 25% that

    would have gone to Charles, had he outlived his father. See

    Mass. Gen. L. ch. 190, 3(1) (When an intestate dies seized

    of land, such land descends "[i]n equal shares to his

    children and to the issue of any deceased child by right of

    representation"). Charles' daughter Nancy inherited this

    entire interest, as she was Charles' last surviving child,

    and her siblings apparently died without issue. Nancy died

    in 1931, without any surviving children. At that time

    Richard Jr., who was Nancy's first cousin (and Elizabeth's

    father), became the administrator of Nancy's estate. He

    told the probate court that Nancy's next of kin were three

    surviving first cousins, namely himself and two of his

    sisters, Betsey II and Ada. He added that Nancy had several

    living cousins in the next generation (i.e., in Elizabeth's ____

    generation), namely, several of Edmund II's grandchildren. _____

    The probate court subsequently distributed Nancy's estate

    (including the 25% interest inherited through her father

    Charles) equally to Nancy's living cousins in her own ________

    generation, namely Richard Jr., Betsey II, and Ada. It thus

    awarded each of them an additional 8.33% interest in the

    property.


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    The district court in this case accepted the 1931

    judgment of the Massachusetts probate court as

    determinative, and factored this information into the chain

    of conveyances and devolutions. (See Appendix II). The ___

    United States, through Elizabeth, received her father's

    8.33% interest plus some of both Betsey II's and Ada's

    shares. The intervenors received the rest of Ada's 8.33%

    interest, as well as some of Betsey II's share. Jean

    Stevenson Clark received the tiny remainder of Betsey II's

    share. The United States, though not arguing the matter at

    any length, seems to contest this division.



    C.

    The 25% Share of Betsey I and the 25% Share of Edmund II ________________________________________________________

    The district court had very little information

    about what happened to the lines of Edmund the Elder's other

    two children, Betsey I and Edmund II, each of whom inherited

    a 25% interest in the eight acres. It knew that Edmund II

    was born in 18ll and that he had seven children. The court

    also knew that Betsey I died in 1895, that she had ten

    children, and that she was survived at her death by two of

    her children and eleven grandchildren. Finally, it had the

    1931 probate court record of Nancy's estate, which suggests


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    that some of Edmund II's grandchildren (who were members of

    Elizabeth's generation) were still alive in 1931.

    The upshot is that the district court had evidence

    of the existence of twelve or more grandchildren of Betsey I

    and Edmund II, as of 1895 (eleven of Betsey I's

    grandchildren) and 1931 (an undetermined number of Edmund

    II's grandchildren). These individuals, like Elizabeth,

    were great-grandchildren of Edmund the Elder. Their

    descendants (if they exist) might be entitled to a 50% share

    of the property. But, one of the intervenors told the

    court, no one now knows anything about them.

    Knowing no more than this, the district court

    faced three main possibilities. First, Betsey I and Edmund

    II might have descendants still alive. If so, then these

    surviving descendants would own (subject to any further

    transactions) their ancestors' 50% interest in the eight

    acres.

    Second, both lines may have died out, but only

    after Elizabeth died in 1977. In that case, any descendants _____

    of Edmund the Elder's two other heirs (namely, Charles and

    Richard Sr.) still alive as of 1977 might have inherited

    their interests (in the absence of such complicating

    features as, say, wills). See Mass. Gen. L. ch. 190, 3(6) ___


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    (when an intestate dies seized of land and "leaves no issue,

    and no father, mother, brother or sister, and no issue of

    any deceased brother or sister, then [his estate descends]

    to his next of kin in equal degree"). According to the

    district court's uncontested findings, the only descendants

    of Charles or Richard Sr. to survive Elizabeth were her

    sister Catherine and her aunt Ada's grandchildren, Richard

    Sr.'s great-grandchildren, namely, the intervenors. (Since

    Catherine had conveyed her inchoate interests in the

    property to Elizabeth back in 1941, she was not eligible to

    inherit, even though she outlived Elizabeth by two years.)

