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ex post facto laws are 1) statutes that make an act punishable as a crime when such act was not an offense when committed; 2) laws which, while not creating new offenses, aggravate the seriousness of a crime; 3) statutes which prescribes greater punishment for a crime already committed; or, 4) laws which alter the rules of evidence so as to make it substantially easier to convict a defendant. 25

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Does the Treaty's retroactive application violate the Constitutional prohibition against ex post facto laws? Early commentators understood ex post facto laws to include all laws of retrospective application, whether civil or criminal. 23 However, Chief Justice Salmon P. Chase, citing Blackstone, The Federalist and other early U.S. state constitutions in Calder vsBull 24 concluded that the concept was limited only to penal and criminal statutes. As conceived under our Constitution, ex post facto laws are 1) statutes that make an act punishable as a crime when such act was not an offense when committed; 
2) laws which, while not creating new offenses, aggravate the seriousness of a crime; 
3) statutes which prescribes greater punishment for a crime already committed; or, 
4) laws which alter the rules of evidence so as to make it substantially easier to convict a defendant. 25 

"Applying the constitutional principle, the (Court) has held that the prohibition applies only to criminal legislation which affects the substantial rights of the accused." 26 This being so, there is no absolutely no merit in petitioner's contention that the ruling of the lower court sustaining the Treaty's retroactive application with respect to offenses committed prior to the Treaty's coming into force and effect, violates the Constitutional prohibition against ex post facto laws. As the Court of Appeals correctly concluded, the Treaty is neither a piece of criminal legislation nor a criminal procedural statute. "It merely provides for the extradition of persons wanted for prosecution of an offense or a crime which offense or crime was already committed or consummated at the time the treaty was ratified." 27


In signing the Treaty, the government of the Philippines has determined that it is within its interests to enter into agreement with the government of Australia regarding the repatriation of persons wanted for criminal offenses in either country. The said Treaty was concurred and ratified by the Senate in a Resolution dated September 10, 1990. Having been ratified in accordance with the provision of the 1987 Constitution, the Treaty took effect thirty days after the requirements for entry into force were complied with by both governments.

FIRST DIVISION

G.R. No. 113213 August 15, 1994
PAUL JOSEPH WRIGHT, petitioner, 
vs.
HON. COURT OF APPEALS, HON. JUDGE JOSE DE LA RAMA, RTC, BRANCH 139, MAKATI, M.M. and HON. FRANK DRILON, SECRETARY OF JUSTICE, respondents.

pp v.ferrer : bill of attainder

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On March 5, 1970 a criminal complaint for violation of section 4 of the Anti-Subversion Act was filed against the respondent Feliciano Co in the Court of First Instance of Tarlac. On March 10 Judge Jose C. de Guzman conducted a preliminary investigation and, finding a prima facie case against Co, directed the Government prosecutors to file the corresponding information. The twice-amended information, docketed as Criminal Case No. 27, recites:
That on or about May 1969 to December 5, 1969, in the Municipality of Capas, Province of Tarlac, Philippines, and within the jurisdiction of this Honorable Court, the abovenamed accused, feloniously became an officer and/or ranking leader of the Communist Party of the Philippines, an outlawed and illegal organization aimed to overthrow the Government of the Philippines by means of force, violence, deceit, subversion, or any other illegal means for the purpose of establishing in the Philippines a totalitarian regime and placing the government under the control and domination of an alien power, by being an instructor in the Mao Tse Tung University, the training school of recruits of the New People's Army, the military arm of the said Communist Party of the Philippines.
That in the commission of the above offense, the following aggravating circumstances are present, to wit:
(a) That the crime has been committed in contempt of or with insult to public authorities;
(b) That the crime was committed by a band; and afford impunity.
(c) With the aid of armed men or persons who insure or afford impunity.
Co moved to quash on the ground that the Anti-Subversion Act is a bill of attainder.
Meanwhile, on May 25, 1970, another criminal complaint was filed with the same court, sharing the respondent Nilo Tayag and five others with subversion. After preliminary investigation was had, an information was filed, which, as amended, reads:
The undersigned provincial Fiscal of Tarlac and State Prosecutors duly designated by the Secretary of Justice to collaborate with the Provincial Fiscal of Tarlac, pursuant to the Order dated June 5, above entitled case, hereby accuse Nilo S. Tayag, alias Romy Reyes alias TABA, ARTHUR GARCIA, RENATO (REY) CASIPE, ABELARDO GARCIA, MANUEL ALAVADO, BENJAMIN BIE alias COMMANDER MELODY and several JOHN DOES, whose identities are still unknown, for violation of REPUBLIC ACT No. 1700, otherwise known as the Anti-Subversion Law, committed as follows:
That in or about March 1969 and for sometime prior thereto and thereafter, in the Province of Tarlac, within the jurisdiction of this Honorable Court, and elsewhere in the Philippines, the above-named accused knowingly, willfully and by overt acts organized, joined and/or remained as offices and/or ranking leaders, of the KABATAANG MAKABAYAN, a subversive organization as defined in Republic Act No. 1700; that BENJAMIN BIE and COMMANDER MELODY, in addition thereto, knowingly, willfully and by over acts joined and/or remained as a member and became an officer and/or ranking leader not only of the Communist Party of the Philippines but also of the New People's Army, the military arm of the Communist Party of the Philippines; and that all the above-named accused, as such officers and/or ranking leaders of the aforestated subversive organizations, conspiring, confederating and mutually helping one another, did then and there knowingly, willfully and feloniously commit subversive and/or seditious acts, by inciting, instigating and stirring the people to unite and rise publicly and tumultuously and take up arms against the government, and/or engage in rebellious conspiracies and riots to overthrow the government of the Republic of the Philippines by force, violence, deceit, subversion and/or other illegal means among which are the following:
1. On several occasions within the province of Tarlac, the accused conducted meetings and/or seminars wherein the said accused delivered speeches instigating and inciting the people to unite, rise in arms and overthrow the Government of the Republic of the Philippines, by force, violence, deceit, subversion and/or other illegal means; and toward this end, the said accused organized, among others a chapter of the KABATAANG MAKABAYAN in barrio Motrico, La Paz, Tarlac for the avowed purpose of undertaking or promoting an armed revolution, subversive and/or seditious propaganda, conspiracies, and/or riots and/or other illegal means to discredit and overthrow the Government of the Republic of the Philippines and to established in the Philippines a Communist regime.
2. The accused NILO TAYAG alias ROMY REYES alias TABA, together with FRANCISCO PORTEM alias KIKO Gonzales and others, pursued the above subversive and/or seditious activities in San Pablo City by recruiting members for the New People's Army, and/or by instigating and inciting the people to organize and unite for the purpose of overthrowing the Government of the Republic of the Philippines through armed revolution, deceit, subversion and/or other illegal means, and establishing in the Philippines a Communist Government.
That the following aggravating circumstances attended the commission of the offense: (a) aid of armed men or persons to insure or afford impunity; and (b) craft, fraud, or disguise was employed.
On July 21, 1970 Tayag moved to quash, impugning the validity of the statute on the grounds that (1) it is a bill of attainder; (2) it is vague; (3) it embraces more than one subject not expressed in the title thereof; and (4) it denied him the equal protection of the laws.
Resolving the constitutional issues raised, the trial court, in its resolution of September 15, 1970, declared the statute void on the grounds that it is a bill of attainder and that it is vague and overboard, and dismissed the informations against the two accused. The Government appealed. We resolved to treat its appeal as a special civil action for certiorari.
II. Is the Act a Bill of Attainder?
Article III, section 1 (11) of the Constitution states that "No bill of attainder or ex port facto law shall be enacted."2 A bill of attainder is a legislative act which inflicts punishment without trial.3 Its essence is the substitution of a legislative for a judicial determination of guilt.4 The constitutional ban against bills of attainder serves to implement the principle of separation of powers 5 by confining legislatures to
rule-making 6 and thereby forestalling legislative usurpation of the judicial function.7 History in perspective, bills of attainder were employed to suppress unpopular causes and political minorities, 8 and it is against this evil that the constitutional prohibition is directed. The singling out of a definite class, the imposition of a burden on it, and a legislative intent, suffice to stigmatizea statute as a bill of attainder. 9
In the case at bar, the Anti-Subversion Act was condemned by the court a quo as a bill of attainder because it "tars and feathers" the Communist Party of the Philippines as a "continuing menace to the freedom and security of the country; its existence, a 'clear, present and grave danger to the security of the Philippines.'" By means of the Act, the trial court said, Congress usurped "the powers of the judge," and assumed "judicial magistracy by pronouncing the guilt of the CCP without any of the forms or safeguards of judicial trial." Finally, according to the trial court, "if the only issue [to be determined] is whether or not the accused is a knowing and voluntary member, the law is still a bill of attainder because it has expressly created a presumption of organizational guilt which the accused can never hope to overthrow."
1. When the Act is viewed in its actual operation, it will be seen that it does not specify the Communist Party of the Philippines or the members thereof for the purpose of punishment. What it does is simply to declare the Party to be an organized conspiracy for the overthrow of the Government for the purposes of the prohibition, stated in section 4, against membership in the outlawed organization. The term "Communist Party of the Philippines" issued solely for definitional purposes. In fact the Act applies not only to the Communist Party of the Philippines but also to "any other organization having the same purpose and their successors." Its focus is not on individuals but on conduct. 10
This feature of the Act distinguishes it from section 504 of the U.S. Federal Labor-Management Reporting and Disclosure Act of 1959 11 which, in U.S. vs. Brown, 12 was held to be a bill of attainder and therefore unconstitutional. Section 504 provided in its pertinent parts as follows:
(a) No person who is or has been a member of the Communist
Party ... shall serve —
(1) as an officer, director, trustee, member of any executive board or similar governing body, business agent, manager, organizer, or other employee (other than as an employee performing exclusively clerical or custodial duties) of any labor organization.
during or for five years after the termination of his membership in the Communist Party....
(b) Any person who willfully violates this section shall be fined not more than $10,000 or imprisoned for not more than one year, or both.
This statute specified the Communist Party, and imposes disability and penalties on its members. Membership in the Party, without more, ipso facto disqualifies a person from becoming an officer or a member of the governing body of any labor organization. As the Supreme Court of the United States pointed out:
Under the line of cases just outlined, sec. 504 of the Labor Management Reporting and Disclosure Act plainly constitutes a bill of attainder. Congress undoubtedly possesses power under the Commerce Clause to enact legislation designed to keep from positions affecting interstate commerce persons who may use of such positions to bring about political strikes. In section 504, however, Congress has exceeded the authority granted it by the Constitution. The statute does not set forth a generally applicable rule decreeing that any person who commits certain acts or possesses certain characteristics (acts and characteristics which, in Congress' view, make them likely to initiate political strikes) shall not hold union office, and leaves to courts and juries the job of deciding what persons have committed the specified acts or possessed the specified characteristics. Instead, it designates in no uncertain terms the persons who possess the feared characteristics and therefore cannot hold union office without incurring criminal liability — members of the Communist Party.
Communist Party v. Subversive Activities Control Board, 367 US 1, 6 L ed 2d 625, 81 S CT 1357, lend a support to our conclusion. That case involved an appeal from an order by the Control Board ordering the Communist Party to register as a "Communist-action organization," under the Subversive Activities Control Act of 1950, 64 Stat 987, 50 USC sec. 781 et seq. (1958 ed). The definition of "Communist-action organization" which the Board is to apply is set forth in sec. 3 of the Act:
[A]ny organization in the United States ... which (i)is substantially directed, dominated, or controlled by the foreign government or foreign organization controlling the world Communist movement referred to in section 2 of this title, and(ii) operates primarily to advance the objectives of such world Communist movement... 64 Stat 989, 50 USC sec. 782 (1958 ed.)
A majority of the Court rejected the argument that the Act was a bill of attainder, reasoning that sec. 3 does not specify the persons or groups upon which the deprivations setforth in the Act are to be imposed, but instead sets forth a general definition. Although the Board has determined in 1953 that the Communist Party was a "Communist-action organization," the Court found the statutory definition not to be so narrow as to insure that the Party would always come within it:
In this proceeding the Board had found, and the Court of Appeals has sustained its conclusion, that the Communist Party, by virtud of the activities in which it now engages, comes within the terms of the Act. If the Party should at anytime choose to abandon these activities, after it is once registered pursuant to sec. 7, the Act provides adequate means of relief. (367 US, at 87, 6 L ed 2d at 683)
Indeed, were the Anti-Subversion Act a bill of attainder, it would be totally unnecessary to charge Communists in court, as the law alone, without more, would suffice to secure their punishment. But the undeniable fact is that their guilt still has to be judicially established. The Government has yet to prove at the trial that the accused joined the Party knowingly, willfully and by overt acts, and that they joined the Party, knowing its subversive character and with specific intent to further its basic objective, i.e., to overthrow the existing Government by force deceit, and other illegal means and place the country under the control and domination of a foreign power.
As to the claim that under the statute organizationl guilt is nonetheless imputed despite the requirement of proof of knowing membership in the Party, suffice it to say that is precisely the nature of conspiracy, which has been referred to as a "dragneet device" whereby all who participate in the criminal covenant are liable. The contention would be correct if the statute were construed as punishing mere membership devoid of any specific intent to further the unlawful goals of the Party. 13 But the statute specifically required that membership must be knowing or active, with specific intent to further the illegal objectives of the Party. That is what section 4 means when it requires that membership, to be unlawful, must be shown to have been acquired "knowingly, willfully and by overt acts." 14 The ingredient of specific intent to pursue the unlawful goals of the Party must be shown by "overt acts." 15 This constitutes an element of "membership" distinct from the ingredient of guilty knowledge. The former requires proof of direct participation in the organization's unlawful activities, while the latter requires proof of mere adherence to the organization's illegal objectives.
2. Even assuming, however, that the Act specifies individuals and not activities, this feature is not enough to render it a bill of attainder. A statute prohibiting partners or employees of securities underwriting firms from serving as officers or employees of national banks on the basis of a legislative finding that the persons mentioned would be subject to the temptation to commit acts deemed inimical to the national economy, has been declared not to be a bill of attainder. 16 Similarly, a statute requiring every secret, oath-bound society having a membership of at least twenty to register, and punishing any person who becomes a member of such society which fails to register or remains a member thereof, was declared valid even if in its operation it was shown to apply only to the members of the Ku Klux Klan. 17
In the Philippines the validity of section 23 (b) of the Industrial Peace Act, 18 requiring labor unions to file with the Department of Labor affidavits of union officers "to the effect that they are not members of the Communist Party and that they are not members of any organization which teaches the overthrow of the Government by force or by any illegal or unconstitutional method," was upheld by this Court. 19
But when the judgment expressed in legislation is so universally acknowledged to be certain as to be "judicially noticeable," the legislature may apply its own rules, and judicial hearing is not needed fairly to make such determination. 25
In New York ex rel. Bryant vs. Zimmerman26 the New York legislature passed a law requiring every secret, oath-bound society with a membership of at least twenty to register, and punishing any person who joined or remained a member of such a society failing to register. While the statute did not specify the Ku Klux Klan, in its operation the law applied to the KKK exclusively. In sustaining the statute against the claim that it discriminated against the Ku Klux Klan while exempting other secret, oath-bound organizations like masonic societies and the Knights of Columbus, the United States Supreme Court relied on common knowledge of the nature and activities of the Ku Klux Klan. The Court said:
The courts below recognized the principle shown in the cases just cited and reached the conclusion that the classification was justified by a difference between the two classes of associations shown by experience, and that the difference consisted (a) in a manifest tendency on the part of one class to make the secrecy surrounding its purpose and membership a cloak for acts and conduct inimical to personal rights and public welfare, and (b) in the absence of such a tendency on the part of the other class. In pointing out this difference one of the courts said of the Ku Klux Klan, the principal association in the included class: "It is a matter of common knowledge that this organization functions largely at night, its members disguised by hoods and gowns and doing things calculated to strike terror into the minds of the people;" and later said of the other class: "These organizations and their purposes are well known, many of them having been in existence for many years. Many of them are oath-bound and secret. But we hear no complaint against them regarding violation of the peace or interfering with the rights of others." Another of the courts said: "It is a matter of common knowledge that the association or organization of which the relator is concededly a member exercises activities tending to the prejudice and intimidation of sundry classes of our citizens. But the legislation is not confined to this society;" and later said of the other class: "Labor unions have a recognized lawful purpose. The benevolent orders mentioned in the Benevolent Orders Law have already received legislative scrutiny and have been granted special privileges so that the legislature may well consider them beneficial rather than harmful agencies." The third court, after recognizing "the potentialities of evil in secret societies," and observing that "the danger of certain organizations has been judicially demonstrated,"— meaning in that state, — said: "Benevolent orders, labor unions and college fraternities have existed for many years, and, while not immune from hostile criticism, have on the whole justified their existence."
