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COMMISSIONER OF INTERNAL REVENUE VS.

CA (298 SCRA 83)

Topic: Tax exemption²charitable institutions

Facts:
Young Men’s Christian Association of the Philippines, Inc. (YMCA), a non-stock, non-profit
institution, which conducts various programs and activities that are beneficial to the public
pursuant to its religious, educational, and charitable objectives, is contesting the tax assessment
made upon it by the Commissioner of Internal Revenue, citing Article VI, Section 28, paragraph 3 of
the 1987 Constitution.

Issue and Ruling:


1.W/N YMCA is exempt from the payment of taxes.

NO. What is exempted by Article VI, Section 28, paragraph 3 of the 1987 Constitution
is not the institution itself; the exemption pertains only to property taxes. Moreover, Section 27
of the National Internal Revenue Code expressly disallows the exemption claimed by YMCA, as it
mandates that the income of exempt organizations from any of their properties, real or personal, be
subject to the tax imposed by the same Code. Thus, YMCA is exempt from the payment of property
tax, but not income tax on the rentals from its property. The bare allegation alone that it is a non-
stock, non-profit educational institution is insufficient to justify its exemption from the payment of
income tax.

Private respondent contends that the February 16, 1994 CA Decision reversed the factual
findings of the CTA. On the other hand, petitioner argues that the CA merely reversed the ruling
of the CTA that the leasing of private respondents facilities to small shop owners, to restaurant
and canteen operators and the operation of parking lots are reasonably incidental to and
reasonably necessary for the accomplishment of the objectives of the private respondent and that
the income derived therefrom are tax exempt.i[12] Petitioner insists that what the appellate court
reversed was the legal conclusion, not the factual finding, of the CTA.ii[13] The commissioner
has a point.

Indeed, it is a basic rule in taxation that the factual findings of the CTA, when supported by
substantial evidence, will not be disturbed on appeal unless it is shown that the said court
committed gross error in the appreciation of facts.iii[14] In the present case, this Court finds that
the February 16, 1994 Decision of the CA did not deviate from this rule. The latter merely
applied the law to the facts as found by the CTA and ruled on the issue raised by the CIR:
Whether or not the collection or earnings of rental income from the lease of certain premises and
income earned from parking fees shall fall under the last paragraph of Section 27 of the National
Internal Revenue Code of 1977, as amended.iv[15]

Clearly, the CA did not alter any fact or evidence. It merely resolved the aforementioned issue,
as indeed it was expected to. That it did so in a manner different from that of the CTA did not
necessarily imply a reversal of factual findings.

The distinction between a question of law and a question of fact is clear-cut. It has been held that
[t]here is a question of law in a given case when the doubt or difference arises as to what the law
is on a certain state of facts; there is a question of fact when the doubt or difference arises as to
the truth or falsehood of alleged facts.v[16] In the present case, the CA did not doubt, much less
change, the facts narrated by the CTA. It merely applied the law to the facts. That its
interpretation or conclusion is different from that of the CTA is not irregular or abnormal.

Notes:
A claim of statutory exemption from taxation should be manifest, and unmistakable from the
language of the law on which it is based.

Laws allowing tax exemption are construed strictissimi juris. Hence, for the YMCA to
be granted the exemption it claims under the aforecited provision, it must prove with
substantial evidence that (1) it falls under the classification non-stock, non-profit
educational institution; and (2) the income it seeks to be exempted from taxation
is used actually, directly, and exclusively for educational purposes. However, the Court
notes that not a scintilla of evidence was submitted by private respondent to prove
that it met the said requisites.

Note: Mainly pang tax yung topic niya talaga pero under sa syllabus ni Sir
Question of Law and Fact siya.

VILLANUEVA V. CA(294 SCRA 90) 1998


FACTS:
Almario Go Manuel filed a civil action for sum of money with damages before the RTC
of Cebu against Felix Villanueva and his wife Melchora. The check issued by
Villanueva supposedly represented payment of loans previously obtained by Villanueva
from Manuel, as capital for Villanueva’s mining and fertilizer business. The check when
presented for payment was dishonored due to insufficiency of funds. A demand was
made upon petitioner to make good the check but failed to do so. Manuel then filed a
criminal complaint for violation of BP22.
On the RTC, It rendered a decision in favour of Manuel. The Ca affirmed the same.

pparently aggrieved, both parties appealed the decision to the Court of Appeals.
Petitioner prayed for the reversal of the trial courts decision and contended that his
principal obligation is only P23,420.00, while private respondent sought interest of ten
percent (10%) of the principal obligation; twenty-five percent (25%) as attorneys fees,
as well as moral and exemplary damages.