    On this hypothesis, therefore, Betsey I and Edmund II's 50%

    share would have devolved to the intervenors.

    Third, Betsey I and Edmund II's lines may have

    died out before Elizabeth's death in 1977. In that case, to ______

    determine who obtained their interests (even if we assume no

    wills) is yet more complex, for it would depend upon just

    when they died and which members of their generation

    (descended from Edmund the Elder) were alive at that time.

    Mass. Gen. L. ch. 190, 3(6) ("if there are two or more

    collateral kindred in equal degree claiming [entitlement to

    intestate next of kin's land] through different ancestors,

    those claiming through the nearest ancestor shall be


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    preferred to those claiming through an ancestor more

    remote").

    The district court, choosing the second

    possibility, concluded that the two lines died out after _____

    Elizabeth's death in 1977. It then awarded the entire 50%

    to the intervenors, dividing it equally among the four of

    them. The Government's appeal focuses primarily upon this

    determination, which, the Government contends, incorrectly

    applies Massachusetts' law

    of descent and distribution.



    II.

    The Legal Merits ________________

    As we have said, the United States contests the

    way in which the district court allocated ownership of the

    "Charles" line's 25% share, the "Betsey I" line's 25% share,

    and the "Edmund II" line's 25% share. We do not understand

    the basis for its claim of error in respect to the first of

    these matters, a claim that it treats cursorily in its

    brief. In 1931 a Massachusetts probate court decided that

    this share belonged to Richard Sr.'s then-living children,

    namely Richard Jr. (Elizabeth's father), Betsey II, and Ada.

    It gave each of them one-third of the share. Ordinarily a


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    federal court will (indeed, must) accept such final state

    court awards as legally binding. See 28 U.S.C. 1738 ___

    ("judicial proceedings . . . of any court of any State . . .

    shall have the same full faith and credit in every court

    within the United States . . . as they have by law or usage

    in the courts of such State"). Cf. U.S. Const. art. IV, 1 __

    ("Full Faith and Credit shall be given in each State to the

    public Acts, Records, and judicial Proceedings of every

    other State."). We are aware of no special reason here for

    departing from this general rule. Consequently, we affirm

    the district court's distribution of this 25% share.

    We do not believe, however, that the district

    court's awards of the other two 25% shares were legally

    correct. To reach its conclusions the court had to find

    (1) that all the descendants of Betsey I and Edmund II had

    died out by 1984, but (2) that some such descendants were

    alive as of Elizabeth's death in 1977. The court had before

    it a record that reveals no significant effort by anyone to _____________________

    search for, or to contact, by publication or otherwise, any

    descendants of the Betsey I or Edmund II lines. (The court,

    in fact, rejected the plaintiff's motion for the appointment

    of a guardian ad litem to do precisely that.) Rather the

    record contained only:


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    (1) the facts previously mentioned (namely, that
    Edmund II had grandchildren alive in 1931 and that
    Betsey I had eleven grandchildren alive in 1895);

    (2) testimony by one of the intervenors, an
    "amateur genealogist," that she had no knowledge
    of any issue of either Betsey I or Edmund II;

    (3) testimony by a genealogist for the Government
    who had primarily investigated Richard Sr.'s line __________________
    that he had not found evidence of any living
    descendants of Betsey I or Edmund II.

    The district court reasoned from this evidence to its

    conclusions in three steps, with the help of two

    Massachusetts cases, Butrick v. Tilton, 155 Mass. 461, 29 _______ ______

    N.E. 1088 (1892), and Loring v. Steineman, 42 Mass. 204 ______ _________

    (1840).

    First, Butrick involved plaintiffs who claimed _______

    that they, rather than a tenant, had title to real property

    that the tenant occupied. According to the district court,

    Butrick held that, once the "demandants" prove "their _______

    succession to the title," the burden then shifts to the

    tenant to prove the "existence of other heirs whose title

    would defeat or reduce the claims of the demandants." The

    district court reasoned, by analogy, that once the

    intervenors proved "their succession" to the Betsey I and

    Edmund II interests, the burden then shifted to the United

    States to show the "existence of other heirs," namely

    descendants of those two lines.