We assume that the legislature had before it such information as was readily available including the published report of a hearing, before a committee of the House of Representatives of the 57th Congress relating to the formation, purposes and activities of the Klu Klux Klan. If so it was advised — putting aside controverted evidence — that the order was a revival of the Ku Klux Klan of an earlier time with additional features borrowed from the Know Nothing and the A. P. A. orders of other periods; that its memberships was limited to native-born, gentile, protestant whites; that in part of its constitution and printed creed it proclaimed the widest freedom for all and full adherence to the Constitution of the United States; in another exacted of its member an oath to shield and preserve "white supremacy;" and in still another declared any person actively opposing its principles to be "a dangerous ingredient in the body politic of our country and an enemy to the weal of our national commonwealth;" that it was conducting a crusade against Catholics, Jews, and Negroes, and stimulating hurtful religious and race prejudices; that it was striving for political power and assuming a sort of guardianship over the administration of local, state and national affairs; and that at times it was taking into its own hands the punishment of what some of its members conceived to be crimes. 27
In the Philippines the character of the Communist Party has been the object of continuing scrutiny by this Court. In 1932 we found the Communist Party of the Philippines to be an illegal association. 28 In 1969 we again found that the objective of the Party was the "overthrow of the Philippine Government by armed struggle and to establish in the Philippines a communist form of government similar to that of Soviet Russia and Red China." 29 More recently, in Lansang vs. Garcia30 we noted the growth of the Communist Party of the Philippines and the organization of Communist fronts among youth organizations such as the Kabataang Makabayan (KM) and the emergence of the New People's Army. After meticulously reviewing the evidence, we said: "We entertain, therefore, no doubts about the existence of a sizeable group of men who have publicly risen in arms to overthrow the government and have thus been and still are engaged in rebellion against the Government of the Philippines.
3. Nor is it enough that the statute specify persons or groups in order that it may fall within the ambit of the prohibition against bills of attainder. It is also necessary that it must apply retroactively and reach past conduct. This requirement follows from the nature of a bill of attainder as a legislative adjudication of guilt. As Justice Frankfurter observed, "frequently a bill of attainder was ... doubly objectionable because of its ex post facto features. This is the historic explanation for uniting the two mischiefs in one
clause — 'No Bill of Attainder or ex post facto law shall be passed.' ... Therefore, if [a statute] is a bill of attainder it is also an ex post facto law. But if it is not an ex post facto law, the reasons that establish that it is not are persuasive that it cannot be a bill of attainder." 31
Thus in Gardner vs. Board of Public Works32 the U.S. Supreme Court upheld the validity of the Charter of the City of Los Angeles which provided:
... [N]o person shall hold or retain or be eligible for any public office or employment in the service of the City of Los Angeles, in any office or department thereof, either elective or appointive, who has within five (5) years prior to the effective date of this section advised, advocated, or taught, or who may, after this section becomes effective, become a member of or affiliated with any group, society, association, organization or party which advises, advocates or teaches or has within said period of five (5) years advised, advocated, or taught the overthrow by force or violence of the Government of the United States of America or of the State of California.
In upholding the statute, the Court stressed the prospective application of the Act to the petitioner therein, thus:
... Immaterial here is any opinion we might have as to the charter provision insofar as it purported to apply restrospectively for a five-year period to its effective date. We assume that under the Federal Constitution the Charter Amendment is valid to the extent that it bars from the city's public service persons who, subsequently to its adoption in 1941, advise, advocate, or reach the violent overthrow of the Government or who are or become affiliated with any group doing so. The provisions operating thus prospectively were a reasonable regulation to protect the municipal service by establishing an employment qualification of loyalty to the State and the United States.
... Unlike the provisions of the charter and ordinance under which petitioners were removed, the statute in the Lovett case did not declare general and prospectively operative standards of qualification and eligibility for public employment. Rather, by its terms it prohibited any further payment of compensationto named individuals or employees. Under these circumstances, viewed against the legislative background, the statutewas held to have imposed penalties without judicial trial.
Indeed, if one objection to the bill of attainder is thatCongress thereby assumed judicial magistracy, them it mustbe demonstrated that the statute claimed to be a bill of attainderreaches past conduct and that the penalties it imposesare inescapable. As the U.S. Supreme Court observedwith respect to the U.S. Federal Subversive Activities ControlAct of 1950:
Nor is the statute made an act of "outlawry" or of attainderby the fact that the conduct which it regulates is describedwith such particularity that, in probability, few organizationswill come within the statutory terms. Legislatures may act tocurb behaviour which they regard as harmful to the public welfare,whether that conduct is found to be engaged in by manypersons or by one. So long as the incidence of legislation issuch that the persons who engage in the regulated conduct, bethey many or few, can escape regulation merely by altering thecourse of their own present activities, there can be no complaintof an attainder. 33
This statement, mutatis mutandis, may be said of theAnti-Subversion Act. Section 4 thereof expressly statesthat the prohibition therein applies only to acts committed"After the approval of this Act." Only those who "knowingly,willfully and by overt acts affiliate themselves with,become or remain members of the Communist Party of thePhilippines and/or its successors or of any subversive association"after June 20, 1957, are punished. Those whowere members of the Party or of any other subversive associationat the time of the enactment of the law, weregiven the opportunity of purging themselves of liability byrenouncing in writing and under oath their membershipin the Party. The law expressly provides that such renunciationshall operate to exempt such persons from penalliability. 34 The penalties prescribed by the Act are thereforenot inescapable.
III. The Act and the Requirements of Due Process
1. As already stated, the legislative declaration in section 2 of the Act that the Communist Party of the Philippinesis an organized conspiracy for the overthrow of theGovernment is inteded not to provide the basis for a legislativefinding of guilt of the members of the Party butrather to justify the proscription spelled out in section 4. Freedom of expression and freedom of association are sofundamental that they are thought by some to occupy a"preferred position" in the hierarchy of constitutional values. 35 Accordingly, any limitation on their exercise mustbe justified by the existence of a substantive evil. This isthe reason why before enacting the statute in question Congressconducted careful investigations and then stated itsfindings in the preamble, thus:
... [T]he Communist Party of the Philippines althoughpurportedly a political party, is in fact an organized conspiracyto overthrow the Government of the Republic of the Philippinesnot only by force and violence but also by deceit, subversionand other illegal means, for the purpose of establishing in thePhilippines a totalitarian regime subject to alien dominationand control;
... [T]he continued existence and activities of the CommunistParty of the Philippines constitutes a clear, present andgrave danger to the security of the Philippines;
... [I]n the face of the organized, systematice and persistentsubversion, national in scope but international in direction,posed by the Communist Party of the Philippines and its activities,there is urgent need for special legislation to cope withthis continuing menace to the freedom and security of the country.
In truth, the constitutionality of the Act would be opento question if, instead of making these findings in enactingthe statute, Congress omitted to do so.
In saying that by means of the Act Congress has assumed judicial magistracy, the trial courd failed to takeproper account of the distinction between legislative fact and adjudicative fact. Professor Paul Freund elucidatesthe crucial distinction, thus:
... A law forbidding the sale of beverages containingmore than 3.2 per cent of alcohol would raise a question of legislativefact, i.e., whether this standard has a reasonable relationto public health, morals, and the enforcement problem. Alaw forbidding the sale of intoxicating beverages (assuming itis not so vague as to require supplementation by rule-making)would raise a question of adjudicative fact, i.e., whether thisor that beverage is intoxicating within the meaning of the statuteand the limits on governmental action imposed by the Constitution. Of course what we mean by fact in each case is itselfan ultimate conclusion founded on underlying facts and oncriteria of judgment for weighing them.
A conventional formulation is that legislative facts — those facts which are relevant to the legislative judgment — will not be canvassed save to determine whether there is a rationalbasis for believing that they exist, while adjudicativefacts — those which tie the legislative enactment to the litigant — are to be demonstrated and found according to the ordinarystandards prevailing for judicial trials. 36
The test formulated in Nebbia vs. new York37 andadopted by this Court in Lansang vs. Garcia38 is that 'if laws are seen to have a reasonable relation to a proper legislative purpose, and are neither arbitrary nor discriminatory, the requirements of due process are satisfied, and judicial determination to that effect renders a court functus officio." The recital of legislative findings implements this test.
With respect to a similar statement of legislative findingsin the U.S. Federal Subversive Activities Control Actof 1950 (that "Communist-action organizations" are controlledby the foreign government controlling the worldCommunist movement and that they operate primarily to"advance the objectives of such world Communist movement"),the U.S. Supreme Court said:
It is not for the courts to reexamine the validity of theselegislative findings and reject them....They are the productof extensive investigation by Committes of Congress over morethan a decade and a half. Cf. Nebbia v. New York, 291 U.S.502, 516, 530. We certainly cannot dismiss them as unfoundedirrational imaginings. ... And if we accept them, as we mustas a not unentertainable appraisal by Congress of the threatwhich Communist organizations pose not only to existing governmentin the United States, but to the United States as asovereign, independent Nation. ...we must recognize that thepower of Congress to regulate Communist organizations of thisnature is
extensive. 39
This statement, mutatis mutandis, may be said of thelegislative findings articulated in the Anti-Subversion Act.
That the Government has a right to protect itself againstsubversion is a proposition too plain to require elaboration.Self-preservation is the "ultimate value" of society. It surpasses and transcendes every other value, "forif a society cannot protect its very structure from armedinternal attack, ...no subordinate value can be protected" 40 As Chief Justice Vinson so aptly said in Dennis vs. United States41
Whatever theoretical merit there may be to the argumentthat there is a 'right' to rebellion against dictatorial governmentsis without force where the existing structure of government provides for peaceful and orderly change. We rejectany principle of governmental helplessness in the face of preparationfor revolution, which principle, carried to its logical conclusion,must lead to anarchy. No one could conceive that it isnot within the power of Congress to prohibit acts intended tooverthrow the government by force and violence.
2. By carefully delimiting the reach of the Act to conduct (as explicitly described in sectin 4 thereof), Congressreaffirmed its respect for the rule that "even throughthe governmental purpose be legitimate and substantial,that purpose cannot be pursued by means that broadly stiflefundamental personal liberties when the end can be more narrowly achieved." 42 The requirement of knowing membership,as distinguished from nominal membership, hasbeen held as a sufficient basis for penalizing membershipin a subversive organization. 43 For, as has been stated:
Membership in an organization renders aid and encouragement to the organization; and when membership is acceptedor retained with knowledge that the organization is engaged inan unlawful purpose, the one accepting or retaining membershipwith such knowledge makes himself a party to the unlawfulenterprise in which it is engaged. 44
3. The argument that the Act is unconstitutionallyoverbroad because section 2 merely speaks of "overthrow"of the Government and overthrow may be achieved by peaceful means, misconceives the function of the phrase"knowingly, willfully and by overt acts" in section 4. Section 2 is merely a legislative declaration; the definitionsof and the penalties prescribed for the different acts prescribedare stated in section 4 which requires that membershipin the Communist Party of the Philippines, to be unlawful, must be acquired "knowingly, willfully and by overt acts." Indeed, the first "whereas" clause makes clear thatthe overthrow contemplated is "overthrow not only by forceand violence but also be deceit, subversion and other illegalmeans." The absence of this qualificatio in section 2 appearsto be due more to an oversight rather than to deliberateomission.
Moreover, the word "overthrow' sufficiently connotesthe use of violent and other illegal means. Only in a metaphoricalsense may one speak of peaceful overthrow ofgovernments, and certainly the law does not speak in metaphors.In the case of the Anti-Subversion Act, the use ofthe word "overthrow" in a metaphorical sense is hardlyconsistent with the clearly delineated objective of the "overthrow,"namely, "establishing in the Philippines a totalitarianregime and place [sic] the Government under thecontrol and domination of an alien power." What thisCourt once said in a prosecution for sedition is appropos: "The language used by the appellant clearly imported anoverthrow of the Government by violence, and it should beinterpreted in the plain and obvious sense in which it wasevidently intended to be understood. The word 'overthrow'could not have been intended as referring to an ordinarychange by the exercise of the elective franchise. The useof the whip [which the accused exhorted his audience to useagainst the Constabulary], an instrument designed toleave marks on the sides of adversaries, is inconsistentwith the mild interpretation which the appellant wouldhave us impute to the language." 45
IV. The Act and the Guaranty of Free Expression
As already pointed out, the Act is aimed against conspiracies to overthrow the Government by force, violence orother illegal means. Whatever interest in freedom of speechand freedom of association is infringed by the prohibitionagainst knowing membership in the Communist Party ofthe Philippines, is so indirect and so insubstantial as to beclearly and heavily outweighed by the overriding considerationsof national security and the preservartion of democraticinstitutions in his country.
The membership clause of the U.S. Federal Smith Actis similar in many respects to the membership provision ofthe Anti-Subversion Act. The former provides:
Whoever organizes or helps or attempts to organize anysociety, group, or assembly of persons who teach, advocate, orencourage the overthrow or destruction of any such governmentby force or violence; or becomes or is a member of, or affiliatedwith, any such society, group or assembly of persons, knowingthe purpose thereof —
Shall be fined not more than $20,000 or imprisoned notmore than twenty years, or both, and shall be ineligible for emplymentby the United States or any department or agencythereof, for the five years next following his conviction.... 46
In sustaining the validity of this provision, the "Court said in Scales vs. United States47
It was settled in Dennis that advocacy with which we arehere concerned is not constitutionally protected speech, and itwas further established that a combination to promote suchadvocacy, albeit under the aegis of what purports to be a politicalparty, is not such association as is protected by the firstAmendment. We can discern no reason why membership, whenit constitutes a purposeful form of complicity in a group engagingin this same forbidden advocacy, should receive anygreater degree of protection from the guarantees of that Amendment.
Moreover, as was held in another case, where the problemsof accommodating the exigencies of self-preservationand the values of liberty are as complex and intricate as inthe situation described in the legislative findings stated inthe U.S. Federal Subversive Activities Control Act of 1950,the legislative judgment as to how that threat may best bemet consistently with the safeguards of personal freedomsis not to be set aside merely because the judgment of judgeswould, in the first instance, have chosen other methods. 48 For in truth, legislation, "whether it restrains freedom tohire or freedom to speak, is itself an effort at compromisebetween the claims of the social order and individual freedom,and when the legislative compromise in either case isbrought to the judicial test the court stands one step removedfrom the conflict and its resolution through law." 49
V. The Act and its Title
The respondent Tayag invokes the constitutional commandthat "no bill which may be enacted into law shall embrace more than one subject which shall be expressed in the title of the bill." 50
What is assailed as not germane to or embraced in thetitle of the Act is the last proviso of section 4 which reads:
And provided, finally, That one who conspires with anyother person to overthrow the Government of the Republic ofthe Philippines, or the government of any of its political subdivisionsby force, violence, deceit, subversion or illegal means,for the purpose of placing such Government or political subdivisionunder the control and domination of any lien power, shallbe punished by prision correccional to prision mayor with allthe accessory penalties provided therefor in the same code.
It is argued that the said proviso, in reality, punishes notonly membership in the Communist Party of the Philippinesor similar associations, but as well "any conspiracyby two persons to overthrow the national or any local governmentby illegal means, even if their intent is not to establisha totalitarian regime, burt a democratic regime, evenif their purpose is not to place the nation under an aliencommunist power, but under an alien democratic power likethe United States or England or Malaysia or even an anti-communistpower like Spain, Japan, Thailand or Taiwanor Indonesia."
The Act, in addition to its main title ("An Act to Outlawthe Communist Party of the Philippines and SimilarAssociations, Penalizing Membership Therein, and forOther Purposes"), has a short title. Section 1 providesthat "This Act shall be known as the
Anti-Subversion Act."Together with the main title, the short title of the statuteunequivocally indicates that the subject matter is subversionin general which has for its fundamental purpose the substitutionof a foreign totalitarian regime in place of theexisting Government and not merely subversion by Communistconspiracies..
The title of a bill need not be a catalogue or an indexof its contents, and need not recite the details of the Act. 51 It is a valid title if it indicates in broad but clear termsthe nature, scope, and consequences of the proposed lawand its operation. 52 A narrow or technical construction isto be avoided, and the statute will be read fairly and reasonablyin order not to thwart the legislative intent. We holdthat the Anti-Subversion Act fully satisfies these requirements.
VI. Conclusion and Guidelines
In conclusion, even as we uphold the validity of theAnti-Subversion Act, we cannot overemphasize the needfor prudence and circumspection in its enforcement, operatingas it does in the sensitive area of freedom of expressionand belief. Accordingly, we set the following basic guidelines to be observed in any prosecution under the Act.The Government, in addition to proving such circumstancesas may affect liability, must establish the following elementsof the crime of joining the Communist Party of the Philippinesor any other subversive association:
(1) In the case of subversive organizations other thanthe Communist Party of the Philippines, (a) that thepurpose of the organization is to overthrow the presentGovernment of the Philippines and to establish in thiscountry a totalitarian regime under the domination of aforeign power; (b) that the accused joined such organization;and (c) that he did so knowingly, willfully and byovert acts; and
(2) In the case of the Communist Party of the Philippines,(a) that the CPP continues to pursue the objectiveswhich led Congress in 1957 to declare it to be an organizedconspiracy for the overthrow of the Government by illegalmeans for the purpose of placing the country under thecontrol of a foreign power; (b) that the accused joined theCPP; and (c) that he did so willfully, knowingly and byovert acts.
We refrain from making any pronouncement as to thecrime or remaining a member of the Communist Party ofthe Philippines or of any other subversive association: weleave this matter to future determination.
ACCORDINGLY, the questioned resolution of September15, 1970 is set aside, and these two cases are herebyremanded to the court a quo for trial on the merits. Costs de oficio.
Makalintal, Zaldivar, Teehankee, Barredo and Esguerra, JJ., concur.
Concepcion, C.J., concurs in the result.
Makasiar and Antonio, JJ., took no part.