The Court of Appeals dismissed the petition and affirmed the decision of the trial court
subject to the modification that petitioner was directed to additionally pay private
respondent attorneys fees and litigation expenses in the amount of ten (10%) percent of
P167,600.00, and the entire obligation to earn interest at six (6%) percent per annum
from the filing of the complaint.vi[4] Petitioner now comes before this Court basically
alleging the same issues raised before the Court of Appeals as follows: (a) the Court of
Appeals erred in not ruling that the five (5%) and ten (10%) percent interest imposed is
not enforceable due to absence of such stipulation in writing; (b) the Court of Appeals
erred in not finding that petitioner is only liable for the amount P23,420.00; and (c) the
Court of Appeals erred in not declaring that the Central Bank and Monetary Board has
no power or authority to repeal the usury law.vii[5]

ISSUE:
W/N the SC acquires jurisdiction over the case.
Ruling:
No. the petition should be denied. The petitioner failed to raise issues which would
constitute sufficient ground to warrant the reversal of the findings of fact of the trial
and appellate courts.
RATIO:
Time and again it has been rules that the jurisdiction of this Court in cases brought to
it from the CA is limited to there view and revision of errors of law allegedly committed
by the appellate court, as its findings of fact are deemed conclusive. As such, this
court is not duty-bound to analyze and weigh allover again the evidence already
considered in the proceedings below. The rule, however, admits of the following
exceptions:
1. When the inference made is manifestly mistaken, absurd or impossible;
2. When there is a grave abuse of discretion;
3. When the finding is grounded entirely on speculations, surmises or conjectures;
4. When the judgement of the CA is based on misapprehension of facts;
5. When the findings are conflicting;
6. When the CA, in making its findings, went beyond the issues of the case and
the same is contrary to the admissions of both appellant and appellee;
7. When the findings of the CA are contrary to those of the trial court;
8. When the findings of fact are conclusions without citation of specific evidence
on which they are based;
9. When the CA manifestly overlooked certain relevant facts not disputed by the
parties and which, if properly considered, would justify a different conclusion;
and
10. When the findings of fact of the CA are premised on the absence of evidence
and are contradicted by the evidence on record. After a review of the case at
bar, we consider petitioner to have failed to raise issues that would constitute
sufficient ground to warrant the reversal of the findings of the trial and
appellate courts

11. Applying the foregoing rules, since the principal obligation in the amount of
P167,600.00 is a loan, the same should earn legal interest at the rate of 12% per
annum computed from the time the complaint was filed until the finality of this
decision. On the other hand, if the total obligation is not satisfied it shall further
earn legal interest at the rate of 12% per annum computed from the finality of the
decision until payment thereof, the interim period being deemed to be a
forbearance of credit.
12. WHEREFORE, premises considered, the decision of the Court of Appeals in CA-
G.R. CV 39731 dated January 30, 1996 is hereby AFFIRMED with the
MODIFICATION that the rate of legal interest to be paid is TWELVE PERCENT
(12%) per annum of the amount due computed from the time the complaint was
filed until the finality of this decision. After this decision becomes final and
executory, the rate of TWELVE PERCENT (12%) per annum shall be additionally
imposed on the total obligation until payment thereof is satisfied. No costs.

FRANCISCO S. TANTUICO, JR vs. REPUBLIC OF THE PHILIPPINES G.R. No.


89114, December 2, 1991

FACTS:

Petitioner Francisco S. Tantuico, Jr. was included as defendant in civil case entitled
"Republic of the Philippines vs. Benjamin Romualdez, et al." for reconveyance,
reversion, accounting, restitution and damages on the theory that: (1) he acted in
unlawful concert with the principal defendants in the misappropriation and theft of
public funds, plunder of the nation's wealth, extortion, blackmail, bribery,
embezzlement and other acts of corruption, betrayal of public trust and brazen abuse
of power; (2) he acted as dummy, nominee or agent, by allowing himself to be
incorporator, director, board member and/or stockholder of corporations beneficially
held and/or controlled by the principal defendants; (3) he acted singly or collectively,
and/or in unlawful concert with one another, in flagrant breach of public trust and of
their fiduciary obligations as public officers, with gross and scandalous abuse of right
and power and in brazen violation of the Constitution and laws of the Philippines,
embarked upon a systematic plan to accumulate ill-gotten wealth ; (4) he (petitioner)
taking undue advantage of his position as Chairman of the Commission on Audit and
with grave failure to perform his constitutional duties as such Chairman, acting in
concert with defendants Ferdinand E. Marcos and Imelda R. Marcos, facilitated and
made possible the withdrawals, disbursements and questionable use of government
funds; and (5) he acted as dummy, nominee and/or agent by allowing himself to be
used as instrument in accumulating ill-gotten wealth through government
concessions, orders and/or policies prejudicial to plaintiff, or to be incorporator,
director, or member of corporations beneficially held and/or controlled by defendants
Ferdinand E. Marcos, Imelda R. Marcos, Benjamin Romualdez and Juliette Gomez
Romualdez in order to conceal and prevent recovery of assets illegally obtained.

On 11 April 1988, after his motion for production and inspection of documents was
denied by respondent court in its resolution dated 9 March 1988, petitioner filed a
Motion for a Bill of Particulars, alleging inter alia that he is sued for acts allegedly
committed by him as (a) a public officer-Chairman of the Commission on Audit, (b) as
a private individual, and (c) in both capacities, in a complaint couched in too general
terms and shorn of particulars that would inform him of the factual and legal basis
thereof, and that to enable him to understand and know with certainty the particular
acts allegedly committed by him and which he is now charged with culpability, it is
necessary that plaintiff furnish him the particulars sought therein.

In his petition for certiorari, mandamus and prohibition with a prayer for the issuance
of a writ of preliminary injunction and/or restraining order, the petitioner seeks to
annul and set aside the resolution of the Sandiganbayan, dated 21 April 1989,
denying his motion for a bill of particulars as well as its resolution, dated 29 May
1989, which denied his motion for reconsideration; to compel the respondent PCGG to
prepare and file a bill of particulars, or that said respondent be ordered to exclude
petitioner as defendant in Civil Case No. 0035 should they fail to submit the said bill
of particulars; and to enjoin the respondent Sandiganbayan from further proceeding
against petitioner until the bill of particulars is submitted, claiming that the
respondent Sandiganbayan acted with grave abuse of discretion amounting to lack of
jurisdiction in promulgating the aforesaid resolutions and that there is no appeal, nor
any plain, speedy and adequate remedy for him in the ordinary course of law other
than the present petition.

ISSUE:

Whether or not the respondent Sandiganbayan acted with grave abuse of discretion in
issuing the disputed resolutions.

Ruling:

Ultimate facts are conclusions drawn from intermediate and evidentiary facts, or
allegations of mixed law and fact; they are conclusions from reflection and natural
reasoning on evidentiary fact. The ultimate facts which are to be pleaded are the
issuable, constitutive, or traversible facts essential to the statement of the cause of
action; the facts which the evidence on the trial will prove, and not the evidence which
will be required to prove the existence of those facts.

The complaint does not contain any allegation as to how petitioner became, or why he
is perceived to be, a dummy, nominee or agent. There is no averment in the complaint
how petitioner allowed himself to be used as instrument in the accumulation of ill-
gotten wealth, what the concessions, orders and/or policies prejudicial to plaintiff are,
why they are prejudicial, and what petitioner had to do with the granting, issuance,
and or formulation of such concessions, orders, and/or policies. Moreover, the
complaint does not state which corporations petitioner is supposed to be a
stockholder, director, member, dummy, nominee and/or agent. More significantly, the
petitioner's name does not even appear in annex of the complaint, which is a listing of
the alleged "Positions and Participations of Some Defendants". The allegations in the
complaint, above-referred to, pertaining to petitioner are, therefore, deficient in that
they merely articulate conclusions of law and presumptions unsupported by factual
premises. Hence, without the particulars prayed for in petitioner's motion for a bill of
particulars, it can be said the petitioner can not intelligently prepare his responsive
pleading and for trial.

Furthermore, the particulars prayed for such as names of persons, names of


corporations, dates, amounts involved, a specification of property for identification
purposes, the particular transactions involving withdrawals and disbursements, and a
statement of other material facts as would support the conclusions and inferences in
the complaint, are not evidentiary in nature. On the contrary, those particulars are
material facts that should be clearly and definitely averred in the complaint in order
that the defendant may, in fairness, be informed of the claims made against him to the
end that he may be prepared to meet the issues at the trial.