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    Second, the district court stated that Loring held ______

    (1) that the presumption of continued life persists for no

    more than seven years after a person is last heard from, at

    which point a "presumption of death" arises, and (2) that

    those claiming that a person presumed dead left either

    spouse or children have the burden of proving it. The

    district court apparently reasoned that since no one had

    heard of any descendant of Betsey I since at least 1895, nor

    of any descendant of Edmund II since at least 1931, that

    these descendants (alive in 1895 and 1931) were "presumed to

    have died out." The court also concluded that United States

    had not proved the existence of any issue.

    Third, the district court noted that there "is no

    indication in the file that any attempt to locate the heirs

    of Betsey [I] or Edmund [II] was made until this action was

    filed [in 1984]." For this reason, the court concluded that

    the two lines would be presumed to have died out as of the

    1984 filing date, seven years after Elizabeth's death in _____

    1977.

    We do not believe that these cases warrant the

    result now before us. For one thing, Butrick involved _______

    plaintiffs who established their "succession" to title with

    at least a little more evidence than was present in this


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    case. The demandants there obtained title from their

    ancestor, who had allegedly obtained title from relatives

    (not the children) of a man named Jacob Ayer, who had died

    in 1789. Jacob Ayer, in turn, inherited his interest from

    his father. To establish their claim to at least some

    ownership interest in the property, the plaintiffs had to

    show that the relatives of Jacob Ayer had had title, which,

    in turn, required them to show that Jacob Ayer had left no

    issue. Butrick, 155 Mass. at 465. To establish the full _______

    extent of Jacob Ayer's interest in the property, and hence

    their own, the plaintiffs had to show that Jacob's brother

    Joseph had died before Jacob died, and without issue. Id. ______ __

    at 466.

    To show the first of these matters, the plaintiffs

    provided, as a witness, Mrs. Butrick, Jacob Ayer's step

    great-granddaughter, whom the court held (given her

    relationship and interests) competent to testify "as to

    general repute . . . as to matters of pedigree." Id. Mrs. __

    Butrick testified that Jacob's second marriage (to her

    great-grandmother) produced no issue and that she had never

    heard of any issue from Jacob's first marriage. Id. at 465- __

    66. To show the second of these matters, the plaintiffs

    submitted (1) the will of Jacob Ayer's father, which


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    mentioned six children, including Jacob, but not his brother

    Joseph, and (2) "evidence of the unsuccessful inquiry where

    it was probable that information could be found if Joseph

    had been living up to 1810," including an examination of

    headstones and official records in the town where he was

    born. Id. at 466-67. __

    The evidence as to the first of these matters

    (Jacob's lack of issue) seems at least a little stronger

    than the comparable evidence here. One can more reasonably

    be expected to know (as in Butrick) whether one's (step) _______

    great-grandfather had children than to know (as here)

    whether one has third cousins who are still living, i.e.,

    whether one's great-grandfather had brothers or sisters who

    had children who had children who had children who are now

    alive. The evidence of the second of these matters (i.e.,

    the extinction of a collateral line with a rival claim) is

    much stronger in Butrick than here, for it included a _______

    serious search, the failure of which had obvious probative

    value. The record in this case, by contrast, contains no

    evidence of any significant effort to locate, or to provide

    notice to, the descendants of Betsey I or Edmund II. Of

    course, the Massachusetts courts decided Butrick nearly a _______

    century ago. But in light of the technological improvements


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    which have made it easier to track down other individuals,

    we believe Massachusetts courts would insist, if anything,

    on greater efforts to locate missing owners, rather than _______

    needlessly tolerate lesser efforts. ______

    We are also uncertain about whether, or just how,

    Loring applies here, say, to Edmund II's grandchildren. ______

    Loring involved a man who departed from where he lived, went ______

    off to sea, and who was never heard of again by his family

    and those in his native town. Loring, 42 Mass. at 206. ______

    Edmund II's grandchildren do not seem quite like the missing

    sailor, however, for there is no reason to believe that

    those with whom they lived never "heard of" them after 1931.