Separate Opinions

FERNANDO, J., dissenting:
It is with regard that I find myself unable to join therest of my brethren in the decision reached upholding thevalidity of the Anti-Subversion Act.1 It is to be admittedthat the learned and scholarly opinbion of Justice Castro hasthe impress of conscientious and painstaking scrutiny ofthe constitutional issues raised. What is more, the stressin the concluding portion thereof on basic guidelines thatwill assure in the trial of those prosecuted under suchAct respect for their constitutional rights is to be commended.Nonetheless, my own reading of the decisionscited, interpreting the bill of attainder clause2 coupled withthe fears, perhaps induced by a too-latitudinarian constructionof the guarantees of freedom of belief and expression3 as well as freedom of association 4 as to impermissible inroadsto which they may be exposed, compels a differentconclusion. Hence this dissent.
1. There is to be sure no thought on my part that theequally pressing concern of state safety and security shouldbe ignored. The political branches of the governmentwould lay themselves oepn to a justifiable indictment fornegligence had they been remiss in their obligation tosafeguard the nation against its sworn enemies. In a simplerera, where the overthrow of the government wasusually through the rising up in arms, with weapons farless sophisticated than those now in existence, there wasno constitutional issue of the magnitude that now confrontsus. Force has to be met with force. It was as clearcutas that. Advances in science as well as more subtlemethods of inducing disloyalty and weakening the senseof allegiance have introduced complexities in coping withsuch problems. There must be then, and I am the firstto recognize it, a greater understanding for the governmentalresponde to situations of that character. It is inthat light that the validity of the Anti-Subversion Act isto be appraised. From ny standpoint, and I am not presumptuousenough to claim that it is the only perspectiveor that is the most realistic, I feel that there was an insufficientappreciation of the compulsion of the constitutionalcommands against bills of attainder and abridgmentof free speech. I am comforted by the thought that evenhad my view prevailed, all that it would mean is that anew legislation, more in comformity to my way of thinkingto what is ordained by the fundamental law, wouldhave to be enacted. No valid fear need be entertained thenthat a setback would be occasioned to legitilate state effortsto stem the tide of subversive activities, in whateverform manifested.
2. The starting point in any inquiry as to the significanceof the bill of attainder clause is the meaning attachedto it by the Constitutional Convention of 1934 and by the people who adopted it. As was explained by the then Delegate, later Justice, Jose P. Laurel in his address on November19, 1934 as Chairman of the Committee on the Bill of Rights quoted in the opinion of the Court: "A billof attainder is a legislative act which inflicts punishment without judicial trial. (Cummings v. United States, 4Wall. 277, 18 L ed 356). In England, the Bill of Attainder was an act of Parliament by which a man was tried, convictedand sentenced to death without a jury, without ahearing in court, without hearing the witnesses againsthim and without regard to the rules of evidence. His bloodwas attainted or corrupted, rendering him devoid of allheritable quality — of acquiring and disposing property bydescent. (Ex parteGarland, 4 Wall. 333, 18 L ed. 366) If the penalty imposed was less than death, the act wasknown as a 'bill of pains and penalties.' Bills of attainder, like ex post facto laws, were favorite methods of Stuartoppression. Once, the name of Thomas Jefferson was includedin a bill of attainder presented to Parliament becauseof his reform activities."5 Two American SupremeCourt decision were thus in the minds of the framers.They are Cummings v. Missouri 6 and Ex parte Garland. 7 They speak unequivocally. Legislative acts, no matter whattheir form, that apply either to named individuals or easilyascertainable members of a group in such a way as to inflicton them punishment amounting to a deprivation ofany right, civil or political, without judicial trial are billsof attainder prohibited by the Constitution. 8
Cummings v. Missouri 9 was a criminal prosecution ofa Catholic priest for refusing to take the loyalty oath requiredby the state Constitution of Missouri of 1865. Undersuch a provision, lawyers, doctors, ministers, and otherprofessionals must disavow that they had ever, "by act orword," manifested a "desire" for the success of the nation'senemies or a sympathy" with the rebels of the AmericanCivil War. If they swore falsely, they were guilty of perjury.If they engaged in their professions without theoath, they were criminally liable. The United States Supreme Court condemned the provision as a bill of attainder,identified as any legislative act inflicting punishment withoutjudicial trial. The deprivation of any right, civil orpolitical, previously enjoyed, amounted to a punishment.Why such a conclusion was unavoidable was explained inthe opinion of Justice Field thus: "A bill of attainder isa legislative act, which inflicts punishment without a judicialtrial. If the punishment be less than death, the actis termed a bill of pains and penalties. Within the meaningof the Constitution, bills of attainder include bills ofpains and penalties. In these cases the legislative body, inaddition to its legitimate functions, exercises the powersand office of judge; it assumes, in the language of thetextbooks, judicial magistracy; it pronounces upon theguilt of the party, without any of the forms or safeguardsof trial; it determines the sufficiency of the proofs produced,whether conformable to the rules of evidence orotherwise; and it fixes the degree of punishment in accordancewith its own notions of the enormity of the offense. ... If the clauses of the 2d article of the Constitutionof Missouri, to which we have referred, had in termsdeclared that Mr. Cummings was guilty, or should be heldguilty, of having been in armed hostility to the UnitedStates, or of having entered that state to avoid beingenrolled or drafted into the military service of the UnitedStates, and, therefore, should be deprived of the right topreach as a priest of the Catholic church, or to teach inany institution of learning, there could be no question thatthe clauses would constitute a bill of attainder within themeaning of the Federal Constitution. If these clauses, insteadof mentioning his name, had declared that all priestsand clergymen within the state of Missouri were guiltyof these acts, or should be held guilty of them, and hencebe subjected to the like deprivation, the clause would beequally open to objection. And further, it these clauseshad declared that all such priests and clergymen shouldbe so held guilty, and be thus deprived, provided they didnot, by a day designated, do certain specified acts, theywould be no less within the inhibition of the Federal Constitution.In all these cases there would be the legislativeenactment creating the deprivation, without any of theordinary forms and guards provided for the security ofthe citizen in the administration of justice by the establishedtribunales." 10
On the very same day that the ruling in Cummings washanded down, Ex parte Garland 11 was also decided. Thatwas a motion for leave to practrice as an attorney beforethe American Supreme Court. Petitioner Garland wasadmitted to such bar at the December term of 1860. Underthe previous rules of such Court, all that was necessarywas that the applicant have three years practice in the statecourts to which he belonged. In March 1865, the rule waschanged by the addition of a clause requiring that an oathbe taken under the Congressional acts of 1862 and 1865to the effect that such candidate for admission to the barhad never voluntarily borne arms against the UnitedStates. Petitioner Garland could not in conscience subscribeto such an oath, but he was able to show a presidentialpardon extended on July 15, 1865. With such actof clemency, he moved that he be allowed to continue inpractice contending that the test oath requirement wasunconstitutional as a bill of attainder and that at any rate,he was pardoned. The same ruling was announced by theCourt again through Justice Field. Thus: "In the exclusionwhich the statute adjudges, it imposes a punishmentfor some of the acts specified which were not punishableat the time they were committedl; and for other of the actsit adds a new punishment to that before prescribed, andit is thus brought within the further inhibition of the Consitutionagainst the passage of an ex post facto law. Inthe case of Cummings v. Missouri, just decided, ... wehave had occasion to consider at length the meaning of abill of attainder and of an ex post facto law in the clauseof the Constitution forbidding their passage by the states,and it is unnecessary to repeat here what we there said.A like prohibition is contained in the Constitution againstenactments of this kind by Congress; and the argumentpresented in that case against certain clauses of the Constitutionof Missouri is equally applicable to the act ofCongress under consideration in this case." 12
There was a reiteration of the Cummings and Garlanddoctrine in United States v. Lovett, 13 decided in 1946.There it was shown that in 1943 the respondents, Lovett,Watson, and Dodd, were and had been for several yearsworking for the government. The government agencies,which had lawfully employed them, were fully satisfiedwith the quality of their work and wished to keep thememployed on their jobs. Over their protest, Congress providedin Section 304 of the Urgent Deficiency AppropriationAct of 1943, by way of an amendment attached to theHouse Bill, that after November 15, 1943, no salary orcompensation should be paid respondent out of any moneythen or thereafter appropriated except for services as jurorsor members of the armed forces, unless they wereprior to November 15, 1943, again appointed to jobs bythe President with the advide and consent of the Senate.Notwithstanding such Congressional enactment, and thefailure of the President to reappoint the respondents, theagencies, kept all the respondents at work on their jobs forvarying periods after November 15, 1943, but their compensationwas discontinued after that date. Respondentsbrought this action in the Court of Claims for the salariesto which they felt entitled. The Ameican Supreme Courtstated that its inquiry was thus confined to whether theaction in the light of proper construction of the Act presenteda justificiable controversy, and, if so, whether Section304 is a bill of attainder insofar as the respondents wereconcerned.
After holding that there was a juditiciable, view theAmerican Supreme Court in an opinion by Justice Blackcategorically affirmed: "We hold that Section 304 fallsprecisely within the category of Congressional actionswhich the Constitution barred by providing that 'No Billof Attainder or ex post Law shall be passed.' InCummings v. State of Missouri, ... this Court said, 'Abill of attainder is a legislative act which inflicts punishmentwithout a judicial trial. If the punishment be lessthan death, the act is termed a bill of pains and penalties.Within the meaning of the Constitution, bills of attainderinclude bills of pains and penalties.' ... On the sameday the Cummings case was decided, the Court, in Exparte Garland, also held invalid on the same grounds anAct of Congress which required attorneys practicing beforethis Court to take a similar oath. Neither of thesecases has ever been overruled. They stand for the propositionthat legislative acts, no matter what their form,that apply either to named individuals or to easily ascertainablemembers of a group in such a way as to inflictpunishment on them without a judicial trial are billsof attainder prohibited by the Constitution. Adherenceto this principle requires invalidation of Section 304. Wedo adhere to it." 14
United States v. Brown 15 a 1965 decision was the firstcase to review a conviction under the Labor-ManagementReporting and Disclosure Act of 1959, making it a crimefor a member of the Communist Party to serve as anofficer ir, except in clerical or custodial positions, anemployee of a labor union. Respondent Brown, a longshoremanon the San Francisco docks, and an open andavowed Communist, for more than a quarter of a centurywas elected to the Executive Board of Local 10 of theInternational Longshoremen's and Warehousemen's Unionfor consecutive one-year terms in 1959, 1960, and 1961.On May 24, 1961, respondent was charged in a one-countindictment returned in a district court of California withservicing as a member of an executive board of a labororganization while a member of the Communist Party, inwillful violation of the above provision. The question ofits validity under the bill of attainder clause was thusproperly raised for adjudication. While convicted in thelower court, the Court of Appeals for the Ninth Circuitreversed. It was sustained by the American SupremeCourt. As noted in the opinion by Chief Justice Warren,"the wide variation in form, purpose and effect of ante-Constitutionbills of attainder indicates that the properscope of the Bill of Attainder Clause, and its relevance tocontemporary problems, must ultimately be sought by attemptingto discern the reasons for its inclusion in theConstitution, and the evils it was desinged to eliminate.The best available evidence, the writings of the architectsof our constitutional system, indicates that the Bill ofAttainder Clause was inteded not as a narrow, technical(and therefore soon to be outmoded) prohibition, but ratheras an implementation of the separation of powers, ageneral safeguard against legislative exercise of the judicialfunction, or more simply — trial by legislature." 16 Then after referring to Cummings, Garland, and Lovett,Chief Justice Warren continued: "Under the line of casesjust outlined, Sec. 504 of the Labor Management Reportingand Disclosure Act plainly constitutes a bill of attainder. Congress undoubtedly possesses power under theCommerce Clause to enact legislation designed to keepfrom positions affecting interstate commerce persons whomay use such positions to bring about political strikes. In Sec. 504, however, Congress has exceeded the authoritygranted it by the Constitution. The statute does not setforth a generally applicable rule decreeing that any personwho commits certain acts or possesses certain characteristics (acts and characteristics whhich, in Congress'view, make them likely to initiate political strikes) shallnot hold union office, and leave to courts and juries thejob of deciding what persons have committed the specifiedacts or possessed the specified characteristics. Instead,it designates in no uncertain terms the personswho possess the fearec characteristics and therefore cannothold union office without incurring criminal liability — members of the Communist Party." 17
Even Communist Party v. Subversive Activities ControlBoard, 18 where the provision of the Subversive ActivitiesControl Act of 1950 requiring the Communist Party ofthe United States to register was sustained, the opinionof Justice Frankfurter for the Court, speaking for a five-manmajority, did indicate adherence to the Cummingsprinciple. Had the American Communist Party been outlawed,the outcome certainly would have been different.Thus: "The Act is not a bill of attainder. It attaches notto specified organizations but to described activities inwhich an organization may or may not engage. The singlingout of an individual for legislatively prescribed punishmentconstitutes an attainder whether the individualis called by name or described in terms of conduct which,because it is past conduct, operates only as a designationof particular persons. ... The Subversive Activities ControlAct is not of that king. It requires the registrationonly of organizations which, after the date of the Act,are found to be under the direction, domination, or controlof certain foreign powers and to operate primarily toadvance certain objectives. This finding must be madeafter full administrative hearing, subject to judicial reviewwhich opens the record for the reviewing court'sdetermination whether the administrative findings as tofact are supported by the preponderance of the evidence.Present activity constitutes an operative element to whichthe statute attaches legal consequences, not merely a pointof reference for the ascertainment of particularly personsineluctably designated by the legislature." 19
The teaching of the above cases, which I find highlypersuasive considering what appeared to be in the mindsof the framers of the 1934 Constitutional Conventionyields for me the conclusion that the Anti-SubversionAct falls within the ban of the bill of attainder clause. Itshould be noted that three subsequent cases upholding theCummings and Garland doctrine were likewise cited in theopinion of the Court. The interpretation accorded to themby my brethren is, of course, different but I am unable togo along with them especially in the light of the categoricallanguage appearing in Lovett. This is not to lose sightof the qualification that for them could deprive such aholding of its explicit character as shown by this excerptfrom the opinion of the Court: "Indeed, were the Anti-SubversionAct a bill of attainder it would be totally unnecessaryto charge communists in court, as the law alone,without more, would suffice to secure their conviction andpunishment. But the fact is that their guilt still has to bejudicially estblished. The Government has yet to proveat the trial that the accused joined the Party knowingly,willfully and by overt acts, and that they joined the Partyknowing its subversive character and with specific intentto further its objective, i.e., to overthrow the existing Governmentby force, deceit, and other illegal means and placeit under the control and domination of a foreign power. 20While not implausible, I find difficulty in yielding acceptance.In Cummings, there was a criminal prosecution ofthe Catholic priest who refused to take the loyalty oath.Again in Brown, there was an indictment of the laborleader who, judging by his membership in the CommunistParty, did transgress the statutory provision subsequentlyfound offensive to the bill attainder clause. If the constructionI would place on theoff-repeated pronouncementof the American Supreme Court is correct, then the merefact that a criminal case would have to be instituted wouldnot save the statute. It does seem clear to me that fromthe very title of the Anti-Subversion Act, "to outlaw the Communist Party of the Philippines and similar associations,"not to mention other specific provisions, the taintof invalidity is quite marked. Hence, my inability to concurin the judgment reached as the statute not suffering fromany fatal infirmity in view of the Constitutional prohibitionagainst bills of attainder.
3. This brings me to the question of the alleged repugnancyof the Anti-Subversion Act to the intellectual libertysafeguarded by the Constitution in terms of the free speechand free assocition guarantees. 21 It is to be admitted thatat the time of the enactment of Republic Act No. 1700,the threat that Communism, the Russian brand then, didpose was a painful reality for Congressional leaders andthe then President. Its shadow fell squarely across thelives of all. Subversion then could neither be denied notdisparaged. There was, in the expert opinion of those conversantwith such mattes, a danger to out national existenceof no mean character. Nonetheless, the remedies toward off such menace must not be repugnant to our Constitution.We are legally precluded from acting in anyother way. The apprehension justly felt is no warrant forthrowing to the discard fundamental guarantees. Vigilantwe had to be, but not at the expense of constitutional ideals.
One of them, certainly highly-prized of the utmost significance,is the right to dissent. One can differ, evenobject; one can express dissatisfaction with things as theyare. There are timew when one not only can but must.Such dissent can take the form of the most critical andthe most disparaging remarks. They may give offense tothose in authority, to those who wield powe and influence.Nevertheless, they are entitled to constitutional protection.Insofar as the content of such dissent is concerned, thelimits are hardly discernible. It cannot be confined totrivial matters or to such as are devoid of too much significance.It can reach the heart of things. Such dissentmay, for those not so adventurous in the realm of ideas,possess a subversive tinge. Even those who oppose a democraticform of government cannot be silenced. This is trueespecially in centers of learning where scholars competentin their line may, as a result of their studies, assert thata future is bleak for the system of government now favoredby Western democracies. There may be doubts entertainedby some as to the lawfulness of their exercisingthis right to dissent to the point of advocary of such adrastic change. Any citizen may do so without fear thatthereby he incurs the risk of a penal sanction. That ismerely to affirm the truth of this ringing declaration fromJefferson: "If there be any among us who would wish todissolve this union or to change its republican form, letthem stand undisturbed as monuments of the safety withwhich error of opinion may be tolerated where reason isleft free to combat it." 22 As was so well put by the philosopher,Sidney Hook: "Without holding the right to theexpression of heresy at any time and place to be absolute — for even the right to non-heretical speech cannot beabsolute — it still seems wise to tolerate the expression evenof Communist, fascist and other heresies, lest in outlawingthem we include other kings of heresies, and deprive ourselvesof the opportunity to acquite possibly sounder ideasthan our own." 23
The line is to be drawn, however, where the wordsamount to an incitement to commit the crime of seditionor rebellion. The state has been reached, to follow theformulation of Cardozo, where thought merges into action.Thus is loyalty shown to the freedom of speech or pressordained by the Constitution. It does not bar the expressionof views affecting the very life of the state, even ifopposed to its fundamental presuppositions. It allows, ifit does not require as a matter of fact, that unorthodoxideas be freely ventilated and fully heard. Dissent is notdisloyalty.
Such an approach is reinforced by the well-settled constitutionalprinciple "that even though the governmental purposesbe legitimate and substantial, they cannot be pursuedby means that broadly stifle fundamental personalliberties when the end can be more narrowly achieved.For precision of regulation is the touchstone in an areaso closely related to our most precious freedoms." 24 This is so for "a governmental purpose to control or prevent activities constitutionally subject to state regulation may notbe achieved by means which sweep unnecessarily broadlyand thereby invade the area of protected freedoms." 25 It isindispensable then that "an over breadth" in the applicabilityof the statute be avoided. If such be the case, then theline dividing the valid from the constitutionally infirm hasbeen crossed. That for me is the conclusion to be drawnfrom the wording of the Anti-Subversion Act.
There is to my mind support for the stand I take inthe dissent of Justice Black in the Communist Party casediscussed above. What is to be kept in view is that a legislativemeasure certainly less drastic in its treatment ofthe admittedly serious Communist problem was found inthe opinion of this noted jurist offensive to the FirstAmendment of the American Constitution safeguardingfree speech. Thus: "If there is one thing certain aboutthe First Amendment it is that this Amendment was designedto guarantee the freest interchange of ideas aboutall public matters and that, of course, means the interchangeof all ideas, however such ideas may be viewed inother countries and whatever change in the existing structureof government it may be hoped that these ideas willbring about. Now, when this country is trying to spreadthe high ideals of democracy all over the world — ideals that are revolutionary in many countries — seems to be aparticularly inappropriate time to stifle First Amendmentfreedoms in this country. The same arguments that areused to justify the outlawry of Communist ideas here couldbe used to justify an outlawry of the ideas of democracyin other countries." 26 Further he stated: "I believe with theFramers of the First Amendment that the internal securityof a nation like ours does not and cannot be made todepend upon the use of force by Government to make allthe beliefs and opinions of the people fit into a commonmold on any single subject. Such enforced conformity ofthought would tend only to deprive our people of the boldspirit of adventure and progress which has brought thisNation to its present greatness. The creation of publicopinion by groups, organizations, societies, clubs, and partieshas been and is a necessary part of our democraticsociety. Such groups, like the Sons of Liberty and theAmerican Corresponding Societies, played a large part increating sentiment in this country that led the people ofthe Colonies to want a nation of their own. The Father ofthe Constitution — James Madison — said, in speakingof the Sedition Act aimed at crushing the Jefferson Party,that had that law been in effect during the period beforethe Revolution, the United States might well have continuedto be 'miserable colonies, groaning under a foreign yoke.'In my judgment, this country's internal security can betterbe served by depending upon the affection of the peoplethan by attempting to instill them with fear and dreadof the power of Government. The Communist Party hasnever been more than a small group in this country. Andits numbers had been dwindling even before the Governmentbegan its campaign to destroy the Party by force oflaw. This was because a vast majority of the Americanpeople were against the Party's policies and overwhelminglyrejected its candidates year after year. That is the trueAmerican way of securing this Nation against dangerousideas. Of course that is not the way to protect the Nationagainst actions of violence and treason. The Foundersdrew a distinction in our Constitution which we would bewise to follow. They gave the Government the fullest powerto prosecute overt actions in violation of valid lawsbut withheld any power to punish people for nothing morethan advocacy of their views." 27
With the sentiments thus expressed uppermost in mymind and congenial to my way of thinking, I cannot sharethe conclusion reached by my breathren as to the Anti-Subversion Act successfully meeting the test of validity onfree speech and freedom of association grounds.
4. It could be that this approach to the constitutionalquestions involved arises from an appraisal of the challengedstatute which for me is susceptible of an interpretationthat it does represent a defeatist attitude on thepart of those of us, who are devotees at the shrine of aliberal-democratic state. That certainly could not havebeen the thought of its framers; nonetheless, such an assumptionis not devoid of plausibility for why resort tothis extreme measure susceptible as it is to what apparentlyare not unfounded attacks on constitutional grounds?Is this not to ignore what previously was accepted as anobvious truth, namely that the light of liberalism sendsits shafts in many directions? It can illuminate, and itcan win the hearts and minds of men. It if difficult forme to accept the view then that a resort to outlawry isindispensable, that suppression is the only answer to whatis an admitted evil. There could have been a greater exposureof the undesirability of the communist creed, itscontradictions and arbitrarines, its lack of fealty to reason,its inculcation of disloyalty, and its subservience tocentralized dictation that brooks no opposition. It is thus,in a realistic sense, a manifestation of the fear of freethought and the will to suppress it. For better, of course,is the propaganda of the deed. What the communists promise,this government can fulfill. It is up to it then to takeremedial measures to alleviate the condition of our countrymenwhose lives are in a condition of destitution andmisery. It may not be able to change matters radically.At least, it should take earnest steps in that direction.What is important for those at the bottom of the economicpyramid is that they are not denied the opportunity for abetter life. If they, or at least their children, cannot evenlook forward to that, then a constitutional regime is nothingbut a mockery and a tragic illusion. Such a response,I am optimistic enough to believe, has the merit of thinning,if not completely eliminating, the embattled ranksand outposts of ignorance, fanaticism and error. That forme would be more in accordance with the basic propositionof our polity. This is not therefore to preach a doctrine of object surrender to the forces apparently bent on the adoption of a way of life so totally opposed to the deeply felt traditions of our people. This is, for me at least, an affirmation of the vitality of the democratic creed, with an expression of regret that it could not have been more impressively set forth in language worthy of the subject.
It is in the light of the views above expressed that I find myself unable to yield concurrence to the ably-written opinion of Justice Castro for the Court sustaining the validity of the Anti-Subversion Act.