The Supreme Court ruled that respondent Sandiganbayan acted with grave abuse of
discretion amounting to lack or excess of jurisdiction in promulgating the questioned
resolutions. The petition is granted and the resolutions in question are annulled and
set aside. The respondents are ordered to prepare and file a Bill of Particulars
containing the facts prayed for by petitioner, or otherwise, respondent Sandiganbayan
is ordered to exclude the herein petitioner as defendant in the above-mentioned civil
case.

Fareast Marble, Inc., and Tabuenas v. CA, BPI

Facts:
· In 1976, petitioner Fareast Marble received from private respondent (the former
Commercial Trust Bank Company which was absorbed by BPI) the following, viz:
(1) several loans evidenced by promissory notes; AND
(2) the former was extended by the latter credit facilities in the form of Trust Receipts;
· Petitioner Tabuenas (Ramon and Luis) executed in favor of BPI a “continuing
guaranty” whereby they bound themselves, jointly and severally, to answer for the
loan obligations of Far East to the bank;
· Far East failed to pay its obligations (both the promissory note and the trust
receipts) and Ramon and Luis Tabuenas also did not comply with their solidary
liability under the “continuing guaranty”;
· As a result, in 1987, private respondent BPI filed a complaint for foreclosure of
chattel mortgage with replevin against petitioners;
· Far East filed a compulsory counterclaim where it admitted the genuineness and
due execution of the promissory notes but alleged further that it has already
prescribed, so it raised the defense of prescription and lack of cause of action; it also
denied that BPI made prior demands for payment;
· BPI filed an opposition to the motion to hear affirmative defenses, alleging that its
cause of action against Far East have not prescribed, since within 10 year from the
time its cause of action accued, various written extrajudicial demands were made by
BPI to Far East;

Lower court rulings:


RTC:
· dismissed the complaint based on prescription and lack of cause of action

ratio: Apart from the fact that the complaint failed to allege that the period of
prescription was interrupted, the phrase “repeated requests and demands for
payment” is vague and incomplete so as to establish in the minds of defendant, or to
enable the court to draw a conclusion, that demands or acknowledgments of debt were
made that could have interrupted the period of prescription.

CA: Reversed the RTC and remanded the case for further proceedings

Issue:
WON the claim in the allegation in the complaint of private respondent has already
prescribed and has no sufficient cause of action because the phrase “repeated
requests and demands for payment” is not sufficient to state a cause of action