    See Knapp v. Graham, 320 Mass. 50, 54 (1946) (rival heir ___ _____ ______

    will not be presumed dead where no proof of actual death or

    unexplained absence from domicil or established residence

    for more than seven years). The only reason we have not __

    heard of them again, as far as the record reveals, is that

    no one has attempted to look for them.

    Regardless, we do not see how Loring (whether or ______

    not taken together with Butrick) could justify the district _______

    court's conclusion that the two lines died out after 1977. __________

    If we accept, for the sake of argument, that Loring's "seven ______

    year" presumption applies, then we would have to presume


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    that Betsey I's grandchildren were no longer living seven

    years after 1895, when, according to the record, their

    existence was last documented. Similarly, we would have to

    presume that Edmund II's grandchildren were no longer alive

    seven years after 1931. Were that so (and assuming no

    issue), the intervenors would not inherit the lost heirs'

    entire interests, because others (including Richard Jr., the

    father of Elizabeth, the Government's grantor) were alive in

    1902 and/or 1938, and thus entitled to a share. The record

    is totally silent as to whether Betsey I or Edmund II's

    grandchildren produced issue. And, we do not understand

    what rule of law would permit the court to presume both that ____

    these grandchildren (and any issue they produced) still

    existed in 1977 and that they died (without issue) shortly ___

    after 1977.

    For these reasons, we conclude that Massachusetts

    law, as it applies to the facts before us, does not support

    the district court's award of 50% of the locus (consisting

    of Betsey I's 25% interest and Edmund II's 25% interest) to

    the intervenors. We therefore must vacate the judgment

    below insofar as it makes that award. We need not further

    decide precisely how Massachusetts law ought to apply to the




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    existing record because, for reasons set out in Part III

    below, the relevant facts may change.












































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    III.

    Further Proceedings ___________________

    As noted above, the United States has filed, while

    this appeal was pending before this court, a complaint in

    condemnation against the eight acres at issue here. After

    oral argument on appeal, the United States asked us to

    vacate the judgment below so that the district court, in the

    condemnation action, can determine compensable ownership

    interests on a clean slate. We see no basis for vacating

    the judgment below, however, insofar as that decision makes

    a final award of interests. The judgment below is obviously _____

    "final" with respect to Richard Sr.'s 25% share, for no one

    has appealed from that award. See Restatement (Second) of ___ ________________________

    Judgments, 13 cmt. e ("A judgment may be final in a res _________

    judicata sense as to a part of an action [or a claim]

    although the litigation continues as to the rest"). It is

    also "final" with respect to Charles' 25% share, for,

    although the United States has appealed that award, we have

    found no legal reason to disturb it. See id. at 13 cmt. f ___ __

    ("a judgment otherwise final remains so despite the taking

    of an appeal . . . . finality [not being] affected by the

    fact that the taking of the appeal [may] prevent[] its

    execution or enforcement"). And, we do not believe the


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    United States should be able automatically to avoid a

    district court's "quiet title" judgment with which it

    disagrees simply by appealing it and filing a condemnation

    petition in the interim. Here, it seems both fair and

    potentially expeditious for the district court's "quiet

    title" allocation of Charles's share to govern the

    condemnation action's compensation decisions (as they will

    in the case of Richard Sr.'s share). See id. at 27 ___ __

    (setting forth the basic principle of collateral estoppel).

    Since we vacate the judgment below in respect to

    the rest of the "quiet title" action, which concerns the

    distribution of the Betsey I and Edmund II shares, there is

    no final judgment in effect regarding those shares. And ______________

    because we find that condemnation will eliminate the

    requisite controversy as to who owns the Betsey I and Edmund

    II shares, we order the district court to dismiss the

    complaint in respect to the vacated portions as "moot." The

    district court should determine afresh whom to compensate

    for those shares in the context of the separate condemnation

    action. Because we have found authority from a sister

    circuit that casts doubt upon our finding of partial

    mootness, and because the plaintiff and intervenors oppose

    vacatur, we shall explain our reasoning in some detail.