Separate Opinions
FERNANDO, J., dissenting:
It is with regard that I find myself unable to join therest of my brethren in the decision reached upholding thevalidity of the Anti-Subversion Act.1 It is to be admittedthat the learned and scholarly opinbion of Justice Castro hasthe impress of conscientious and painstaking scrutiny ofthe constitutional issues raised. What is more, the stressin the concluding portion thereof on basic guidelines thatwill assure in the trial of those prosecuted under suchAct respect for their constitutional rights is to be commended.Nonetheless, my own reading of the decisionscited, interpreting the bill of attainder clause2 coupled withthe fears, perhaps induced by a too-latitudinarian constructionof the guarantees of freedom of belief and expression3 as well as freedom of association 4 as to impermissible inroadsto which they may be exposed, compels a differentconclusion. Hence this dissent.
1. There is to be sure no thought on my part that theequally pressing concern of state safety and security shouldbe ignored. The political branches of the governmentwould lay themselves oepn to a justifiable indictment fornegligence had they been remiss in their obligation tosafeguard the nation against its sworn enemies. In a simplerera, where the overthrow of the government wasusually through the rising up in arms, with weapons farless sophisticated than those now in existence, there wasno constitutional issue of the magnitude that now confrontsus. Force has to be met with force. It was as clearcutas that. Advances in science as well as more subtlemethods of inducing disloyalty and weakening the senseof allegiance have introduced complexities in coping withsuch problems. There must be then, and I am the firstto recognize it, a greater understanding for the governmentalresponde to situations of that character. It is inthat light that the validity of the Anti-Subversion Act isto be appraised. From ny standpoint, and I am not presumptuousenough to claim that it is the only perspectiveor that is the most realistic, I feel that there was an insufficientappreciation of the compulsion of the constitutionalcommands against bills of attainder and abridgmentof free speech. I am comforted by the thought that evenhad my view prevailed, all that it would mean is that anew legislation, more in comformity to my way of thinkingto what is ordained by the fundamental law, wouldhave to be enacted. No valid fear need be entertained thenthat a setback would be occasioned to legitilate state effortsto stem the tide of subversive activities, in whateverform manifested.
2. The starting point in any inquiry as to the significanceof the bill of attainder clause is the meaning attachedto it by the Constitutional Convention of 1934 and by the people who adopted it. As was explained by the then Delegate, later Justice, Jose P. Laurel in his address on November19, 1934 as Chairman of the Committee on the Bill of Rights quoted in the opinion of the Court: "A billof attainder is a legislative act which inflicts punishment without judicial trial. (Cummings v. United States, 4Wall. 277, 18 L ed 356). In England, the Bill of Attainder was an act of Parliament by which a man was tried, convictedand sentenced to death without a jury, without ahearing in court, without hearing the witnesses againsthim and without regard to the rules of evidence. His bloodwas attainted or corrupted, rendering him devoid of allheritable quality — of acquiring and disposing property bydescent. (Ex parteGarland, 4 Wall. 333, 18 L ed. 366) If the penalty imposed was less than death, the act wasknown as a 'bill of pains and penalties.' Bills of attainder, like ex post facto laws, were favorite methods of Stuartoppression. Once, the name of Thomas Jefferson was includedin a bill of attainder presented to Parliament becauseof his reform activities."5 Two American SupremeCourt decision were thus in the minds of the framers.They are Cummings v. Missouri 6 and Ex parte Garland. 7 They speak unequivocally. Legislative acts, no matter whattheir form, that apply either to named individuals or easilyascertainable members of a group in such a way as to inflicton them punishment amounting to a deprivation ofany right, civil or political, without judicial trial are billsof attainder prohibited by the Constitution. 8
Cummings v. Missouri 9 was a criminal prosecution ofa Catholic priest for refusing to take the loyalty oath requiredby the state Constitution of Missouri of 1865. Undersuch a provision, lawyers, doctors, ministers, and otherprofessionals must disavow that they had ever, "by act orword," manifested a "desire" for the success of the nation'senemies or a sympathy" with the rebels of the AmericanCivil War. If they swore falsely, they were guilty of perjury.If they engaged in their professions without theoath, they were criminally liable. The United States Supreme Court condemned the provision as a bill of attainder,identified as any legislative act inflicting punishment withoutjudicial trial. The deprivation of any right, civil orpolitical, previously enjoyed, amounted to a punishment.Why such a conclusion was unavoidable was explained inthe opinion of Justice Field thus: "A bill of attainder isa legislative act, which inflicts punishment without a judicialtrial. If the punishment be less than death, the actis termed a bill of pains and penalties. Within the meaningof the Constitution, bills of attainder include bills ofpains and penalties. In these cases the legislative body, inaddition to its legitimate functions, exercises the powersand office of judge; it assumes, in the language of thetextbooks, judicial magistracy; it pronounces upon theguilt of the party, without any of the forms or safeguardsof trial; it determines the sufficiency of the proofs produced,whether conformable to the rules of evidence orotherwise; and it fixes the degree of punishment in accordancewith its own notions of the enormity of the offense. ... If the clauses of the 2d article of the Constitutionof Missouri, to which we have referred, had in termsdeclared that Mr. Cummings was guilty, or should be heldguilty, of having been in armed hostility to the UnitedStates, or of having entered that state to avoid beingenrolled or drafted into the military service of the UnitedStates, and, therefore, should be deprived of the right topreach as a priest of the Catholic church, or to teach inany institution of learning, there could be no question thatthe clauses would constitute a bill of attainder within themeaning of the Federal Constitution. If these clauses, insteadof mentioning his name, had declared that all priestsand clergymen within the state of Missouri were guiltyof these acts, or should be held guilty of them, and hencebe subjected to the like deprivation, the clause would beequally open to objection. And further, it these clauseshad declared that all such priests and clergymen shouldbe so held guilty, and be thus deprived, provided they didnot, by a day designated, do certain specified acts, theywould be no less within the inhibition of the Federal Constitution.In all these cases there would be the legislativeenactment creating the deprivation, without any of theordinary forms and guards provided for the security ofthe citizen in the administration of justice by the establishedtribunales." 10
On the very same day that the ruling in Cummings washanded down, Ex parte Garland 11 was also decided. Thatwas a motion for leave to practrice as an attorney beforethe American Supreme Court. Petitioner Garland wasadmitted to such bar at the December term of 1860. Underthe previous rules of such Court, all that was necessarywas that the applicant have three years practice in the statecourts to which he belonged. In March 1865, the rule waschanged by the addition of a clause requiring that an oathbe taken under the Congressional acts of 1862 and 1865to the effect that such candidate for admission to the barhad never voluntarily borne arms against the UnitedStates. Petitioner Garland could not in conscience subscribeto such an oath, but he was able to show a presidentialpardon extended on July 15, 1865. With such actof clemency, he moved that he be allowed to continue inpractice contending that the test oath requirement wasunconstitutional as a bill of attainder and that at any rate,he was pardoned. The same ruling was announced by theCourt again through Justice Field. Thus: "In the exclusionwhich the statute adjudges, it imposes a punishmentfor some of the acts specified which were not punishableat the time they were committedl; and for other of the actsit adds a new punishment to that before prescribed, andit is thus brought within the further inhibition of the Consitutionagainst the passage of an ex post facto law. Inthe case of Cummings v. Missouri, just decided, ... wehave had occasion to consider at length the meaning of abill of attainder and of an ex post facto law in the clauseof the Constitution forbidding their passage by the states,and it is unnecessary to repeat here what we there said.A like prohibition is contained in the Constitution againstenactments of this kind by Congress; and the argumentpresented in that case against certain clauses of the Constitutionof Missouri is equally applicable to the act ofCongress under consideration in this case." 12
There was a reiteration of the Cummings and Garlanddoctrine in United States v. Lovett, 13 decided in 1946.There it was shown that in 1943 the respondents, Lovett,Watson, and Dodd, were and had been for several yearsworking for the government. The government agencies,which had lawfully employed them, were fully satisfiedwith the quality of their work and wished to keep thememployed on their jobs. Over their protest, Congress providedin Section 304 of the Urgent Deficiency AppropriationAct of 1943, by way of an amendment attached to theHouse Bill, that after November 15, 1943, no salary orcompensation should be paid respondent out of any moneythen or thereafter appropriated except for services as jurorsor members of the armed forces, unless they wereprior to November 15, 1943, again appointed to jobs bythe President with the advide and consent of the Senate.Notwithstanding such Congressional enactment, and thefailure of the President to reappoint the respondents, theagencies, kept all the respondents at work on their jobs forvarying periods after November 15, 1943, but their compensationwas discontinued after that date. Respondentsbrought this action in the Court of Claims for the salariesto which they felt entitled. The Ameican Supreme Courtstated that its inquiry was thus confined to whether theaction in the light of proper construction of the Act presenteda justificiable controversy, and, if so, whether Section304 is a bill of attainder insofar as the respondents wereconcerned.
After holding that there was a juditiciable, view theAmerican Supreme Court in an opinion by Justice Blackcategorically affirmed: "We hold that Section 304 fallsprecisely within the category of Congressional actionswhich the Constitution barred by providing that 'No Billof Attainder or ex post Law shall be passed.' InCummings v. State of Missouri, ... this Court said, 'Abill of attainder is a legislative act which inflicts punishmentwithout a judicial trial. If the punishment be lessthan death, the act is termed a bill of pains and penalties.Within the meaning of the Constitution, bills of attainderinclude bills of pains and penalties.' ... On the sameday the Cummings case was decided, the Court, in Exparte Garland, also held invalid on the same grounds anAct of Congress which required attorneys practicing beforethis Court to take a similar oath. Neither of thesecases has ever been overruled. They stand for the propositionthat legislative acts, no matter what their form,that apply either to named individuals or to easily ascertainablemembers of a group in such a way as to inflictpunishment on them without a judicial trial are billsof attainder prohibited by the Constitution. Adherenceto this principle requires invalidation of Section 304. Wedo adhere to it." 14
United States v. Brown 15 a 1965 decision was the firstcase to review a conviction under the Labor-ManagementReporting and Disclosure Act of 1959, making it a crimefor a member of the Communist Party to serve as anofficer ir, except in clerical or custodial positions, anemployee of a labor union. Respondent Brown, a longshoremanon the San Francisco docks, and an open andavowed Communist, for more than a quarter of a centurywas elected to the Executive Board of Local 10 of theInternational Longshoremen's and Warehousemen's Unionfor consecutive one-year terms in 1959, 1960, and 1961.On May 24, 1961, respondent was charged in a one-countindictment returned in a district court of California withservicing as a member of an executive board of a labororganization while a member of the Communist Party, inwillful violation of the above provision. The question ofits validity under the bill of attainder clause was thusproperly raised for adjudication. While convicted in thelower court, the Court of Appeals for the Ninth Circuitreversed. It was sustained by the American SupremeCourt. As noted in the opinion by Chief Justice Warren,"the wide variation in form, purpose and effect of ante-Constitutionbills of attainder indicates that the properscope of the Bill of Attainder Clause, and its relevance tocontemporary problems, must ultimately be sought by attemptingto discern the reasons for its inclusion in theConstitution, and the evils it was desinged to eliminate.The best available evidence, the writings of the architectsof our constitutional system, indicates that the Bill ofAttainder Clause was inteded not as a narrow, technical(and therefore soon to be outmoded) prohibition, but ratheras an implementation of the separation of powers, ageneral safeguard against legislative exercise of the judicialfunction, or more simply — trial by legislature." 16 Then after referring to Cummings, Garland, and Lovett,Chief Justice Warren continued: "Under the line of casesjust outlined, Sec. 504 of the Labor Management Reportingand Disclosure Act plainly constitutes a bill of attainder. Congress undoubtedly possesses power under theCommerce Clause to enact legislation designed to keepfrom positions affecting interstate commerce persons whomay use such positions to bring about political strikes. In Sec. 504, however, Congress has exceeded the authoritygranted it by the Constitution. The statute does not setforth a generally applicable rule decreeing that any personwho commits certain acts or possesses certain characteristics (acts and characteristics whhich, in Congress'view, make them likely to initiate political strikes) shallnot hold union office, and leave to courts and juries thejob of deciding what persons have committed the specifiedacts or possessed the specified characteristics. Instead,it designates in no uncertain terms the personswho possess the fearec characteristics and therefore cannothold union office without incurring criminal liability — members of the Communist Party." 17
Even Communist Party v. Subversive Activities ControlBoard, 18 where the provision of the Subversive ActivitiesControl Act of 1950 requiring the Communist Party ofthe United States to register was sustained, the opinionof Justice Frankfurter for the Court, speaking for a five-manmajority, did indicate adherence to the Cummingsprinciple. Had the American Communist Party been outlawed,the outcome certainly would have been different.Thus: "The Act is not a bill of attainder. It attaches notto specified organizations but to described activities inwhich an organization may or may not engage. The singlingout of an individual for legislatively prescribed punishmentconstitutes an attainder whether the individualis called by name or described in terms of conduct which,because it is past conduct, operates only as a designationof particular persons. ... The Subversive Activities ControlAct is not of that king. It requires the registrationonly of organizations which, after the date of the Act,are found to be under the direction, domination, or controlof certain foreign powers and to operate primarily toadvance certain objectives. This finding must be madeafter full administrative hearing, subject to judicial reviewwhich opens the record for the reviewing court'sdetermination whether the administrative findings as tofact are supported by the preponderance of the evidence.Present activity constitutes an operative element to whichthe statute attaches legal consequences, not merely a pointof reference for the ascertainment of particularly personsineluctably designated by the legislature." 19
The teaching of the above cases, which I find highlypersuasive considering what appeared to be in the mindsof the framers of the 1934 Constitutional Conventionyields for me the conclusion that the Anti-SubversionAct falls within the ban of the bill of attainder clause. Itshould be noted that three subsequent cases upholding theCummings and Garland doctrine were likewise cited in theopinion of the Court. The interpretation accorded to themby my brethren is, of course, different but I am unable togo along with them especially in the light of the categoricallanguage appearing in Lovett. This is not to lose sightof the qualification that for them could deprive such aholding of its explicit character as shown by this excerptfrom the opinion of the Court: "Indeed, were the Anti-SubversionAct a bill of attainder it would be totally unnecessaryto charge communists in court, as the law alone,without more, would suffice to secure their conviction andpunishment. But the fact is that their guilt still has to bejudicially estblished. The Government has yet to proveat the trial that the accused joined the Party knowingly,willfully and by overt acts, and that they joined the Partyknowing its subversive character and with specific intentto further its objective, i.e., to overthrow the existing Governmentby force, deceit, and other illegal means and placeit under the control and domination of a foreign power. 20While not implausible, I find difficulty in yielding acceptance.In Cummings, there was a criminal prosecution ofthe Catholic priest who refused to take the loyalty oath.Again in Brown, there was an indictment of the laborleader who, judging by his membership in the CommunistParty, did transgress the statutory provision subsequentlyfound offensive to the bill attainder clause. If the constructionI would place on theoff-repeated pronouncementof the American Supreme Court is correct, then the merefact that a criminal case would have to be instituted wouldnot save the statute. It does seem clear to me that fromthe very title of the Anti-Subversion Act, "to outlaw the Communist Party of the Philippines and similar associations,"not to mention other specific provisions, the taintof invalidity is quite marked. Hence, my inability to concurin the judgment reached as the statute not suffering fromany fatal infirmity in view of the Constitutional prohibitionagainst bills of attainder.
3. This brings me to the question of the alleged repugnancyof the Anti-Subversion Act to the intellectual libertysafeguarded by the Constitution in terms of the free speechand free assocition guarantees. 21 It is to be admitted thatat the time of the enactment of Republic Act No. 1700,the threat that Communism, the Russian brand then, didpose was a painful reality for Congressional leaders andthe then President. Its shadow fell squarely across thelives of all. Subversion then could neither be denied notdisparaged. There was, in the expert opinion of those conversantwith such mattes, a danger to out national existenceof no mean character. Nonetheless, the remedies toward off such menace must not be repugnant to our Constitution.We are legally precluded from acting in anyother way. The apprehension justly felt is no warrant forthrowing to the discard fundamental guarantees. Vigilantwe had to be, but not at the expense of constitutional ideals.
One of them, certainly highly-prized of the utmost significance,is the right to dissent. One can differ, evenobject; one can express dissatisfaction with things as theyare. There are timew when one not only can but must.Such dissent can take the form of the most critical andthe most disparaging remarks. They may give offense tothose in authority, to those who wield powe and influence.Nevertheless, they are entitled to constitutional protection.Insofar as the content of such dissent is concerned, thelimits are hardly discernible. It cannot be confined totrivial matters or to such as are devoid of too much significance.It can reach the heart of things. Such dissentmay, for those not so adventurous in the realm of ideas,possess a subversive tinge. Even those who oppose a democraticform of government cannot be silenced. This is trueespecially in centers of learning where scholars competentin their line may, as a result of their studies, assert thata future is bleak for the system of government now favoredby Western democracies. There may be doubts entertainedby some as to the lawfulness of their exercisingthis right to dissent to the point of advocary of such adrastic change. Any citizen may do so without fear thatthereby he incurs the risk of a penal sanction. That ismerely to affirm the truth of this ringing declaration fromJefferson: "If there be any among us who would wish todissolve this union or to change its republican form, letthem stand undisturbed as monuments of the safety withwhich error of opinion may be tolerated where reason isleft free to combat it." 22 As was so well put by the philosopher,Sidney Hook: "Without holding the right to theexpression of heresy at any time and place to be absolute — for even the right to non-heretical speech cannot beabsolute — it still seems wise to tolerate the expression evenof Communist, fascist and other heresies, lest in outlawingthem we include other kings of heresies, and deprive ourselvesof the opportunity to acquite possibly sounder ideasthan our own." 23
The line is to be drawn, however, where the wordsamount to an incitement to commit the crime of seditionor rebellion. The state has been reached, to follow theformulation of Cardozo, where thought merges into action.Thus is loyalty shown to the freedom of speech or pressordained by the Constitution. It does not bar the expressionof views affecting the very life of the state, even ifopposed to its fundamental presuppositions. It allows, ifit does not require as a matter of fact, that unorthodoxideas be freely ventilated and fully heard. Dissent is notdisloyalty.