Ruling:
No, the claim in petitioner’s complaint has not prescribed and petitioner has a valid
cause of action. Complaint is a concise statement of the ultimate facts constituting the
plaintiff’s cause or causes of action.
Section 3 of Rule 6 state that a "complaint is a concise statement of theultimate facts
constituting the plaintiff's cause or causes of action." Further elaboratingthereon,
Section 1 of Rule 8 declares that every pleading, including, of course, a
complaint,"shall contain in a methodical and logical form, a plain, concise and direct
statement of theultimate facts . . . omitting the statement of mere evidentiary facts."
"Ultimate facts" arethe essential and substantial facts which either form the basis of
the primary right and duty or which directly make up the wrongful acts or omissions
of the defendant (Tantuico,Jr.vs. Republic of the Phil., et al., 204 SCRA [1991]), while
"evidentiary facts" are those which tend to prove or establish said ultimate facts . . . A
complaint is sufficient if it contains sufficient notice of the cause of action even though
the allegation may be vague or indefinite, for in such case, the recourse of the
defendant would be to file a motion for bill of particulars (Ramos vs. Condez, 20 SCRA
1146 [1967]). It is indeed the better rule that, pleadings, as well as remedial laws,
should be liberally construed so that the litigants may have ample opportunity to
prove their respective claims so as to void possible denial of substantial justice due to
legal technicalities (Adamo, et al vs. Intermediate Appellate Court, et al., 191 SCRA
195 [1990]). In the case at bar, the circumstances of BPI extending loans and credit to
Far East and the failure of the latter to pay and discharge the same upon maturity are
the only ultimate facts which have to be pleaded, although the facts necessary to make
the mortgage valid enforceable must be proven during the trial (Ortiz v.Garcia, 15 Phil.
192 [1910])
REPUBLIC OF THE PHILIPPINES (PRESIDENTIAL COMMISSION ON
GOODGOVERNMENT), petitioner, vs. SANDIGANBAYAN, BIENVENIDO R.
TANTOCO, JR. and DOMINADOR R.SANTIAGO, respondents
G.R. No. 90478 November 21, 1991
FACTS:
The case was commenced on July 21, 1987 by the Presidential Commission on Good
Government (PCGG) in behalf of the Republic of the Philippines. The complaint which
initiated the action was denominated one "for reconveyance, reversion, accounting,
restitution and damages," and was avowedly filed pursuant to Executive Order No. 14
of President Corazon C. Aquino. After having been served with summons, Tantoco, Jr.
and Santiago, instead of filing their answer, jointly filed a "Motion to Strike Out Some
Portions of the Complaint and For Bill of Particulars of Other Portions." The PCGG
filed an opposition thereto, and the movants, a reply to the opposition. Tantoco and
Santiago then presented a “motion for leave to file interrogatories under Rule 25 of the
Rules of Court" of which the PCGG responded by filing a motion. On March 18, 1988,
in compliance with the Order of January 29, 1988, the PCGG filed an Expanded
Complaint of which the Sandiganbayan denied with a Resolution. Tantoco and
Santiago then filed an Answer with Compulsory Counterclaim. On July 27, 1989
Tantoco and Santiago filed with the Sandiganbayan a pleading denominated
"Interrogatories to Plaintiff," and on August 2, 1989, an "Amended Interrogatories to
Plaintiff"' as well as a Motion for Production and Inspection of Documents. The
Sandiganbayan admitted the Amended Interrogatories and granted the motion for
production and inspection of documents respectively. PCGG filed a Motion for
Reconsideration of the Resolution of August 25, 1989, it also filed an opposition to the
Amended Interrogatories. Tantoco and Santiago filed a reply and opposition. After
hearing, the Sandiganbayan promulgated two (2) Resolutions. Hence, this present
petition.
ISSUES:
1. WON PETITIONER CAN OBJECT TO THE INTERROGATORIES SERVED ON IT
INACCORDANCE WITH RULE 25 OF THE RULES OF COURT.
2. WON SANDIGANBAYAN ERRED IN ORDERING FOR THE PRODUCTION
ANDINSPECTION OF SPECIFIED DOCUMENTS AND THINGS ALLEGEDLY IN
THEPOSSESSION OF PCGG.
Ruling:
1. No. The State is, of course, immune from suit in the sense that it cannot, as a rule,
be sued without its consent. But it is axiomatic that in filing an action, it divests itself
of its sovereign character and sheds its immunity from suit, descending to the level of
an ordinary litigant. The PCGG cannot claim a superior or preferred status to the
state, even while assuming to represent or act for the State.
2. No. The Court gives short shrift to the argument that some documents sought to be
produced and inspected had already been presented in Court and marked
preliminarily as PCGG's exhibits, the movants having in fact viewed, scrutinized and
even offered objections thereto and made comments thereon. Obviously, there is
nothing secret or confidential about these documents. No serious objection can
therefore be presented to the desire of the private respondents to have copies of those
documents in order to study them some more or otherwise use them during the trial
for any purpose allowed by law.

FORTUNE CORPORATION VS. CA AND INTER-MERCHANTS CORPORATION

Facts:
This is a petition for certiorari of the decision of the respondent CA affirming the
decision of the RTC of San Pablo City disallowing the taking of the oral deposition of
Juanito A. Teope who was the chairman of the Board Directors of private respondent.
An action for breach of contract was filed by the petitioner against the private
respondent and after the latter filed its answer petitioner served them with written
interrogatories pursuant to Rule 25 of the ROC. The pre-trial was scheduled for
January 9, February 12 and April 22, 1992.

On March 26, 1992, petitioner served the private respondent a Notice to Take
Deposition Upon Oral Examination notifying the latter that petitioner would take the
deposition of the chairman in accordance with Section 15, Rule 24. Private
Respondent filed an Urgent Motion Not to Take Deposition/Vehement Opposition to
Plaintiff’s Notice to Take Deposition Upon Oral Examination alleging that: a) petitioner
has previously availed of one mode of discovery, b) there is absolutely no sound reason
or justification advanced for the taking of the oral deposition, c) such taking would
cause annoyance, embarrassment and oppression upon the prospective deponent, d)
deponent has no intention of leaving the country, e)the intended deponent is available
to testify in open court if required during the trial on the merits.