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    At the outset, one must understand a few of the

    technical differences between a "quiet title" action and a

    "condemnation" proceeding. A condemnation action is brought

    by the Government and proceeds in rem against the property ______

    itself. See United States v. Carmack, 329 U.S. 230, 235 n.2 ___ _____________ _______

    (1946). As an exercise of eminent domain, condemnation

    "extinguishes all previous rights," Duckett & Co. v. United _____________ ______

    States, 266 U.S. 149, 151 (1924), and gives the United ______

    States title to the entire condemned property "good against

    the world." Norman Lumber Co. v. United States, 223 F.2d __________________ ______________

    868, 870 (4th Cir.), cert. denied, 350 U.S. 902 (1955). _____________

    Condemnation secures better title, in fact, than may be

    obtained through voluntary conveyance. See Carmack, 329 ___ _______

    U.S. at 239. The title to the property vests in the United

    States when the award of "just compensation" has been

    ascertained and paid. See Albert Hanson Lumber Co. v. ___ __________________________

    United States, 261 U.S. 581, 587 (1923); United States v. ______________ _____________

    341.45 Acres of Land, 751 F.2d 924, 926 n.2 (8th Cir. 1984) ____________________

    (where Government files a complaint in condemnation, title

    passes when compensation award paid into district court).

    Upon receipt of the award, the district court will

    distribute it among those who owned the property at the time

    of condemnation. See Fed. R. Civ. P. 71A(j). ___


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    In an action under the Quiet Title Act, by

    contrast, a private plaintiff names the United States "as a

    party defendant . . . to adjudicate a disputed title to real

    property in which the United States claims an interest . . .

    ." 28 U.S.C. 2409a(a). If the plaintiff prevails, he can

    recover the land wrongly held by the United States. The

    Quiet Title Act also permits the Government to retain

    property it does not own, but only after a court has reached _____

    a "final determination" in the title dispute "adverse to the

    United States." Id. at 2409a(b). At that point, the __

    United States can elect to keep the prevailing plaintiff's

    interest in the land by paying him "just compensation" for

    it. Id. Yet even if the United States acquires the __

    plaintiff's interest, it will nonetheless be potentially

    liable to third parties not joined in the action, who may

    have better title than either the plaintiff or the

    Government. See, e.g., Younce v. United States, 661 F. Supp ___ ____ ______ _____________

    482, 487-88 (W.D.N.C. 1987) (judgment for Government in

    2409a lawsuit means that United States holds title superior

    to plaintiffs, but not necessarily good title as against the

    world), aff'd, 856 F.2d 188 (4th Cir. 1988); Oneida Indian _____ _____________

    Nation v. New York, 732 F.2d 261, 265 (2nd. Cir. 1984) ______ ________

    ("Ordinarily a judgment in a[] . . . quiet title action will


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    not affect the interests of others than the parties or those

    in privity with them."). This is because a "quiet title"

    action is, generally speaking, an in personam proceeding, __ ________

    see Nevada v. United States, 463 U.S. 110, 143-44 (1983), ___ ______ _____________

    the purpose of which is to determine which named party has

    superior claim to a certain piece of property. See 74 C.J.S. ___

    Quieting Title 1, at 11 (1951). But see id. 7, at 18 & ______________ ________ __

    Supp. 1992 (scattered authority for proposition that "quiet

    title" action can operate in rem or quasi in rem). ______ ____________

    Keeping these descriptions of the two actions in

    mind, one can understand our conclusion that the

    condemnation proceeding has "mooted" what remains of the

    "quiet title" controversy (i.e., that portion of the "quiet

    title" controversy for which no final judgment is in _______________

    effect). The Quiet Title Act authorizes only actions that

    require courts "to adjudicate a disputed title to real ________

    property in which the United States claims an interest . .