Such an approach is reinforced by the well-settled constitutionalprinciple "that even though the governmental purposesbe legitimate and substantial, they cannot be pursuedby means that broadly stifle fundamental personalliberties when the end can be more narrowly achieved.For precision of regulation is the touchstone in an areaso closely related to our most precious freedoms." 24 This is so for "a governmental purpose to control or prevent activities constitutionally subject to state regulation may notbe achieved by means which sweep unnecessarily broadlyand thereby invade the area of protected freedoms." 25 It isindispensable then that "an over breadth" in the applicabilityof the statute be avoided. If such be the case, then theline dividing the valid from the constitutionally infirm hasbeen crossed. That for me is the conclusion to be drawnfrom the wording of the Anti-Subversion Act.
There is to my mind support for the stand I take inthe dissent of Justice Black in the Communist Party casediscussed above. What is to be kept in view is that a legislativemeasure certainly less drastic in its treatment ofthe admittedly serious Communist problem was found inthe opinion of this noted jurist offensive to the FirstAmendment of the American Constitution safeguardingfree speech. Thus: "If there is one thing certain aboutthe First Amendment it is that this Amendment was designedto guarantee the freest interchange of ideas aboutall public matters and that, of course, means the interchangeof all ideas, however such ideas may be viewed inother countries and whatever change in the existing structureof government it may be hoped that these ideas willbring about. Now, when this country is trying to spreadthe high ideals of democracy all over the world — ideals that are revolutionary in many countries — seems to be aparticularly inappropriate time to stifle First Amendmentfreedoms in this country. The same arguments that areused to justify the outlawry of Communist ideas here couldbe used to justify an outlawry of the ideas of democracyin other countries." 26 Further he stated: "I believe with theFramers of the First Amendment that the internal securityof a nation like ours does not and cannot be made todepend upon the use of force by Government to make allthe beliefs and opinions of the people fit into a commonmold on any single subject. Such enforced conformity ofthought would tend only to deprive our people of the boldspirit of adventure and progress which has brought thisNation to its present greatness. The creation of publicopinion by groups, organizations, societies, clubs, and partieshas been and is a necessary part of our democraticsociety. Such groups, like the Sons of Liberty and theAmerican Corresponding Societies, played a large part increating sentiment in this country that led the people ofthe Colonies to want a nation of their own. The Father ofthe Constitution — James Madison — said, in speakingof the Sedition Act aimed at crushing the Jefferson Party,that had that law been in effect during the period beforethe Revolution, the United States might well have continuedto be 'miserable colonies, groaning under a foreign yoke.'In my judgment, this country's internal security can betterbe served by depending upon the affection of the peoplethan by attempting to instill them with fear and dreadof the power of Government. The Communist Party hasnever been more than a small group in this country. Andits numbers had been dwindling even before the Governmentbegan its campaign to destroy the Party by force oflaw. This was because a vast majority of the Americanpeople were against the Party's policies and overwhelminglyrejected its candidates year after year. That is the trueAmerican way of securing this Nation against dangerousideas. Of course that is not the way to protect the Nationagainst actions of violence and treason. The Foundersdrew a distinction in our Constitution which we would bewise to follow. They gave the Government the fullest powerto prosecute overt actions in violation of valid lawsbut withheld any power to punish people for nothing morethan advocacy of their views." 27
With the sentiments thus expressed uppermost in mymind and congenial to my way of thinking, I cannot sharethe conclusion reached by my breathren as to the Anti-Subversion Act successfully meeting the test of validity onfree speech and freedom of association grounds.
4. It could be that this approach to the constitutionalquestions involved arises from an appraisal of the challengedstatute which for me is susceptible of an interpretationthat it does represent a defeatist attitude on thepart of those of us, who are devotees at the shrine of aliberal-democratic state. That certainly could not havebeen the thought of its framers; nonetheless, such an assumptionis not devoid of plausibility for why resort tothis extreme measure susceptible as it is to what apparentlyare not unfounded attacks on constitutional grounds?Is this not to ignore what previously was accepted as anobvious truth, namely that the light of liberalism sendsits shafts in many directions? It can illuminate, and itcan win the hearts and minds of men. It if difficult forme to accept the view then that a resort to outlawry isindispensable, that suppression is the only answer to whatis an admitted evil. There could have been a greater exposureof the undesirability of the communist creed, itscontradictions and arbitrarines, its lack of fealty to reason,its inculcation of disloyalty, and its subservience tocentralized dictation that brooks no opposition. It is thus,in a realistic sense, a manifestation of the fear of freethought and the will to suppress it. For better, of course,is the propaganda of the deed. What the communists promise,this government can fulfill. It is up to it then to takeremedial measures to alleviate the condition of our countrymenwhose lives are in a condition of destitution andmisery. It may not be able to change matters radically.At least, it should take earnest steps in that direction.What is important for those at the bottom of the economicpyramid is that they are not denied the opportunity for abetter life. If they, or at least their children, cannot evenlook forward to that, then a constitutional regime is nothingbut a mockery and a tragic illusion. Such a response,I am optimistic enough to believe, has the merit of thinning,if not completely eliminating, the embattled ranksand outposts of ignorance, fanaticism and error. That forme would be more in accordance with the basic propositionof our polity. This is not therefore to preach a doctrine of object surrender to the forces apparently bent on the adoption of a way of life so totally opposed to the deeply felt traditions of our people. This is, for me at least, an affirmation of the vitality of the democratic creed, with an expression of regret that it could not have been more impressively set forth in language worthy of the subject.
It is in the light of the views above expressed that I find myself unable to yield concurrence to the ably-written opinion of Justice Castro for the Court sustaining the validity of the Anti-Subversion Act.
Footnotes
1 Rep. Act. No. 1700, 12 Laws & Res. 102 (1957). The text of the statute is hereunder reproduced in full:
"AN ACT TO OUTLAW THE COMMUNIST PARTY OF THE PHILIPPINES AND SIMILAR ASSOCIATIONS PENALIZING MEMBERSHIP THEREIN, AND FOR OTHER PURPOSES.
"WHEREAS, the Communist Party of the Philippines, although purportedly a political party, is in fact an organized conspiracy to overthrow the Government of the Republic of the Philippines not only by force and violence but also by deceit, subversion and other illegal means, for the purpose of establishing in the Philippines a totalitarian regime subject to alien domination and control;
"WHEREAS, the continued existence and activities of the Communist Party of the Philippines constitutes a clear, present and grave danger to the security of the Philippines; and
"WHEREAS, in the face of the organized, systematic and persistent subversion, national in scope but international in direction, posed by the Communist Party of the Philippines and its activities, there is urgent need for special legislation to cope with this continuing menace to the freedom and security of the country: Now, therefore,
"Be it enacted by the Senate and House of Representatives of the Philippines in Congress assembled:
"Section 1. This Act shall be known as Anti-Subversion Act.
"Section 2. The Congress hereby declares the Communist Party of the Philippines to be an organized conspiracy to overthrow the Government of the Republic of the Philippines for the purpose of establishing in the Philippines a totalitarian regime and place the Government under the control and domination of an alien power. The said party and any other organization having the same purpose and their successors are hereby declared illegal and outlawed.
Section 3. As used in this Act, the term 'Communist Party of the Philippines' shall me and and include the organizations now known as the Communist Party of the Philippines and its military arm, the Hukbong Mapagpalayang Bayan, formerly known as HUKBALAHAPS, and any successors of such organizations.
"Section 4. After the approval of this Act, whoever knowingly, willfully and by overt acts affiliates himself with, becomes or remains a member of the Communist Party of the Philippines and/or its successor or of any subversive association as defined in section two hereof shall be punished by the penalty of arresto mayor and shall be disqualified permanently from holding any public office, appointive and elective, and from exercising the right to vote; in case of a second conviction, the principal penalty shall be prision correccional, and in all subsequent convictions the penalty of prision mayor shall be imposed; and any alien convicted under this Act shall be deported immediately after he shall have served the sentence imposed upon him: Provided, That if such member is an officer or a ranking leader of the Communist Party of the Philippines or of any subversive association as defined in section two hereof, or if such member takes up arms against the Government he shall be punished by prision mayor to deal with all the accessory penalties provided therefor in the Revised Penal Code: And provided, finally, That one who conspires with any other person to overthrow the Government of the Republic of the Philippines or the government of any of its political subdivisions by force, violence, deceit, subversion or other illegal means, for the purpose of placing such Government or political subdivision under the control and domination of any alien power, shall be punished by prision correccional to prision mayor with all the accessory penalties provided therefor in the same Code.
"Section 5. No prosecution under this Act shall be made unless the city or provincial fiscal, or any special attorney or prosecutor duly designated by the Secretary of Justice as the case may be, finds after due investigation of the facts, that a prima facie case for violation of this Act exists against the accused, and thereafter presents an information in court against the said accused in due form, and certifies under oath that he has conducted a proper preliminary investigation thereof, with notice, whenever it is possible to give the same, to the party concerned, who shall have the right to be represented by counsel, to testify, to have compulsory process for obtaining witness in his favor, and to cross-examine witnesses against him: Provided, That the preliminary investigation of any offense defined and penalized herein by prision mayor to death shall be conducted by the property Court of First Instance.
"Section 6. Any person who knowingly furnishes false evidence in any action brought under this Act shall be punished by prision correccional.
"Section 7. No person shall be convicted of any of the offenses penalized herein with prision mayor to death unless on the testimony of at least two witnesses to the same overt act or on confession of the accused in open court.
"Section 8. Within thirty days after the approval of this Act, any person who is a member of the Communist Party of the Philippines or of any such association or conspiracy, who desires to renounce such membership may do so in writing and under oath before a municipal or city mayor, a provincial governor, or a person authorized by law to administer oaths. Such renunciation shall exempt such person or persons from the penal sanction of this Act, but the same shall in no way exempt him from liability for criminal acts or for any violation of the existing laws of the Republic of the Philippines committed before this Act takes effect.
"Section 9. Nothing in this Act shall be interpreted as a restriction to freedom of thought, of assembly and of association for purposes not contrary to law as guaranteed by the Constitution.
"Approved, June 20, 1957."
2 Delegate Jose P. Laurel (of the 1934 Constitutional Convention) referred to the Anglo-American origin of this right thus:
"No ex post facto law or bill of attainder shall be enacted. This provision is found in the American Federal Constitution (Art. 1, Sec. 9) and is applicable to the States (id. Sec. 10). An ex post facto law is a law which makes an act punishable in a manner in which it was not punishable when committed. It creates or aggravates the crime or increases the punishment, or changes the rules of evidence for the purpose of conviction. The prohibition against the passage of ex post facto laws is an additional bulwark of personal security — protecting the citizen from punishment by legislative act which has a retrospective operation.
"The phrase ex post facto has a technical meaning and refers to crimes and criminal proceedings. It is in this sense that it was used in England. It was in this sense that the convention of 1787 understood it. (Calder v. Bull, supra; Watson v. Mercer, 8 Pet. 88, 110; Suterlee v. Mathewson, 2 Peters, 380; Kring v. Missouri, 107 U.S. 221.) This interpretation was upheld by our Supreme Court (U.S. vs. Ang Ken Ko, 6 Phil. 376.).
"A bill of attainder is a legislative act which inflicts punishment without judicial trial. (Cummings vs. United States, 4 Wall. 277, 18 L. ed. 356.) In England, the Bill of Attainder was an act of Parliament by which a man was tried, convicted and sentenced to death without a jury, without a hearing in court, without hearing the witnesses against him and without regard to the rules of evidence. His blood was attained or corrupted, rendering him devoid of all heritable quality — of acquiring and disposing property by descent. (Ex parte Garland, 4 Wall. 333, 18 L. ed 366.) If the penalty imposed was less than death, the act was known as a "bill of pains and penalties." Bills of attainder, like ex post factolaws, were favorite methods of Stuart oppression. Once, the name of Thomas Jefferson was included in a bill of attainder presented to Parliament because of his reform activities.
"Often, such bills were 'stimulated by ambition or personal resentment, and vindictive malice.' (Calder v. Bull, supra.) A well known case illustrating the ruthless manner in which a bill of attainder was resorted to was that of Thomas Wentworth, chief adviser of Charles I. He was brought to impeachment charged with attempting to subvert the liberties of England. He defended himself so ably that his enemies, fearing his acquittal, withdrew the impeachment and a bill of attainder was passed instead. Wentworth was beheaded. Bills of attainder were also passed in the Colonies (North, The Constitution of the U.S., its Sources and Applications, p. 85.) The prohibition in the Bill of Rights, therefore, seeks to present acts of violence and injustice brought about the passage of such bills." (3 J. Laurel, Proceedings of the Constitutional Convention 661-663 [1966]).
3 Cummings vs. United States, 4 Wall. (71 U.S.) 277 (1867); accordEx parte Garland, 4 Wall. (71 U.S.) 333 (1867). This definition was adopted by this Court in People vs. Carlos, 78 Phil. 535, 544 (1947) and in People vs. Montenegro, 91 Phil. 883,885 (1952).
4 De Veau vs. Braisted, 363 U.S. 144, 160 (1960); United States vs. Lovett, 328 U.S. 303, 615, (1946).
5 Chief Justice Warren referred to the Bill of Attainder Chause as an implementation of the separation of powers, "a general safeguard against legislative exercise of judicial function, or more simply, trial by legislature." United States vs. Brown, 381 U.S. 437 (1964).
6 "It is the peculiar province of the legislature to prescribe general rules for the government of society; the application of those rules to individuals in society would seem to be the duty of other departments." Fletcher vs. Peck, 6 Cranch (10 U.S.)87, 136 (1810).
7 "The legislative body in enacting bills of attainder exercises the powers and office of judge, it pronounces upon the guilt of the party, without any of the forms or safeguards of trial...it fixes the degree of punishment in accordance with its own notions of the enormity of the offense." Cummings vs. Missouri, supra note 3.
8 Bills of this sort, says Mr. Justice Story, have been most usually passed in England in times of rebellion or gross subserviency to the crown, or of violent political excitements; periods, in which all nations are most liable (as well as free as the enslabe) to forget their duties, and to trample upon the rights and liberties of others." Comm. sec. 1344, in re Young Sing Hee, 36 Fed. 347, 440. During the American revolution legislative punishments had been continued by state legislatures, when numerous bills of attainder were enacted against the Torries. 1C. Antieu, Modern Constitutional Law, 425.
9 C. Antieu, supra note 8 at 423.
10 The Supreme Court of the United States said in Fleming vs. Nestor, 363 U.S. 603, 613-14 (1960):
"In determining whether legislation which bases a disqualification on the happening of a certain past event imposes a punishment, the Court has sought to discern the objects on which the enactment in question was focused. Where the source of legislative concern can be thought to be the activity or status from which the individual is barred, the disqualification is not punishment even though it may bear harshly upon one affected."
11 73 Stat. 536, 29 U.S.C. sec. 504 (1958 ed. Supp. IV).
12 381 U.S. 437 (1965) (5-4 vote).
13 Keyishian vs. Board of Regents, 385 U.S. 589 (1967);Elfbrandt vs. Russell, 384 U.S. 11 (1966).
14 Cf . Scales vs. United States, 367 U.S. 203 (1961); Noto vs. United States, 367 U.S. 290 (1961).
15 During the Senate deliberations on the bill, Senator Cea remarked: "I have inserted the words 'overt acts' because we are punishing membership in the Communist Party. I would like that membership to be proved by overt acts, by positive acts, because it may happen that one's name may appear in the list of members." Senate Cong. Rec. May 22, 1957, p. 1900.
16 Board of Governors of Federal Reserve System vs. Agnew, 329 U.S. 441.
17 New York ex rel. Bryant vs. Zimmerman, 278 U.S. 63(1928).
18 Repealed by Rep. Act 4241.
19 Philippine Ass'n of Free Labor Unions vs. Secretary of Labor, Feb. 27, 1969, 27 SCRA 40.
20 United States vs. Lovett, 328 U.S. 303 (1946).
21 Cummings vs. Missouri, 4 Wall. (71 U.S.) 277 (1867).
22 Ex parte Garland, 4 Wall. (71 U.S.) 333 (1867).
23 United States vs. Lovett, 328 U.S. 303 (1946).
24 United States vs. Brown, 381 U.S. 437 (1965).
25 The Bounds of Legislative Specification: A Suggested Approach to the Bill of Attainder Clause, 72 Yale L. J. 330, 351-54(1962).
26 278 U.S. 63 (1928).
27 Id. at 75-77.
28 People vs. Evangelista, 57 Phil. 375 (1932); see also People vs. Evangelista, 57 Phil., 372 (1932); People vs. Capadocia, 57 Phil. 364 (1932); People vs. Evangelista, 57 Phil. 354 (1932); People vs. Feleo, 57 Phil. 451 (1932); People vs. nabong, 57 Phil. 455 (1932).
29 People vs. Lava, L-4974-78, May 16, 1969.
30 L-33864, Dec. 11, 1971, 42 SCRA 448.
31 United States vs. Lovett, 328 U.S. 303, 318 (1946).
32 341 U.S. 716 (1951).
33 Communist Party vs. Subversive Activities Control Board, 367 U.S. 1 (1960).
34 Sec. 8.
35 E. g., Kovacs vs. Cooper, 336 U.S. 77 (1949); Vera vs. Arca, L-25721, May 26, 1969, 28 SCRA 351.
36 Freund, Review of Facts in Constitutional Cases, in Supreme Court and Supreme Law 47-48 (Cahn ed. 1954).
37 291 U.S. 502, 537 (1934).
38 L-33964, Dec. 11, 1971, 41 SCRA 448.
39 Communist Party vs. S.A.C. Board, 367 U.S. 94 (1961).
40 Dennis vs. United States, 341 U.S. 494, 509 (1951).
41 Id. at 501.
42 Shelton vs. Tucker, 364 U.s. 479 (1960).
43 Scales vs. United States, 367 U.S. 203 (1961); see also Noto vs. United States, 367 U.S. 290 (1961).
44 Frankfeld vs. United States, 198 F. 2d 879 (4th Cir. 1952).
45 People vs. nabong, 57 Phil. 455, 458 (1932).
46 18 U.S.C. sec. 2385. (emphasis added).
47 367 U.S. 203 (1961).
48 Communist Party vs. Subversive Activities Control Board, 367 U.S. 1 (1961).
49 P. A. Freud, The Supreme Court of the United States 75 (1961).
50 Const., art VI, Sec. 21 (1).
51 Government vs. Hongkong & Shaihai Banking Corp., 66 Phil. 483 (1938).
52 Lindasan vs. Commission on Elections, L-28089, Oct. 25, 1967, 21 SCRA 496.
FERNANDO, J., concurring:
1 Rep. Act No. 1700 (1957)..
2 According to Art. III, Sec. 1, par. 11: "No ex post facto law or bill of attainder shall be enacted."
3 According to Art. III, Sec. 1, par. 8: "No law shall be passed abridging the freedom of speech, or of the press, or the right of the people peacebly to assemble and petition the Government for redress of grievances."
4 According to Art. III, Sec. 1 par. 4: "The liberty of abode and of changing the same within the limits prescribed by law shall not be impaired."
5 Footnote 2, p. 9 of Opinion of the Court.
6 4 Wall. 277 (1867).
7 4 Wall. 333 (1867).
8 Cf. United States v. A Lovett, 328 US 303 )1946).
9 4 Wall. 277 (1867).
10 Ibid, 323, 325.
11 4 Wall. 333 (1867).
12 Ibid, 377-378.
13 328 US 303.
14 Ibid, 315-316.
15 381 US 437.
16 Ibid, 442.
17 Ibid, 449-450.
18 367 US 1 (1961).
19 Ibid, 86-87.
20 Opinion of the Court, p. 15.
21 According to Art. III, Sec. 1, par. 6: "The right to form associations or societies for purposes not contrary to law shall not be abridged." Paragraph 8 of this section reads as follows: "No law shall be passed abridging the freedom of speech, or of the press, or the right of the people peacebly to assemble and petition the Government for redress of grievances."
22 Jefferson's First Instance Address, March 4, 1801, in Padover, ed., The Complete Jefferson, 385 (1943).
23 Hook, Heresy, Yes-Conspiracy, No. 71 (1953).
24 Gonzalez v. Commission on Elections, 27 SCRA 835,871(1969) citing Shelton v. Tucker, 364 US 479 (1960) and NAACP v. Button, 371 US 415 (1963).
25 NAACP vs. Alabama, 377 US 288 (1964).
26 Communist Party v. Subversive Activities Control Board, 367 US 1, 148.