Trial court ruled that the deposition should not be taken on the grounds that the
deposition of Juanito A. Teope appears unwarranted since the proposed deponent had
already responded to the written interrogatories of the plaintiff and has signified his
availability to testify in court. The petitioner filed an original action for certiorari before
the SC and was referred to the CA for further adjudication on the merits. CA ruled
dismissing the petition holding that the RTC has jurisdiction to direct, in its
discretion, that a deposition shall not be taken, if there are valid reasons for the
ruling. This is provided for in Sections 16 and 18, Rule 24 of the ROC which imply
that the right of the party to take depositions as means of discovery is not absolute.
They reasoned that: a)proposed deponent had earlier responded to the written
interrogatories; b)deponent had signified his availability to testify in court; c)to allow
the deposition would deprive the trial court of the opportunity to ask clarificatory
question.

With the denial of the petitioner’s MFR the instant petition was filed with the SC.

ISSUE:
1.WON that the decision of respondent court dismissing its petition on the ground that
appeal and not certiorari is the proper remedy in this case, is erroneous for the reason
that such ruling is based on facts which are not obtaining in the case at bar, viz.: (a)
that petitioner had already obtained a deposition, which it had not; (b) that said
deposition was offered as evidence, which was not done because there was nothing yet
to offer, and (c) that said offer was rejected, which did not happen because there was
nothing to reject as nothing was offered.

2. WONthe trial court gravely abused its discretion in ordering that the deposition be
not taken in the absence of good cause therefor. It asserts that the reasons advanced
by the trial court cannot
be considered "good cause" within the contemplation of the law, which reasons, to
repeat, are: (a) that the proposed deponent had earlier responded to written
interrogatories; (b) that the proposed deponent had signified his availability to testify
in court; and (c) that to allow the deposition would deprive the trial court of the
opportunity to ask clarificatory questions to the vital witness.

RULING:
The SC discussed that the finer attributed of the rules of discovery would contribute
immensely to the attainment of the judiciary’s primordial goal of expediting the
disposition of cases. The deposition-discovery procedure was designed to remedy the
conceded inadequacy and cumbersomeness of the pre-trial functions of notice-giving,
issue formulation and face revelation theretofore performes primarily by the pleadings.
The various modes or instruments of discovery are meant to serve 1) as a device, along
with the pre trial hearing under Rule 20, to narrow and clarify the basic issues
between the parties and 2) as a device for ascertaining the facts relative to those
issues. The evident purpose is to enable the parties consistent with recognized
privileges to obtain the fullest possible knowledge of the issues and facts before civil
trials and thus prevent that said trials are carried on in the dark. To this end , the
field of inquiry that may be covered by depositions or interrogatories is as broad as
when the interrogated party is called as witness to testify orally at trial.

I. Section 16 of Rule 24 provides that after notice is served for taking a deposition by
oral examination, upon motion seasonably made by any party or by the person to be
examined and upon notice and for good cause shown, the court in which the action is
pending may, among others, make an order that the deposition shall not be taken.
This provision explicitly vests in the court the power to order that the deposition shall
not be taken and this grant connotes the authority to exercise discretion in connection
therewith. It is well settled, however, that the discretion conferred by law is not
unlimited: that it must be exercised, not arbitrarily, capriciously, or oppressively, but
in a reasonable manner and in consonance with the spirit of the law, to the end that
its purpose may be attained.

Pursuant to this rule, it has been held that certiorari will not lie to review or correct
discovery orders made prior to trial. 11 This is because, like other discovery orders,
orders made under Section 16, Rule 24 are interlocutory and not appealable, 12
considering that they do not finally dispose of the proceeding or of any independent
offshoot of it. However, such rules are subject to the exception that discretionary acts
will be reviewed where the lower court or tribunal has acted without or in excess of its
jurisdiction, where an interlocutory order does not conform to essential requirements
of law and may reasonably cause material injury throughout subsequent proceedings
for which the remedy of appeal will be inadequate, or where there is a clear or serious
abuse of discretion. It is our considered opinion that on the bases of circumstances
obtaining in the case at bar, and which will hereinafter be discussed, certiorari may be
availed of to review the questioned order of the trial court. SC ruled that certiorari
may be availed of to review the questioned order of the trial court.