    . ." 28 U.S.C. 2409a(a) (emphasis added). The words of

    the statute, taken literally, permit adjudications only when

    the title or ownership of real property is in doubt. Cf. __

    Ginsberg v. United States, 707 F.2d 91, 93 (4th Cir. 1983) ________ _____________

    (landlord cannot maintain 2409a "quiet title" action

    against United States in dispute over Government's alleged


    -25- 25


















    breach of contractual obligations as tenant under lease,

    since dispute does not cast doubt on the title or ownership

    of the property). The initial inquiry in any such action

    must therefore be, "Who holds superior title to the property

    -- the plaintiff or the United States?" Only if the courts

    finally resolve the title dispute in a manner "adverse to

    the United States" (i.e., the plaintiff holds superior

    title) will they reach a second question, "Does the United

    States wish to keep the plaintiff's property interest,

    regardless, by paying just compensation for it?" Once the

    property has been condemned, however, the "quiet title"

    court cannot make a "final determination" as to title that

    is "adverse to the United States." The condemnation gives

    the United States indefeasible title. Hence, the "quiet

    title" action's first question -- "Who has superior title?"

    -- is preclusively determined in the United States' favor.

    The upshot is that the filing of the condemnation

    action has eliminated the prerequisite for a "quiet title"

    action -- a "disputed title" -- and thereby "mooted" its

    threshold inquiry, "Who owns title?" For this reason, the

    unresolved portion of this "quiet title" action cannot

    continue.




    -26- 26


















    Strong practical considerations support our

    technical reading. A condemnation action seems to provide a

    more effective way than a "quiet title" action to deliver

    just compensation to those private persons entitled to

    receive it. "Quiet title" procedures do not automatically

    provide for the notification of persons not party to the

    action (e.g., the "lost" descendants of Betsey I and Edmund

    II) who may have title superior to both plaintiffs and the

    Government. Thus, the true owners may not receive

    compensation, and a court, wrongly believing that they do

    not exist, may order the Government to pay the plaintiffs ___

    full compensation, thereby exposing the Government to double

    liability should the true owners eventually surface and sue.



    The procedures for condemnation, by contrast,

    expressly require the Government to take steps to search for

    "lost" heirs. See Fed. R. Civ. P. 71A(c)(2) ("prior to any ___

    hearing involving the compensation to be paid for a piece of

    [condemned] property, the [condemnor] shall add as

    defendants all persons having . . . an interest in the

    property whose names can be ascertained by a reasonably

    diligent search of the records, . . . and also those whose

    names have otherwise been learned."). As a result, these


    -27- 27


















    procedures tend to compensate those entitled to compensation

    and to protect the Government from double liability. They

    also make it less likely that the Government will obtain a

    windfall, for example, by physically occupying land it does

    not own, and whose unknown owners never bring a "quiet

    title" action to obtain payment; the Government must pay the

    entire value of the condemned property into court, whether

    or not it has ascertained who owns it. See United States v. ___ _____________

    3276.21 Acres of Land, 194 F. Supp. 297, 300 (S.D. Cal. _______________________

    1961) ("Any contest between persons claiming an interest in

    the award is heard . . . only after the award for all the

    interests in the land has been made"). And, the court

    apparently retains a degree of freedom to divide this

    compensation (and to condition its distribution) in a manner

    that seems fair, in light of the possibility that "lost"

    heirs may eventually appear. See, e.g., United States v. ___ ____ ______________

    550.6 Acres of Land, etc, 68 F. Supp. 151, 154 (D. Ga.) __________________________

    ("where neither claimant shows right or title to [the

    condemnation award], the money should remain subject to the

    control of the court for disbursement to the proper

    claimant, when and if he should appear"), aff'd sub nom. _______________

    Shropshire v Hicks, 157 F.2d 767 (5th Cir. 1946). Indeed, __________________

    courts have held that, where a "true owner" appears after


    -28- 28


















    the condemnation award has been distributed, this "true

    owner" may obtain a proper share from those persons who

    wrongly received such award. See In re Block bounded by ___ ________________________

    Chauncey St., etc., 209 N.Y. 127, 102 N.E. 638, 640 (1913) __________________

    (uncompensated true owner of condemned land can bring an

    action for money had and received against person to whom

    condemnation award erroneously paid); Palo v. Rogers, 116 ____ ______

    Conn. 601, 165 A. 803, 805 (1933) (where city erroneously

    paid landowner rather than mortgagees for land taken,

    mortgagees had good cause of action to recover such amount

    from landowner).