Indeed, it is only when a statute applies either to named individuals or to easily ascertainable members of a group in such a way as to inflict punishment on them without a judicial trial does it become a bill of attainder. 20 It is upon this ground that statutes which disqualified those who had taken part in the rebellion against the Government of the United States during the Civil War from holding office, 21 or from exercising their profession, 22 or which prohibited the payment of further compensation to individuals named in the Act on the basis of a finding that they had engages in subversive activities, 23 or which made it a crime for a member of the Communist Party to serve as an officer or employee of a labor union, 24 have been invalidated as bills of attainder.

PEOPLE V. DIMAYACYAC: DOUBLE JEOPARDY

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SECOND DIVISION
G.R. No. 136264             May 28, 2004
ATTY. REYNALDO P. DIMAYACYAC, petitioner,
vs.
HON. COURT OF APPEALS, HON. VICENTE Q. ROXAS, IRENE AGBADA-CRUZ, SIXTO AGBADA CRUZ, MERCEDES ARISTORENAS and ROMEO GOMEZ and PEOPLE OF THE PHILIPPINES, respondents.
D E C I S I O N
AUSTRIA-MARTINEZ, J.:
Before us is a petition for review on certiorari assailing the Decision1 of the Court of Appeals (CA for brevity) dated November 13, 1998 in CA-G.R. SP No. 43884, denying Atty. Reynaldo P. Dimayacyac’s petition for certiorari and ruling that the Regional Trial Court (Branch 227) of Quezon City (RTC for brevity) was correct in denying petitioner’s motion to quash the information charging petitioner with falsification of public documents, docketed as Criminal Case No. Q-93-49988.
The antecedent facts as borne out by the records of the case are accurately narrated in the CA Decision dated November 13, 1998, thus:
An information for falsification of public documents docketed as Criminal Case No. Q-91-18037 at the RTC of Quezon City was filed against petitioner along with some others. That information reads:
The undersigned Assistant City Prosecutor accuses LOURDES ANGELES, ESTRELLA MAPA, ATTY. PONCIANO R. GUPIT, and ATTY. REYNALDO P. DIMAYACYAC of the crime of FALSIFICATION OF PUBLIC DOCUMENT (under Article 172, first and last paragraph in relation to Article 171 paragraph 2 of the Revised Penal Code), committed as follows:
That on or about the 5th day of 1986, in Quezon City, Philippines and within the jurisdiction of this Honorable Court, the above-named accused, all private individuals, conspiring together, confederating with and mutually helping one another, did then and there willfully, unlawfully and feloniously commit the act of falsification of public documents, by then and there falsifying or causing the falsification of the following documents, to wit:
(a) Certification dated March 10, 1986 purportedly signed by a certain Fernando Dizon, Record Management Analyst of the Bureau of Land, Central Office, Manila;
(b) Report dated May 5, 1986 purportedly signed by a certain Jose Mariano, Chief Record Management Division of Bureau of Land, Central Office, Manila; and
(c) Sales Certificate and Deed of Assignment allegedly issued by the Bureau of Land in favor of Lourdes Angeles; that despite the fact that said accused knew all the time that said documents are fake and spurious used the same in the Petition for Reconstitution of Records of the technical description of Lots Nos. 755, 777, 778 and 783 of the Piedad Estate covered by TCT No. 14, Decree No. 667, GLRO Record No. 5975 and the issuance of Title thereto filed by Estrella Mapa over and involving the aforesaid lots in Land Registration Case docketed as LRC Case No. 3369 (86) before Branch 99, Regional Trial Court, Quezon City and that by virtue of said falsification and the use of the same as evidence in Court Honorable Presiding Judge Godofredo Asuncion issued an order dated June 30, 1986 granting said petition, and pursuant thereto the Register of Deeds of Quezon City issued Transfer Certificates of Titles Nos. 348156, 348291 and 348292 in the name of Estrella Mapa thereby embracing and/or encroaching the portions of the properties belonging to Romeo D. Gomez, Sixto Agbada, Irene Agbada-Cruz and Mercedes Aristorenas whose properties were embraced and included in the said Transfer Certificates of Titles and in such amount as may be awarded under the provisions of the Civil Code.
CONTRARY TO LAW.
Before his arraignment, petitioner moved to quash the information on two (2) grounds. First, that the officer who filed the information had no legal authority to do so, and second, that more than one offense was charged in the information.
Pending resolution of the motion to quash, petitioner was arraigned.
By Order of August 23, 1991, Judge Benigno T. Dayaw of Branch 80 of the Regional Trial Court of Quezon City to whose sala Criminal Case No. Q-91-18037 was raffled, holding that the "grant or denial of Motion to Dismiss whether the accused is arraigned or not is discretionary on the part of the Court," it citing People vs. IAC, L-66939-41, January 10, 1987, granted the petitioner’s motion to quash upon the second ground. Accordingly, the information was quashed.
More than two (2) years after the quashal of the information in Criminal Case No. Q-91-18037 or on October 19, 1993, the Quezon City Prosecutor filed against the same accused including petitioner two (2) informations for falsification of public documents docketed at the Quezon City RTC as Criminal Case Nos. Q-93-49988 and 49989. The Informations arose from the questioned acts of falsification subject of the earlier quashed information in Criminal Case No. Q-91-18037.
Petitioner later filed with Branch 103 of the RTC of Quezon City to which the informations were raffled a motion for the quashal thereof on the ground of double jeopardy, citing Section 3(h) of Rule 117 of the Revised Rules of Court.
Petitioner argued at the court a quo that he would be placed in double jeopardy as he was indicted before for the same offenses and the case was dismissed or otherwise terminated without his express consent.
By the assailed Order of December 18, 1996, public respondent, Judge Vicente Q. Roxas of Branch 227 of the RTC of Quezon City to which the two (2) informations against petitioner, et al, were eventually lodged, held that the information in Criminal Case No. Q-93-49988 involved a different document as that involved in Criminal Case No. Q-91-18037 which had already been quashed. Resolution of the motion to quash the information in Criminal Case No. Q-93-49989 was stayed pending the submission by petitioner of the documents required by the court a quo. Public respondent thus denied the motion to quash the information in Criminal Case No. Q-93-49988 and ordered petitioner’s arraignment, he holding that said case did not place petitioner in double jeopardy.2
Herein petitioner then filed a petition for certiorari before the CA which denied his petition stating in its Decision that since the Information in Criminal Case No. Q-91-18037, on petitioner’s motion, was quashed on the ground that more than one offense was charged pursuant to Sec. 3 (e) of Rule 117 of the Revised Rules of Court,3 he is not placed in double jeopardy by the filing of another Information for an offense included in the charge subject of the Information in Criminal Case No. Q-91-18037.4
Hence, herein petition for review on certiorari assigning the following errors of the CA, to wit:
I. That the Honorable Court of Appeals ERRED in disregarding the legal doctrine that THERE IS DOUBLE JEOPARDY, in the case now pending before Respondent Judge Vicente Q. Roxas;
II. That the Honorable Court of Appeals ERRED in not adhering to the decisions of this Honorable Supreme Court, as well as to applicable jurisprudence on the matter;
III. That the Honorable Court of Appeals ERRED in not taking into account that based on the "Manifestation and Motion (To Grant Petition) In Lieu of Comment" filed by the Office of the Solicitor General, the ORDER of dismissal of Honorable Judge Benigno T. Dayaw in Criminal Case No. Q-91-18037 on August 23, 1991 has become final and executory; and
IV. That the Honorable Respondent Court of Appeals ERRED in concluding that an ORDER sustaining the motion to quash is not a bar to another prosecution for the same offense, as it has no legal basis.5
On the other hand, the Office of the Solicitor General (OSG) contends that petitioner, by filing the motion to quash and refusing to withdraw it after he was arraigned, is deemed to have waived his right against double jeopardy, as his motion to quash constituted his express consent for the dismissal of the information. However, the OSG advances the view that the criminal case against herein petitioner may be dismissed for the inordinate delay in the conduct of preliminary investigation for the purpose of filing the proper information, which is a violation of the accused’s constitutional right to due process of law and to speedy disposition of cases.
Private respondent complainant Irene Agbada-Cruz, in turn, submits that the Court of Appeals committed no error since the dismissal or quashal of an information is not a bar to another prosecution except when the motion to quash is based on the ground that (1) the criminal action or liability has been extinguished or that (2) the accused has previously been convicted or in jeopardy of being convicted or acquitted of the offense charged, pursuant to Section 6 in relation to Section 3, Rule 117 of the Rules of Court, to wit:
Section 6. Order sustaining the motion to quash not a bar to another prosecution; exception. - An order sustaining the motion to quash is not a bar to another prosecution for the same offense unless the motion was based on the grounds specified in Section 3, sub-sections (f) and (h) of this Rule.
Section 3. Grounds. – The accused may move to quash the complaint or information on any of the following grounds:
(a) That the facts charged do not constitute an offense;
(b) That the court trying the case has no jurisdiction over the offense charged or the person of the accused;
(c) That the officer who filed the information had no authority to do so;
(d) That it does not conform substantially to the prescribed form;
(e) That more than one offense is charged except in those cases in which existing laws prescribe a single punishment for various offenses;
(f) That the criminal action or liability has been extinguished;
(g) That it contains averments which, if true, would constitute a legal excuse or justification; and
(h) That the accused has been previously convicted or in jeopardy of being convicted, or acquitted of the offense charged. (Emphasis supplied)
Thus, private respondent Cruz argues that since the previous information was quashed on the ground of duplicity of offenses charged, the subsequent filing of a proper information is, therefore, not barred.
In their Memorandum, private respondents-complainants Romeo Gomez and Mercedes Aristorenas contend that (1) jeopardy does not attach where the dismissal of the information was effected at the instance of the accused; and (2) there was no violation of petitioner’s right to a speedy disposition of his case since he never raised this issue in the trial court nor in the appellate court, hence, his silence should be interpreted as a waiver of said right to a speedy trial.
The issues boil down to (1) whether or not the prosecution of petitioner under the Information docketed as Criminal Case No. Q-93-49988 would constitute double jeopardy, considering that when the Information in Criminal Case No. Q-91-18037 was previously quashed, he had already been arraigned, and (2) whether or not petitioner’s constitutional right to a speedy disposition of his case has been violated.
With regard to the first issue, we are in accord with the ruling of the CA that not all the elements for double jeopardy exist in the case at bench. In People vs. Tac-An,6 we enumerated the elements that must exist for double jeopardy to be invoked, to wit:
Thus, apparently, to raise the defense of double jeopardy, three requisites must be present: (1) a first jeopardy must have attached prior to the second; (2) the first jeopardy must have been validly terminated; and (3) the second jeopardy must be for the same offense as that in the first.
Legal jeopardy attaches only (a) upon a valid indictment, (b) before a competent court, (c) after arraignment, (d) a valid plea having been entered; and (e) the case was dismissed or otherwise terminated without the express consent of the accused (People vs. Ylagan, 58 Phil. 851).
Was the duplicitous information a valid indictment? We answer in the affirmative. In People vs. Bugayong,7 we ruled that when an appellant fails to file a motion to quash within the time prescribed under Section 1, Rule 117 of the Rules of Court, he is thus deemed to have waived the defect in the Information. In People vs. Manalili,8 we held that an accused, who fails to object prior to arraignment to a duplicitous information, may be found guilty of any or all of the crimes alleged therein and duly proven during the trial, for the allegation of the elements of such component crimes in the said information has satisfied the constitutional guarantee that an accused be informed of the nature of the offense with which he or she is being charged. Verily, a duplicitous information is valid since such defect may be waived and the accused, because of such waiver, could be convicted of as many offenses as those charged in the information and proved during trial.
The validity of the information having been established, we go on to examine whether the other requisites for double jeopardy to attach are present. In the present case, although there was a valid indictment before a competent court and petitioner, as the accused, had already been arraigned therein, entering a valid plea of not guilty, the last requisite that the case was dismissed or otherwise terminated without his express consent, is not present.
It should be noted that the termination of Criminal Case No. Q-91-18037 was upon motion of petitioner who, on April 1, 1991, filed with the court an Urgent Motion to Quash which was granted by Resolution dated August 23, 1991. In Sta. Rita vs. Court of Appeals,9 we held that the reinstatement of criminal cases against the accused did not violate his right against double jeopardy since the dismissal of the information by the trial court had been effected at his own instance when the accused filed a motion to dismiss on the grounds that the facts charged do not constitute an offense and that the RTC had no jurisdiction over the case. In this case, considering that since the dismissal of the previous criminal case against petitioner was by reason of his motion for the quashal of the information, petitioner is thus deemed to have expressly given his consent to such dismissal. There could then be no double jeopardy in this case since one of the requisites therefore, i.e., that the dismissal be without accused’s express consent, is not present.
As to whether the subsequent filing of the two informations docketed as Q-93-49988 and Q-93-49989 constitutes a violation of petitioner’s constitutional right to a speedy disposition of cases,10 we rule in the
negative. We are not convinced by the OSG’s assertion that the cases of Tatad vs. Sandiganbayan11 or Angchangco, Jr. vs. Ombudsman,12 are applicable to the case before us. We see differently. There is no factual similarity between this case before us and the cases of Tatad and Angchangco.
In the Tatad case, there was a hiatus in the proceedings between the termination of the proceedings before the investigating fiscal on October 25, 1982 and its resolution on April 17, 1985. The Court found that "political motivations played a vital role in activating and propelling the prosecutorial process"13 against then Secretary Francisco S. Tatad. In the Angchangco case, the criminal complaints remained pending in the Office of the Ombudsman for more than six years despite the respondent’s numerous motions for early resolution and the respondent, who had been retired, was being unreasonably deprived of the fruits of his retirement because of the still unresolved criminal complaints against him. In both cases, we ruled that the period of time that elapsed for the resolution of the cases against the petitioners therein was deemed a violation of the accused’s right to a speedy disposition of cases against them.
In the present case, no proof was presented to show any persecution of the accused, political or otherwise, unlike in the Tatad case. There is no showing that petitioner was made to endure any vexatious process during the two-year period before the filing of the proper informations, unlike in the Angchangco case where petitioner therein was deprived of his retirement benefits for an unreasonably long time. Thus, the circumstances present in the Tatad and Angchangco cases justifying the "radical relief" granted by us in said cases are not existent in the present case.
We emphasize our ruling in Ty-Dazo vs. Sandiganbayan14 where we held that:
The right to a speedy disposition of cases, like the right to a speedy trial, is deemed violated only when the proceedings is attended by vexatious, capricious, and oppressive delays; or when unjustified postponements of the trial are asked for and secured, or when without cause or unjustifiable motive, a long period of time is allowed to elapse without the party having his case tried. In the determination of whether or not that right has been violated, the factors that may be considered and balanced are: the length of the delay the reasons for such delay, the assertion or failure to assert such right by the accused, and the prejudice caused by the delay.
A mere mathematical reckoning of the time involved, therefore, would not be sufficient. In the application of the constitutional guarantee of the right to speedy disposition of cases, particular regard must also be taken of the facts and circumstances peculiar to each case. (Emphasis supplied)
Thus, we shall examine how such aforementioned factors affected herein petitioner’s right.
As to the length of delay, it is established that the prosecution did not take any action on petitioner’s case for two years. From the time that Criminal Case No. Q-91-18037 was dismissed on August 23, 1991, the prosecution failed to effect the very simple remedy of filing two separate informations against petitioner until October of 1993. Indeed, there was a delay in the refiling of the proper informations. However, the prosecution was never given the opportunity to explain the circumstances that may have caused such delay precisely because petitioner never raised the issue of the length of time it took the prosecution to revive the case. There is nothing on record to show what happened during the two-year lull before the filing of the proper informations. Hence, it could not be ascertained that peculiar situations existed to prove that the delay was vexatious, capricious and oppressive, and therefore, a violation of petitioner’s constitutional right to speedy disposition of cases.
What the records clearly show is that petitioner never asserted his right to a speedy disposition of his case. The only ground he raised in assailing the subsequent filing of the two informations is that he will be subjected to double jeopardy. It was only the OSG that brought to light the issue on petitioner’s right to a speedy disposition of his case, and only when the case was brought to the appellate court on certiorari. Even in this petition before us, petitioner did not raise the issue of his right to a speedy disposition of his case. Again, it was only the OSG that presented such issue to us in the Brief for the State which was only then adopted by petitioner through a Manifestation dated August 3, 1999. We are not convinced that the filing of the informations against petitioner after two years was an unreasonable delay. Petitioner himself did not really believe that there was any violation of his right to a speedy disposition of the case against him.
The case which is more in point with the present one before us is Dela Peña vs. Sandiganbayan15 where we ruled that petitioner therein, for failing to assert their right to a speedy disposition of their cases, was deemed to have waived such right and thus, not entitled to the "radical relief" granted by the Court in the cases of Tatad and Angchangco. The factual circumstances surrounding herein petitioner’s case do not demonstrate that there was any violation of petitioner’s right to a speedy disposition of his case.
WHEREFORE, the petition is hereby DENIED for lack of merit. The temporary restraining order issued pursuant to our Resolution dated January 17, 2000 is hereby LIFTED and the Regional Trial Court of Quezon City (Branch 227) is hereby ORDERED to proceed with dispatch with petitioner’s arraignment in Criminal Case No. Q-93-49988.
SO ORDERED.
Puno*, Quisumbing**, Callejo, Sr., and Tinga, JJ., concur.
Footnotes

* On Official Leave.
** Acting Chairman.
1 Penned by then Associate Justice Conchita Carpio Morales (now Associate Justice of the Supreme Court) and concurred in by Associate Justices Jainal Rasul and Bernardo Abesamis.
2 Rollo, pp. 130-133.
3 Sec. 3. (e) That more than one offense is charged except in those cases in which existing laws prescribe a single punishment for various offenses.
4 Rollo, p. 136.
5 Rollo, pp. 25-26.
6 398 SCRA 373, 380 (2003), citing Saldana vs. Court of Appeals, et al., 190 SCRA 396 (1990).
7 299 SCRA 528 (1998), citing People vs. Manalili, G.R. No. 121671, Aug. 14, 1998; People vs. Conte, 247 SCRA 583 (1995); People vs. Dulay, 217 SCRA 132 (1993); etc.
8 294 SCRA 220, 226 (1998).
9 247 SCRA 484 (1995).
10 Section 16, Article III of the 1987 Constitution of the Philippines states that "[a]ll persons shall have the right to a speedy disposition of their cases before all judicial, quasi-judicial, or administrative bodies."
11 159 SCRA 70 (1988).
12 268 SCRA 301 (1997).
13 Tatad vs. Sandiganbayan 159 SCRA 70, 81 (1988).
14 424 Phil. 945, 950-951 (2002), citing Binay vs. Sandiganbayan, 316 SCRA 65 (1999); Gonzales vs. Sandiganbayan, 199 SCRA 298 (1991); and Blanco vs. Sandiganbayan, 346 SCRA 108 (2000).
15 360 SCRA 478 (2001) citing Alvizo vs. Sandiganbayan, 220 SCRA 55, 63 (1993); Dansal vs. Fernandez, 327 SCRA 145, 153 (2000); Blanco vs. Sandiganbayan, 346 SCRA 108 (2000).