II. It is true that to ensure that availment of the modes of discovery would be
untrammeled and efficacious, Rule 29 imposes serious sanctions on the party who
refuses to comply with or respond to the modes of discovery, such as dismissing his
action or proceeding or part thereof, or rendering judgment by default against the
disobedient party; contempt of court, or arrest of the party or agent of the party;
payment of the amount of reasonable expenses incurred in obtaining a court order to
compel discovery; taking the matters inquired into as established in accordance with
the claim of the party seeking discovery; refusal to allow the disobedient party to
support or oppose designated claims or defenses; striking out his pleadings or parts
thereof; or staying further proceedings. Section 16 of Rule 24 clearly states that it is
only upon notice and for good cause shown that the court may order that the
deposition shall not be taken. The matter of good cause is to be determined by the
court in the exercise of judicial discretion. The requirement, however, that good cause
be shown for a protective order puts the burden on the party seeking relief to show
some plainly adequate reasons for the order. A particular and specific demonstration
of facts, as distinguished from conclusory statements, is required to establish good
cause for the issuance of a protective order. 16 What constitutes good cause
furthermore depends upon the kind of protective order that is sought.

The allegation that the deponent knows nothing about the matters involved does not
justify prohibiting the taking of the deposition, nor that whatever the witness knows is
protected by the "work product doctrine," nor that privileged information or trade
secrets will be sought in the course of the examination, nor that all the transactions
were either conducted or confirmed in writing. 18 In the present case, private
respondent failed to sufficiently establish that there is good cause to support the order
of the trial court that the deposition shall not be taken.

1. On the question of whether an oral deposition might be taken after service of


interrogatories, the courts took a relatively liberal view. In Howard v. States Marine
Corp., the first case in which this question was raised, Judge Hilbert said that:
"Where it develops that examination by interrogatories has been inadequate, the court
unquestionably has, and in a proper case should exercise, discretion to permit an oral
examination. But it should be made to clearly appear that the relevant subject matter
will not involve the interrogation of the witness with respect to those particulars upon
which he was examined by interrogatories." It is quite clear, therefore, and we so hold
that under the present Rules the fact that a party has resorted to a particular method
of discovery will not bar subsequent use of other discovery devices, as long as the
party is not attempting to circumvent a ruling of the court, or to harass or oppress the
other party. As a matter of practice, it will often be desirable to resort to both
interrogatories and depositions in one or the other sequence.

2. The availability of the proposed deponent to testify in court does not constitute
"good cause" to justify the court's order that his deposition shall not be taken. That
the witness is unable to attend or testify is one of the grounds when the deposition of
a witness may be used in court during the trial. 25 But the same reason cannot be
successfully invoked to prohibit the taking of his deposition.
The right to take statements and the right to use them in court have been kept entirely
distinct. The utmost freedom is allowed in taking depositions; restrictions are imposed
upon their use. Regardless of the development of devices for pre-trial fact
investigation, our legal system is now thoroughly committed to the notion that on the
trial itself the adducing of facts by viva voce testimony of witnesses — whose
demeanor and manner are subject to the observation of the judge — is superior to the
use of written statements of the same witnesses. Preference for oral testimony has
dictated most of the limitations on the use of depositions as evidence. And since their
use as evidence was originally conceived as the sole function of depositions proper, the
limitations on their taking dovetailed with the limitations on their use. But under the
concept adopted by the new Rules, the deposition serves the double function of a
method of discovery — with use on trial not necessarily contemplated — and a method
of presenting testimony. Accordingly, no limitations other than relevancy and privilege
have been placed on the taking of depositions, while the use at the trial is subject to
circumscriptions looking toward the use of oral testimony wherever practicable.

3. The main reason given in support of the contested order is that, if the deposition
were taken, the court could not observe the behavior of the deponents. The
insufficiency of this circumstance to justify the interdiction of the taking of a
deposition becomes apparent when we consider that, otherwise, no deposition could
ever be taken, said objection or handicap being common to all depositions alike.
Finally, in the absence of proof, the allegation that petitioner merely intended to
annoy, harass or oppress the proposed deponent cannot ably support the setting aside
of a notice to take deposition.
Orders to protect the party or witness from annoyance, embarrassment or oppression
may be issued if the following requirements are complied with: (a) that there is a
motion made by any party or by the person to be examined; (b) that the motion has
been seasonably filed; (c) that there is good cause shown; and (d) that notice of such
motion has been served to the other party.