    These practical considerations seem particularly

    important in this case, since the more thorough

    investigation that the condemnation action promises will

    likely permit an easier resolution of the issues of

    Massachusetts law.

    We have found, however, authority from the Fourth

    Circuit, Fulcher v. United States, 632 F.2d 278 (4th Cir. _______ _____________

    1980) (en banc), followed by the Eighth Circuit, United ______

    States v. Herring, 750 F.2d 669, 672 (8th Cir. 1984), that ______ _______

    casts doubt upon our "mootness" conclusion. In Fulcher, a _______

    plaintiff brought a 2409a action in 1977 to "quiet title"

    to property which the Government had condemned eighteen


    -29- 29


















    years earlier, in 1959, without properly notifying him. A

    majority of the Fourth Circuit, sitting en banc, held that

    the 1959 condemnation vested indefeasible title in the

    Government. Fulcher, 632 F.2d at 284 (plurality); id. at _______ __

    294 (Hall, concurring in part and dissenting in party); id. __

    at 295 (Murnaghan, dissenting). Yet a majority also held

    that the plaintiff could nonetheless maintain a 2409a

    "quiet title" action in order to obtain just compensation

    for the Government's appropriation of his property. Id. at __

    285 (plurality); id. at 286 (Phillips, concurring). The __

    Circuit reached this result even though the plaintiff could

    have sought compensation in the Court of Claims (now known

    as the United States Claims Court) by bringing a takings

    claim under the Tucker Act. 28 U.S.C. 1491 ("The United

    States Claims Courts shall have jurisdiction to render

    judgment upon any claim against the United States founded .

    . . upon the Constitution"). See Fulcher, 632 F.2d at 295 ___ _______

    (Murnaghan dissenting) (arguing that Court of Claims was the

    appropriate forum for plaintiff's claim). Fulcher's _______

    holding, applied to the present case, suggests that the

    Government's condemnation of the eight acres at issue here

    does not "moot" the intervenors' remaining "quiet title"

    claims, or prevent the parties from adjudicating


    -30- 30


















    compensation in the context of the "quiet title" action.

    One might well ask, if Fulcher's plaintiff could bring a _______

    post-condemnation "quiet title" action seeking only ____

    compensation, how can we say that the condemnation action

    "moots" further (compensation-seeking) proceedings in the

    "quiet title" action before us?

    We could answer that question by pointing to

    differences between this case and Fulcher. The Fulcher _______ _______

    plurality, for example, focused primarily on whether a

    plaintiff could sue for compensation in a highly convenient,

    local "quiet title" forum, or would, instead, have to sue

    for compensation (under the Tucker Act) in the less

    convenient Court of Claims. Fulcher, 632 F.2d at 282, 285- _______

    86 (plurality). Here, by contrast, the plaintiffs can

    obtain compensation in the local district court even without

    the Quiet Title Act, and other practical considerations

    argue strongly in favor of ending the "quiet title" action

    and proceeding henceforth in condemnation.

    The Fulcher plurality also developed a theory that _______

    the plaintiff (not properly notified in the earlier

    condemnation action) had a kind of "equitable lien"

    enforceable in a later "quiet title" action. Id. at 284-85 __

    (plurality). That theory is not applicable here, as the


    -31- 31


















    named plaintiffs have all been notified about the

    condemnation complaint.