AGUILAR V. PONCE: DOUBLE JEOPARDY

Next: PEOPLE V. PIMENTEL: The 1987 Constitution guarantees the right of the accused against double jeopardy, thus: Section 7, Rule 117 of the 1985 and 2000 Rules on Criminal Procedure strictly adhere to the constitutional proscription against double jeopardy and provide for the requisites in order for double jeopardy to attach. For double jeopardy to attach, the following elements must concur: (1) a valid information sufficient in form and substance to sustain a conviction of the crime charged; (2) a court of competent jurisdiction; (3) the accused has been arraigned and had pleaded; and (4) the accused was convicted or acquitted or the case was dismissed without his express consent.21 Here, all the elements were present. There was a valid information for two counts of rape over which the RTC had jurisdiction and to which the accused-appellant entered a plea of not guilty. After the trial, a judgment of acquittal was thereafter rendered and promulgated on July 25, 2011. What is peculiar in this case is that a judgment of acquittal was rendered based on the mistaken notion that the private complainant failed to testify; allegedly because of the mix-up of orders with a different case involving the same accused-appellant. This, however, does not change the fact that a judgment of acquittal had already been promulgated. Indeed, a judgment of acquittal, whether ordered by the t
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SECOND DIVISION
G.R. No. 172716               November 17, 2010
JASON IVLER y AGUILAR, Petitioner,
vs.
HON. MARIA ROWENA MODESTO-SAN PEDRO, Judge of the Metropolitan Trial Court, Branch 71, Pasig City, and EVANGELINE PONCE, Respondents.
D E C I S I O N
CARPIO, J.:
The Case
The petition seeks the review1 of the Orders2 of the Regional Trial Court of Pasig City affirming sub-silencio a lower court’s ruling finding inapplicable the Double Jeopardy Clause to bar a second prosecution for Reckless Imprudence Resulting in Homicide and Damage to Property. This, despite the accused’s previous conviction for Reckless Imprudence Resulting in Slight Physical Injuries arising from the same incident grounding the second prosecution.
The Facts
Following a vehicular collision in August 2004, petitioner Jason Ivler (petitioner) was charged before the Metropolitan Trial Court of Pasig City, Branch 71 (MeTC), with two separate offenses: (1) Reckless Imprudence Resulting in Slight Physical Injuries (Criminal Case No. 82367) for injuries sustained by respondent Evangeline L. Ponce (respondent Ponce); and (2) Reckless Imprudence Resulting in Homicide and Damage to Property (Criminal Case No. 82366) for the death of respondent Ponce’s husband Nestor C. Ponce and damage to the spouses Ponce’s vehicle. Petitioner posted bail for his temporary release in both cases.
On 7 September 2004, petitioner pleaded guilty to the charge in Criminal Case No. 82367 and was meted out the penalty of public censure. Invoking this conviction, petitioner moved to quash the Information in Criminal Case No. 82366 for placing him in jeopardy of second punishment for the same offense of reckless imprudence.
The MeTC refused quashal, finding no identity of offenses in the two cases.3
After unsuccessfully seeking reconsideration, petitioner elevated the matter to the Regional Trial Court of Pasig City, Branch 157 (RTC), in a petition for certiorari (S.C.A. No. 2803). Meanwhile, petitioner sought from the MeTC the suspension of proceedings in Criminal Case No. 82366, including the arraignment on 17 May 2005, invoking S.C.A. No. 2803 as a prejudicial question. Without acting on petitioner’s motion, the MeTC proceeded with the arraignment and, because of petitioner’s absence, cancelled his bail and ordered his arrest.4 Seven days later, the MeTC issued a resolution denying petitioner’s motion to suspend proceedings and postponing his arraignment until after his arrest.5 Petitioner sought reconsideration but as of the filing of this petition, the motion remained unresolved.
Relying on the arrest order against petitioner, respondent Ponce sought in the RTC the dismissal of S.C.A. No. 2803 for petitioner’s loss of standing to maintain the suit. Petitioner contested the motion.
The Ruling of the Trial Court
In an Order dated 2 February 2006, the RTC dismissed S.C.A. No. 2803, narrowly grounding its ruling on petitioner’s forfeiture of standing to maintain S.C.A. No. 2803 arising from the MeTC’s order to arrest petitioner for his non-appearance at the arraignment in Criminal Case No. 82366. Thus, without reaching the merits of S.C.A. No. 2803, the RTC effectively affirmed the MeTC. Petitioner sought reconsideration but this proved unavailing.6
Hence, this petition.
Petitioner denies absconding. He explains that his petition in S.C.A. No. 2803 constrained him to forego participation in the proceedings in Criminal Case No. 82366. Petitioner distinguishes his case from the line of jurisprudence sanctioning dismissal of appeals for absconding appellants because his appeal before the RTC was a special civil action seeking a pre-trial relief, not a post-trial appeal of a judgment of conviction.7
Petitioner laments the RTC’s failure to reach the merits of his petition in S.C.A. 2803. Invoking jurisprudence, petitioner argues that his constitutional right not to be placed twice in jeopardy of punishment for the same offense bars his prosecution in Criminal Case No. 82366, having been previously convicted in Criminal Case No. 82367 for the same offense of reckless imprudence charged in Criminal Case No. 82366. Petitioner submits that the multiple consequences of such crime are material only to determine his penalty.
Respondent Ponce finds no reason for the Court to disturb the RTC’s decision forfeiting petitioner’s standing to maintain his petition in S.C.A. 2803. On the merits, respondent Ponce calls the Court’s attention to jurisprudence holding that light offenses (e.g. slight physical injuries) cannot be complexed under Article 48 of the Revised Penal Code with grave or less grave felonies (e.g. homicide). Hence, the prosecution was obliged to separate the charge in Criminal Case No. 82366 for the slight physical injuries from Criminal Case No. 82367 for the homicide and damage to property.
In the Resolution of 6 June 2007, we granted the Office of the Solicitor General’s motion not to file a comment to the petition as the public respondent judge is merely a nominal party and private respondent is represented by counsel.
The Issues
Two questions are presented for resolution: (1) whether petitioner forfeited his standing to seek relief in S.C.A. 2803 when the MeTC ordered his arrest following his non-appearance at the arraignment in Criminal Case No. 82366; and (2) if in the negative, whether petitioner’s constitutional right under the Double Jeopardy Clause bars further proceedings in Criminal Case No. 82366.
The Ruling of the Court
We hold that (1) petitioner’s non-appearance at the arraignment in Criminal Case No. 82366 did not divest him of personality to maintain the petition in S.C.A. 2803; and (2) the protection afforded by the Constitution shielding petitioner from prosecutions placing him in jeopardy of second punishment for the same offense bars further proceedings in Criminal Case No. 82366.
Petitioner’s Non-appearance at the Arraignment in
Criminal Case No. 82366 did not Divest him of Standing
to Maintain the Petition in S.C.A. 2803
Dismissals of appeals grounded on the appellant’s escape from custody or violation of the terms of his bail bond are governed by the second paragraph of Section 8, Rule 124,8 in relation to Section 1, Rule 125, of the Revised Rules on Criminal Procedure authorizing this Court or the Court of Appeals to "also, upon motion of the appellee or motu proprio, dismiss the appeal if the appellant escapes from prison or confinement, jumps bail or flees to a foreign country during the pendency of the appeal." The "appeal" contemplated in Section 8 of Rule 124 is a suit to review judgments of convictions.
The RTC’s dismissal of petitioner’s special civil action for certiorari to review a pre-arraignment ancillary question on the applicability of the Due Process Clause to bar proceedings in Criminal Case No. 82366 finds no basis under procedural rules and jurisprudence. The RTC’s reliance on People v. Esparas9 undercuts the cogency of its ruling because Esparas stands for a proposition contrary to the RTC’s ruling. There, the Court granted review to an appeal by an accused who was sentenced to death for importing prohibited drugs even though she jumped bail pending trial and was thus tried and convicted in absentia. The Court in Esparas treated the mandatory review of death sentences under Republic Act No. 7659 as an exception to Section 8 of Rule 124.10
The mischief in the RTC’s treatment of petitioner’s non-appearance at his arraignment in Criminal Case No. 82366 as proof of his loss of standing becomes more evident when one considers the Rules of Court’s treatment of a defendant who absents himself from post-arraignment hearings. Under Section 21, Rule 11411 of the Revised Rules of Criminal Procedure, the defendant’s absence merely renders his bondsman potentially liable on its bond (subject to cancellation should the bondsman fail to produce the accused within 30 days); the defendant retains his standing and, should he fail to surrender, will be tried in absentia and could be convicted or acquitted. Indeed, the 30-day period granted to the bondsman to produce the accused underscores the fact that mere non-appearance does not ipso facto convert the accused’s status to that of a fugitive without standing.
Further, the RTC’s observation that petitioner provided "no explanation why he failed to attend the scheduled proceeding"12 at the MeTC is belied by the records. Days before the arraignment, petitioner sought the suspension of the MeTC’s proceedings in Criminal Case No. 82366 in light of his petition with the RTC in S.C.A. No. 2803. Following the MeTC’s refusal to defer arraignment (the order for which was released days after the MeTC ordered petitioner’s arrest), petitioner sought reconsideration. His motion remained unresolved as of the filing of this petition.
Petitioner’s Conviction in Criminal Case No. 82367
Bars his Prosecution in Criminal Case No. 82366
The accused’s negative constitutional right not to be "twice put in jeopardy of punishment for the same offense"13protects him from, among others, post-conviction prosecution for the same offense, with the prior verdict rendered by a court of competent jurisdiction upon a valid information.14 It is not disputed that petitioner’s conviction in Criminal Case No. 82367 was rendered by a court of competent jurisdiction upon a valid charge. Thus, the case turns on the question whether Criminal Case No. 82366 and Criminal Case No. 82367 involve the "same offense." Petitioner adopts the affirmative view, submitting that the two cases concern the same offense of reckless imprudence. The MeTC ruled otherwise, finding that Reckless Imprudence Resulting in Slight Physical Injuries is an entirely separate offense from Reckless Imprudence Resulting in Homicide and Damage to Property "as the [latter] requires proof of an additional fact which the other does not."15
We find for petitioner.
Reckless Imprudence is a Single Crime,
its Consequences on Persons and
Property are Material Only to Determine
the Penalty
The two charges against petitioner, arising from the same facts, were prosecuted under the same provision of the Revised Penal Code, as amended, namely, Article 365 defining and penalizing quasi-offenses. The text of the provision reads:
Imprudence and negligence. — Any person who, by reckless imprudence, shall commit any act which, had it been intentional, would constitute a grave felony, shall suffer the penalty of arresto mayor in its maximum period to prision correccional in its medium period; if it would have constituted a less grave felony, the penalty of arresto mayor in its minimum and medium periods shall be imposed; if it would have constituted a light felony, the penalty of arresto menor in its maximum period shall be imposed.
Any person who, by simple imprudence or negligence, shall commit an act which would otherwise constitute a grave felony, shall suffer the penalty of arresto mayor in its medium and maximum periods; if it would have constituted a less serious felony, the penalty of arresto mayor in its minimum period shall be imposed.
When the execution of the act covered by this article shall have only resulted in damage to the property of another, the offender shall be punished by a fine ranging from an amount equal to the value of said damages to three times such value, but which shall in no case be less than twenty-five pesos.
A fine not exceeding two hundred pesos and censure shall be imposed upon any person who, by simple imprudence or negligence, shall cause some wrong which, if done maliciously, would have constituted a light felony.
In the imposition of these penalties, the court shall exercise their sound discretion, without regard to the rules prescribed in Article sixty-four.
The provisions contained in this article shall not be applicable:
1. When the penalty provided for the offense is equal to or lower than those provided in the first two paragraphs of this article, in which case the court shall impose the penalty next lower in degree than that which should be imposed in the period which they may deem proper to apply.
2. When, by imprudence or negligence and with violation of the Automobile Law, to death of a person shall be caused, in which case the defendant shall be punished by prision correccional in its medium and maximum periods.
Reckless imprudence consists in voluntary, but without malice, doing or failing to do an act from which material damage results by reason of inexcusable lack of precaution on the part of the person performing or failing to perform such act, taking into consideration his employment or occupation, degree of intelligence, physical condition and other circumstances regarding persons, time and place.
Simple imprudence consists in the lack of precaution displayed in those cases in which the damage impending to be caused is not immediate nor the danger clearly manifest.
The penalty next higher in degree to those provided for in this article shall be imposed upon the offender who fails to lend on the spot to the injured parties such help as may be in this hand to give.
Structurally, these nine paragraphs are collapsible into four sub-groupings relating to (1) the penalties attached to the quasi-offenses of "imprudence" and "negligence" (paragraphs 1-2); (2) a modified penalty scheme for either or both quasi-offenses (paragraphs 3-4, 6 and 9); (3) a generic rule for trial courts in imposing penalties (paragraph 5); and (4) the definition of "reckless imprudence" and "simple imprudence" (paragraphs 7-8). Conceptually, quasi-offenses penalize "the mental attitude or condition behind the act, the dangerous recklessness, lack of care or foresight, the imprudencia punible,"16 unlike willful offenses which punish the intentional criminal act. These structural and conceptual features of quasi-offenses set them apart from the mass of intentional crimes under the first 13 Titles of Book II of the Revised Penal Code, as amended.
Indeed, the notion that quasi-offenses, whether reckless or simple, are distinct species of crime, separately defined and penalized under the framework of our penal laws, is nothing new. As early as the middle of the last century, we already sought to bring clarity to this field by rejecting in Quizon v. Justice of the Peace of Pampanga the proposition that "reckless imprudence is not a crime in itself but simply a way of committing it x x x"17 on three points of analysis: (1) the object of punishment in quasi-crimes (as opposed to intentional crimes); (2) the legislative intent to treat quasi-crimes as distinct offenses (as opposed to subsuming them under the mitigating circumstance of minimal intent) and; (3) the different penalty structures for quasi-crimes and intentional crimes:
The proposition (inferred from Art. 3 of the Revised Penal Code) that "reckless imprudence" is not a crime in itself but simply a way of committing it and merely determines a lower degree of criminal liability is too broad to deserve unqualified assent. There are crimes that by their structure cannot be committed through imprudence: murder, treason, robbery, malicious mischief, etc. In truth, criminal negligence in our Revised Penal Code is treated as a mere quasi offense, and dealt with separately from willful offenses. It is not a mere question of classification or terminology. In intentional crimes, the act itself is punished; in negligence or imprudence, what is principally penalized is the mental attitude or condition behind the act, the dangerous recklessness, lack of care or foresight, the imprudencia punible. x x x x
Were criminal negligence but a modality in the commission of felonies, operating only to reduce the penalty therefor, then it would be absorbed in the mitigating circumstances of Art. 13, specially the lack of intent to commit so grave a wrong as the one actually committed. Furthermore, the theory would require that the corresponding penalty should be fixed in proportion to the penalty prescribed for each crime when committed willfully. For each penalty for the willful offense, there would then be a corresponding penalty for the negligent variety. But instead, our Revised Penal Code (Art. 365) fixes the penalty for reckless imprudence at arresto mayor maximum, to prision correccional [medium], if the willful act would constitute a grave felony, notwithstanding that the penalty for the latter could range all the way from prision mayor to death, according to the case. It can be seen that the actual penalty for criminal negligence bears no relation to the individual willful crime, but is set in relation to a whole class, or series, of crimes.18 (Emphasis supplied)
This explains why the technically correct way to allege quasi-crimes is to state that their commission results in damage, either to person or property.19
Accordingly, we found the Justice of the Peace in Quizon without jurisdiction to hear a case for "Damage to Property through Reckless Imprudence," its jurisdiction being limited to trying charges for Malicious Mischief, an intentional crime conceptually incompatible with the element of imprudence obtaining in quasi-crimes.
Quizon, rooted in Spanish law20 (the normative ancestry of our present day penal code) and since repeatedly reiterated,21 stands on solid conceptual foundation. The contrary doctrinal pronouncement in People v. Faller22 that "[r]eckless impudence is not a crime in itself x x x [but] simply a way of committing it x x x,"23 has long been abandoned when the Court en banc promulgated Quizon in 1955 nearly two decades after the Court decided Faller in 1939. Quizon rejected Faller’s conceptualization of quasi-crimes by holding that quasi-crimes under Article 365 are distinct species of crimes and not merely methods of committing crimes. Faller found expression in post-Quizon jurisprudence24 only by dint of lingering doctrinal confusion arising from an indiscriminate fusion of criminal law rules defining Article 365 crimes and the complexing of intentional crimes under Article 48 of the Revised Penal Code which, as will be shown shortly, rests on erroneous conception of quasi-crimes. Indeed, the Quizonian conception of quasi-crimes undergirded a related branch of jurisprudence applying the Double Jeopardy Clause to quasi-offenses, barring second prosecutions for a quasi-offense alleging one resulting act after a prior conviction or acquittal of a quasi-offense alleging another resulting act but arising from the same reckless act or omission upon which the second prosecution was based.
Prior Conviction or Acquittal of
Reckless Imprudence Bars
Subsequent Prosecution for the Same
Quasi-Offense
The doctrine that reckless imprudence under Article 365 is a single quasi-offense by itself and not merely a means to commit other crimes such that conviction or acquittal of such quasi-offense bars subsequent prosecution for the same quasi-offense, regardless of its various resulting acts, undergirded this Court’s unbroken chain of jurisprudence on double jeopardy as applied to Article 365 starting with People v. Diaz,25 decided in 1954. There, a full Court, speaking through Mr. Justice Montemayor, ordered the dismissal of a case for "damage to property thru reckless imprudence" because a prior case against the same accused for "reckless driving," arising from the same act upon which the first prosecution was based, had been dismissed earlier. Since then, whenever the same legal question was brought before the Court, that is, whether prior conviction or acquittal of reckless imprudence bars subsequent prosecution for the same quasi-offense, regardless of the consequences alleged for both charges, the Court unfailingly and consistently answered in the affirmative in People v. Belga26 (promulgated in 1957 by the Court en banc, per Reyes, J.), Yap v. Lutero27 (promulgated in 1959, unreported, per Concepcion, J.), People v. Narvas28 (promulgated in 1960 by the Court en banc, per Bengzon J.), People v. Silva29 (promulgated in 1962 by the Court en banc, per Paredes, J.), People v. Macabuhay30 (promulgated in 1966 by the Court en banc, per Makalintal, J.), People v. Buan31 (promulgated in 1968 by the Court en banc, per Reyes, J.B.L., acting C. J.), Buerano v. Court of Appeals32 (promulgated in 1982 by the Court en banc, per Relova, J.), and People v. City Court of Manila33 (promulgated in 1983 by the First Division, per Relova, J.). These cases uniformly barred the second prosecutions as constitutionally impermissible under the Double Jeopardy Clause.
The reason for this consistent stance of extending the constitutional protection under the Double Jeopardy Clause to quasi-offenses was best articulated by Mr. Justice J.B.L. Reyes in Buan, where, in barring a subsequent prosecution for "serious physical injuries and damage to property thru reckless imprudence" because of the accused’s prior acquittal of "slight physical injuries thru reckless imprudence," with both charges grounded on the same act, the Court explained:34
Reason and precedent both coincide in that once convicted or acquitted of a specific act of reckless imprudence, the accused may not be prosecuted again for that same act. For the essence of the quasi offense of criminal negligence under article 365 of the Revised Penal Code lies in the execution of an imprudent or negligent act that, if intentionally done, would be punishable as a felony. The law penalizes thus the negligent or careless act, not the result thereof. The gravity of the consequence is only taken into account to determine the penalty, it does not qualify the substance of the offense. And, as the careless act is single, whether the injurious result should affect one person or several persons, the offense (criminal negligence) remains one and the same, and can not be split into different crimes and prosecutions.35 x x x (Emphasis supplied)