4. Finally, in the absence of proof, the allegation that petitioner merely intended to
annoy, harass or oppress the proposed deponent cannot ably support the setting aside
of a notice to take deposition.
Orders to protect the party or witness from annoyance, embarrassment or oppression
may be issued if the following requirements are complied with: (a) that there is a
motion made by any party or by the person to be examined; (b) that the motion has
been seasonably filed; (c) that there is good cause shown; and (d) that notice of such
motion has been served to the other party. Inconvenience to the party whose
deposition is to be taken is not a valid objection to the taking of his deposition. 32 No
doubt, private respondent and its representative who is to be examined will be
inconvenienced — as are all parties when required to submit to examination — but
this is no ground for denial of the deposition-discovery process.
On the bases of the foregoing disquisitions, we find and so hold that the trial court
committed a grave abuse of discretion in issuing an order that the deposition shall not
be taken in this case, and that respondent court erred in affirming the same.

WHEREFORE, the petition is GRANTED. The questioned decision of respondent Court


of Appeals is hereby REVERSED and SET ASIDE, and judgment is hereby rendered
ORDERING the court a quo to allow herein petitioner to take the deposition upon oral
examination of Juanito S. Teope in and for purposes of Civil Case No. SP-3469
pending before it. SO ORDERED.

People of the Philippines vs Abelardo Parungao

FACTS

The accused-appellant Parungao was arraigned and tried separately for the
information filed against him and the other 15 jail-breakers of the the Provincial Jail of
Pampanga of the crime of robbery with homicide upon which on the incident of the
jailbreak 2 jail guards were killed on the discharge of their duties and of the missing 6
firearms and for serious physical injury caused to the other jail guard, he was
convicted as a co-conspirator and principal by inducement. Unsatisfied with the lower
court's ruling hence the case was elevated to the court of appeal upon which the
accused- appellant contended that the testimonies of the 4 witnesses presented by the
prosecution are merely hearsays of which the witnesses testified and conveyed matters
to court that are not of their own personal knowledge and were merely narrated to
them with the other detainees.

ISSUE

The admissibility of a hearsay evidence.

RULING

The court ruled in favor of the accused-appeallant, acquitting him of the crime
charged against him, citing that Generally hearsay evidence are inadmissible however
when not objected may result in its being admitted, but the same should not mislead
into thinking that its admission is equated with weight evidence. That hearsay
evidence whether objected to or not be given credence for it has no probative value.

The court also emphasizes that the trial court gravely erred in giving weight to the
hearsay evidence that was presented since it it is violative of the hearsay rule and
same was unconstitutional for said act-the accused was not given an opportunity to
meet the witnesses face-to-face and to subject the source of the information to the
rigid test of cross-examination.

Conspiracy against the accused-appellant has not been established beyond reasonable
doubt.

CARMELITA TAN and RODOLFO TAN VS. COURT OF APPEALS et al


[G.R. No. L-22793, May 16, 1967]

Facts:
At first, petitioners, thru their mother as guardian ad litem, sued respondent Tan for
acknowledgment and support. The first civil case was dismissed on the ground that
parties have already come to an amicable settlement.

1 year and eight months thereafter, petitioners, this time thru their maternal
grandfather as guardian ad litem, commenced the present action before the Juvenile &
Domestic Relations Court for acknowledgment and support, involving the same
parties, cause of action and subject matter. The case was again dismissed by reason of
res judicata and insufficiency of evidence.

On appeal, petitioners contends that the testimony of their witnesses, who were
unable to testify in the 2nd trial must be admissible, applying Rule 130 Sec 41.

SEC. 41. Testimony at a former trial. — The testimony of a witness deceased or out of
the Philippines, or unable to testify, given in a former case between the same parties,
relating to the same matter, the adverse party having had an opportunity to cross-
examine him, may be given in evidence.

Notably, the witnesses were subpoenaed by the Juvenile & Domestic Relations Court a
number of times. But, they did not appear to testify. These witnesses were neither
dead nor outside of the Philippines.

Issue:

Are the witnesses' testimonies in the former trial within the coverage of the rule of
admissibility intended for witnesses of the class unable to testify?

Held:

NO. They cannot be categorized as witnesses of the class unable to testify. The
witnesses in question were available. Only, they refused to testify. No other person
that prevented them from testifying, is cited. Certainly, they do not come within the
legal purview of those unable to testify.

To emphasize, subsequent failure or refusal to appear thereat [second trial] or hostility


since testifying at the first trial does not amount to inability to testify. To be qualified,
such inability should proceed from a grave cause, almost amounting to death, as
when the witness is old and has lost the power of speech.

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