    Rather than distinguish Fulcher on grounds that _______

    may further complicate this complex area of law, however, we

    believe it more straightforward to say that we disagree with

    its reasoning. At bottom, the Fulcher plurality interpreted _______

    the "quiet title" statute as allowing the post-condemnation

    suit because (1) of policy grounds favoring adjudicating

    property-related disputes in nearby courts, and (2) its

    inability to find strong reasons against such an

    interpretation. Indeed, it wrote that it "perceive[d]

    neither congressional intent nor principled reason for

    distinguishing" between "takings" effected without formal _______

    condemnation proceedings (which, if made without proper

    compensation, can give rise to "quiet title" actions by the

    uncompensated owners for payment) and "takings" arising out _______

    of formal condemnation proceedings (which, if made without

    proper compensation, can give rise to Court of Claims

    proceedings for payment). Id. at 284 (plurality). __

    We do see a crucial distinction, however, between

    bringing a "quiet title" action where title is still in

    dispute and bringing a "quiet title" action after the

    Government has indisputably obtained title through


    -32- 32


















    condemnation. This distinction, as we have said, lies in

    the theory of the "quiet title" suit as an action to

    adjudicate disputed title, and in the language of the

    federal "quiet title" statute itself. That statute

    provides that the Government may retain real property (by

    paying just compensation) only "if the final determination __________________________

    [of the underlying 'quiet title' action] shall be adverse to _______

    the United States . . . ." 28 U.S.C. 2409a(b) (emphasis

    added). Where the United States has indisputably obtained

    title, it is difficult to see how this condition could be

    fulfilled. So even though, as the Fulcher plurality stated, _______

    the legislative history of the Quiet Title Act "is

    inconclusive about claims of omitted owners arising out of

    formal condemnation proceedings," Fulcher, 632 F.2d at 284 _______

    (plurality), the language of the statute, and its underlying

    logic, are not.

    A second consideration that threatens our

    conclusion of "mootness" lies in the fact that the

    Government has not yet paid an amount deemed to be "just

    compensation" into court. As the case law makes clear,

    title shifts upon payment of this amount, not before. See ___

    Albert Hanson Lumber Co., 261 U.S. at 587; 341.45 Acres of ________________________ ________________

    Land, 751 F.2d at 926 n.2. The Government has told us, ____


    -33- 33


















    however, that it intends to proceed with the condemnation

    action. We surmise that it has held up actual payment

    pending our decision in this appeal. We shall therefore

    eliminate this "chicken and egg" problem by conditioning our

    judgment, insofar as it orders the remanded "quiet title"

    action to be dismissed, upon the Government's payment of the

    condemnation award into the district court.



    IV.

    The Judgment ____________

    1. The 25% share of Richard Sr. As we previously ____________________________

    pointed out, no one has appealed the district court's

    judgment allocating the 25% undivided interest that

    originally belonged to Elizabeth's grandfather, Richard Sr.

    We therefore affirm the judgment below in respect to that

    share, and direct the district court to order the Government

    to compensate the parties according to its original

    determination.

    2. The 25% Share of Charles. We also affirm the _________________________

    district court's distribution of the 25% share originally

    inherited through Charles. This distribution, as we have

    said, simply implemented the Massachusetts probate court's




    -34- 34


















    1931 decision allocating this share, a decision whose

    validity has not been challenged.

    3. The 25% Shares of Betsey I and Edmund II, ______________________________________________

    Respectively. For the reasons stated above, we vacate the _____________

    district court's distribution of the 50% interest initially

    belonging to Betsey I and Edmund II, and order the district

    court to dismiss what remains of the original "quiet title"

    action as "moot" when the Government pays the award into

    court in the condemnation proceeding. The parties must

    relitigate their claims to entitlement to compensation for

    these shares in the condemnation proceeding, in light of any

    new evidence revealed therein.

    So Ordered. __________






















    -35- 35


















    APPENDIX I is not available on the EDOS publication of

    opinion 92-1181.












































    -36- 36


















    APPENDIX II



    The district court awarded the Richard Sr. and Charles shares, comprising one

    one-half of the title to the property, as follows:



    The United States 27.24%



    Jean Stevenson Clark 3.17%



    The Intervenors:

    Barbara Jackson 12.39%



    The three children of

    Roger Jackson

    (Roger Jr., Margery, &

    Betsey III) 7.23%
















    -37- 37