Evidently, the Diaz line of jurisprudence on double jeopardy merely extended to its logical conclusion the reasoning of Quizon.
There is in our jurisprudence only one ruling going against this unbroken line of authority. Preceding Diaz by more than a decade, El Pueblo de Filipinas v. Estipona,36 decided by the pre-war colonial Court in November 1940, allowed the subsequent prosecution of an accused for reckless imprudence resulting in damage to property despite his previous conviction for multiple physical injuries arising from the same reckless operation of a motor vehicle upon which the second prosecution was based. Estipona’s inconsistency with the post-war Diaz chain of jurisprudence suffices to impliedly overrule it. At any rate, all doubts on this matter were laid to rest in 1982 in Buerano.37 There, we reviewed the Court of Appeals’ conviction of an accused for "damage to property for reckless imprudence" despite his prior conviction for "slight and less serious physical injuries thru reckless imprudence," arising from the same act upon which the second charge was based. The Court of Appeals had relied on Estipona. We reversed on the strength of Buan:38
Th[e] view of the Court of Appeals was inspired by the ruling of this Court in the pre-war case of People vs. Estipona decided on November 14, 1940. However, in the case of People vs. Buan, 22 SCRA 1383 (March 29, 1968), this Court, speaking thru Justice J. B. L. Reyes, held that –
Reason and precedent both coincide in that once convicted or acquitted of a specific act of reckless imprudence, the accused may not be prosecuted again for that same act. For the essence of the quasi offense of criminal negligence under Article 365 of the Revised Penal Code lies in the execution of an imprudent or negligent act that, if intentionally done, would be punishable as a felony. The law penalizes thus the negligent or careless act, not the result thereof. The gravity of the consequence is only taken into account to determine the penalty, it does not qualify the substance of the offense. And, as the careless act is single, whether the injurious result should affect one person or several persons, the offense (criminal negligence) remains one and the same, and can not be split into different crimes and prosecutions.
x x x x
. . . the exoneration of this appellant, Jose Buan, by the Justice of the Peace (now Municipal) Court of Guiguinto, Bulacan, of the charge of slight physical injuries through reckless imprudence, prevents his being prosecuted for serious physical injuries through reckless imprudence in the Court of First Instance of the province, where both charges are derived from the consequences of one and the same vehicular accident, because the second accusation places the appellant in second jeopardy for the same offense.39 (Emphasis supplied)
Thus, for all intents and purposes, Buerano had effectively overruled Estipona.
It is noteworthy that the Solicitor General in Buerano, in a reversal of his earlier stance in Silva, joined causes with the accused, a fact which did not escape the Court’s attention:
Then Solicitor General, now Justice Felix V. Makasiar, in his MANIFESTATION dated December 12, 1969 (page 82 of the Rollo) admits that the Court of Appeals erred in not sustaining petitioner’s plea of double jeopardy and submits that "its affirmatory decision dated January 28, 1969, in Criminal Case No. 05123-CR finding petitioner guilty of damage to property through reckless imprudence should be set aside, without costs." He stressed that "if double jeopardy exists where the reckless act resulted into homicide and physical injuries. then the same consequence must perforce follow where the same reckless act caused merely damage to property-not death-and physical injuries. Verily, the value of a human life lost as a result of a vehicular collision cannot be equated with any amount of damages caused to a motors vehicle arising from the same mishap."40 (Emphasis supplied)
Hence, we find merit in petitioner’s submission that the lower courts erred in refusing to extend in his favor the mantle of protection afforded by the Double Jeopardy Clause. A more fitting jurisprudence could not be tailored to petitioner’s case than People v. Silva, 41 a Diaz progeny. There, the accused, who was also involved in a vehicular collision, was charged in two separate Informations with "Slight Physical Injuries thru Reckless Imprudence" and "Homicide with Serious Physical Injuries thru Reckless Imprudence." Following his acquittal of the former, the accused sought the quashal of the latter, invoking the Double Jeopardy Clause. The trial court initially denied relief, but, on reconsideration, found merit in the accused’s claim and dismissed the second case. In affirming the trial court, we quoted with approval its analysis of the issue following Diaz and its progeny People v. Belga:42
On June 26, 1959, the lower court reconsidered its Order of May 2, 1959 and dismissed the case, holding: —
[T]he Court believes that the case falls squarely within the doctrine of double jeopardy enunciated in People v. Belga, x x x In the case cited, Ciriaco Belga and Jose Belga were charged in the Justice of the Peace Court of Malilipot, Albay, with the crime of physical injuries through reckless imprudence arising from a collision between the two automobiles driven by them (Crim. Case No. 88). Without the aforesaid complaint having been dismissed or otherwise disposed of, two other criminal complaints were filed in the same justice of the peace court, in connection with the same collision one for damage to property through reckless imprudence (Crim. Case No. 95) signed by the owner of one of the vehicles involved in the collision, and another for multiple physical injuries through reckless imprudence (Crim. Case No. 96) signed by the passengers injured in the accident. Both of these two complaints were filed against Jose Belga only. After trial, both defendants were acquitted of the charge against them in Crim. Case No. 88. Following his acquittal, Jose Belga moved to quash the complaint for multiple physical injuries through reckless imprudence filed against him by the injured passengers, contending that the case was just a duplication of the one filed by the Chief of Police wherein he had just been acquitted. The motion to quash was denied and after trial Jose Belga was convicted, whereupon he appealed to the Court of First Instance of Albay. In the meantime, the case for damage to property through reckless imprudence filed by one of the owners of the vehicles involved in the collision had been remanded to the Court of First Instance of Albay after Jose Belga had waived the second stage of the preliminary investigation. After such remand, the Provincial Fiscal filed in the Court of First Instance two informations against Jose Belga, one for physical injuries through reckless imprudence, and another for damage to property through reckless imprudence. Both cases were dismissed by the Court of First Instance, upon motion of the defendant Jose Belga who alleged double jeopardy in a motion to quash. On appeal by the Prov. Fiscal, the order of dismissal was affirmed by the Supreme Court in the following language: .
The question for determination is whether the acquittal of Jose Belga in the case filed by the chief of police constitutes a bar to his subsequent prosecution for multiple physical injuries and damage to property through reckless imprudence.
In the case of Peo[ple] v. F. Diaz, G. R. No. L-6518, prom. March 30, 1954, the accused was charged in the municipal court of Pasay City with reckless driving under sec. 52 of the Revised Motor Vehicle Law, for having driven an automobile in a ῾fast and reckless manner ... thereby causing an accident.’ After the accused had pleaded not guilty the case was dismissed in that court ῾for failure of the Government to prosecute’. But some time thereafter the city attorney filed an information in the Court of First Instance of Rizal, charging the same accused with damage to property thru reckless imprudence. The amount of the damage was alleged to be ₱249.50. Pleading double jeopardy, the accused filed a motion, and on appeal by the Government we affirmed the ruling. Among other things we there said through Mr. Justice Montemayor —
The next question to determine is the relation between the first offense of violation of the Motor Vehicle Law prosecuted before the Pasay City Municipal Court and the offense of damage to property thru reckless imprudence charged in the Rizal Court of First Instance. One of the tests of double jeopardy is whether or not the second offense charged necessarily includes or is necessarily included in the offense charged in the former complaint or information (Rule 113, Sec. 9). Another test is whether the evidence which proves one would prove the other that is to say whether the facts alleged in the first charge if proven, would have been sufficient to support the second charge and vice versa; or whether one crime is an ingredient of the other. x x x
x x x x
The foregoing language of the Supreme Court also disposes of the contention of the prosecuting attorney that the charge for slight physical injuries through reckless imprudence could not have been joined with the charge for homicide with serious physical injuries through reckless imprudence in this case, in view of the provisions of Art. 48 of the Revised Penal Code, as amended. The prosecution’s contention might be true. But neither was the prosecution obliged to first prosecute the accused for slight physical injuries through reckless imprudence before pressing the more serious charge of homicide with serious physical injuries through reckless imprudence. Having first prosecuted the defendant for the lesser offense in the Justice of the Peace Court of Meycauayan, Bulacan, which acquitted the defendant, the prosecuting attorney is not now in a position to press in this case the more serious charge of homicide with serious physical injuries through reckless imprudence which arose out of the same alleged reckless imprudence of which the defendant have been previously cleared by the inferior court.43
Significantly, the Solicitor General had urged us in Silva to reexamine Belga (and hence, Diaz) "for the purpose of delimiting or clarifying its application."44 We declined the invitation, thus:
The State in its appeal claims that the lower court erred in dismissing the case, on the ground of double jeopardy, upon the basis of the acquittal of the accused in the JP court for Slight Physical Injuries, thru Reckless Imprudence. In the same breath said State, thru the Solicitor General, admits that the facts of the case at bar, fall squarely on the ruling of the Belga case x x x, upon which the order of dismissal of the lower court was anchored. The Solicitor General, however, urges a re-examination of said ruling, upon certain considerations for the purpose of delimiting or clarifying its application. We find, nevertheless, that further elucidation or disquisition on the ruling in the Belga case, the facts of which are analogous or similar to those in the present case, will yield no practical advantage to the government. On one hand, there is nothing which would warrant a delimitation or clarification of the applicability of the Belga case. It was clear. On the other, this Court has reiterated the views expressed in the Belga case, in the identical case of Yap v. Hon. Lutero, etc., L-12669, April 30, 1959.45 (Emphasis supplied)
Article 48 Does not Apply to Acts Penalized
Under Article 365 of the Revised Penal Code
The confusion bedeviling the question posed in this petition, to which the MeTC succumbed, stems from persistent but awkward attempts to harmonize conceptually incompatible substantive and procedural rules in criminal law, namely, Article 365 defining and penalizing quasi-offenses and Article 48 on complexing of crimes, both under the Revised Penal Code. Article 48 is a procedural device allowing single prosecution of multiple felonies falling under either of two categories: (1) when a single act constitutes two or more grave or less grave felonies (thus excluding from its operation light felonies46); and (2) when an offense is a necessary means for committing the other. The legislature crafted this procedural tool to benefit the accused who, in lieu of serving multiple penalties, will only serve the maximum of the penalty for the most serious crime.
In contrast, Article 365 is a substantive rule penalizing not an act defined as a felony but "the mental attitude x x x behind the act, the dangerous recklessness, lack of care or foresight x x x,"47 a single mental attitude regardless of the resulting consequences. Thus, Article 365 was crafted as one quasi-crime resulting in one or more consequences.
Ordinarily, these two provisions will operate smoothly. Article 48 works to combine in a single prosecution multiple intentional crimes falling under Titles 1-13, Book II of the Revised Penal Code, when proper; Article 365 governs the prosecution of imprudent acts and their consequences. However, the complexities of human interaction can produce a hybrid quasi-offense not falling under either models – that of a single criminal negligence resulting in multiple non-crime damages to persons and property with varying penalties corresponding to light, less grave or grave offenses. The ensuing prosecutorial dilemma is obvious: how should such a quasi-crime be prosecuted? Should Article 48’s framework apply to "complex" the single quasi-offense with its multiple (non-criminal) consequences (excluding those amounting to light offenses which will be tried separately)? Or should the prosecution proceed under a single charge, collectively alleging all the consequences of the single quasi-crime, to be penalized separately following the scheme of penalties under Article 365?
Jurisprudence adopts both approaches. Thus, one line of rulings (none of which involved the issue of double jeopardy) applied Article 48 by "complexing" one quasi-crime with its multiple consequences48 unless one consequence amounts to a light felony, in which case charges were split by grouping, on the one hand, resulting acts amounting to grave or less grave felonies and filing the charge with the second level courts and, on the other hand, resulting acts amounting to light felonies and filing the charge with the first level courts.49 Expectedly, this is the approach the MeTC impliedly sanctioned (and respondent Ponce invokes), even though under Republic Act No. 7691,50 the MeTC has now exclusive original jurisdiction to impose the most serious penalty under Article 365 which is prision correccional in its medium period.
Under this approach, the issue of double jeopardy will not arise if the "complexing" of acts penalized under Article 365 involves only resulting acts penalized as grave or less grave felonies because there will be a single prosecution of all the resulting acts. The issue of double jeopardy arises if one of the resulting acts is penalized as a light offense and the other acts are penalized as grave or less grave offenses, in which case Article 48 is not deemed to apply and the act penalized as a light offense is tried separately from the resulting acts penalized as grave or less grave offenses.
The second jurisprudential path nixes Article 48 and sanctions a single prosecution of all the effects of the quasi-crime collectively alleged in one charge, regardless of their number or severity,51 penalizing each consequence separately. Thus, in Angeles v. Jose,52 we interpreted paragraph three of Article 365, in relation to a charge alleging "reckless imprudence resulting in damage to property and less serious physical injuries," as follows:
[T]he third paragraph of said article, x x x reads as follows:
When the execution of the act covered by this article shall have only resulted in damage to the property of another, the offender shall be punished by a fine ranging from an amount equal to the value of said damage to three times such value, but which shall in no case be less than 25 pesos.
The above-quoted provision simply means that if there is only damage to property the amount fixed therein shall be imposed, but if there are also physical injuries there should be an additional penalty for the latter. The information cannot be split into two; one for the physical injuries, and another for the damage to property, x x x.53 (Emphasis supplied)
By "additional penalty," the Court meant, logically, the penalty scheme under Article 365.
Evidently, these approaches, while parallel, are irreconcilable. Coherence in this field demands choosing one framework over the other. Either (1) we allow the "complexing" of a single quasi-crime by breaking its resulting acts into separate offenses (except for light felonies), thus re-conceptualize a quasi-crime, abandon its present framing under Article 365, discard its conception under the Quizon and Diaz lines of cases, and treat the multiple consequences of a quasi-crime as separate intentional felonies defined under Titles 1-13, Book II under the penal code; or (2) we forbid the application of Article 48 in the prosecution and sentencing of quasi-crimes, require single prosecution of all the resulting acts regardless of their number and severity, separately penalize each as provided in Article 365, and thus maintain the distinct concept of quasi-crimes as crafted under Article 365, articulated in Quizon and applied to double jeopardy adjudication in the Diaz line of cases.1avvphi1
A becoming regard of this Court’s place in our scheme of government denying it the power to make laws constrains us to keep inviolate the conceptual distinction between quasi-crimes and intentional felonies under our penal code. Article 48 is incongruent to the notion of quasi-crimes under Article 365. It is conceptually impossible for a quasi-offense to stand for (1) a single act constituting two or more grave or less grave felonies; or (2) an offense which is a necessary means for committing another. This is why, way back in 1968 in Buan, we rejected the Solicitor General’s argument that double jeopardy does not bar a second prosecution for slight physical injuries through reckless imprudence allegedly because the charge for that offense could not be joined with the other charge for serious physical injuries through reckless imprudence following Article 48 of the Revised Penal Code:
The Solicitor General stresses in his brief that the charge for slight physical injuries through reckless imprudence could not be joined with the accusation for serious physical injuries through reckless imprudence, because Article 48 of the Revised Penal Code allows only the complexing of grave or less grave felonies. This same argument was considered and rejected by this Court in the case of People vs. [Silva] x x x:
[T]he prosecution’s contention might be true. But neither was the prosecution obliged to first prosecute the accused for slight physical injuries through reckless imprudence before pressing the more serious charge of homicide with serious physical injuries through reckless imprudence. Having first prosecuted the defendant for the lesser offense in the Justice of the Peace Court of Meycauayan, Bulacan, which acquitted the defendant, the prosecuting attorney is not now in a position to press in this case the more serious charge of homicide with serious physical injuries through reckless imprudence which arose out of the same alleged reckless imprudence of which the defendant has been previously cleared by the inferior court.
[W]e must perforce rule that the exoneration of this appellant x x x by the Justice of the Peace x x x of the charge of slight physical injuries through reckless imprudence, prevents his being prosecuted for serious physical injuries through reckless imprudence in the Court of First Instance of the province, where both charges are derived from the consequences of one and the same vehicular accident, because the second accusation places the appellant in second jeopardy for the same offense.54 (Emphasis supplied)
Indeed, this is a constitutionally compelled choice. By prohibiting the splitting of charges under Article 365, irrespective of the number and severity of the resulting acts, rampant occasions of constitutionally impermissible second prosecutions are avoided, not to mention that scarce state resources are conserved and diverted to proper use.
Hence, we hold that prosecutions under Article 365 should proceed from a single charge regardless of the number or severity of the consequences. In imposing penalties, the judge will do no more than apply the penalties under Article 365 for each consequence alleged and proven. In short, there shall be no splitting of charges under Article 365, and only one information shall be filed in the same first level court.55
Our ruling today secures for the accused facing an Article 365 charge a stronger and simpler protection of their constitutional right under the Double Jeopardy Clause. True, they are thereby denied the beneficent effect of the favorable sentencing formula under Article 48, but any disadvantage thus caused is more than compensated by the certainty of non-prosecution for quasi-crime effects qualifying as "light offenses" (or, as here, for the more serious consequence prosecuted belatedly). If it is so minded, Congress can re-craft Article 365 by extending to quasi-crimes the sentencing formula of Article 48 so that only the most severe penalty shall be imposed under a single prosecution of all resulting acts, whether penalized as grave, less grave or light offenses. This will still keep intact the distinct concept of quasi-offenses. Meanwhile, the lenient schedule of penalties under Article 365, befitting crimes occupying a lower rung of culpability, should cushion the effect of this ruling.
WHEREFORE, we GRANT the petition. We REVERSE the Orders dated 2 February 2006 and 2 May 2006 of the Regional Trial Court of Pasig City, Branch 157. We DISMISS the Information in Criminal Case No. 82366 against petitioner Jason Ivler y Aguilar pending with the Metropolitan Trial Court of Pasig City, Branch 71 on the ground of double jeopardy.
Let a copy of this ruling be served on the President of the Senate and the Speaker of the House of Representatives.
SO ORDERED.
ANTONIO T. CARPIO
Associate Justice
WE CONCUR:
CONCHITA CARPIO MORALES
Associate Justice
DIOSDADO M. PERALTA
Associate Justice
ROBERTO A. ABAD
Associate Justice
JOSE C. MENDOZA
Associate Justice
A T T E S T A T I O N
I attest that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court’s Division.
ANTONIO T. CARPIO
Associate Justice
Chairperson
C E R T I F I C A T I O N
Pursuant to Section 13, Article VIII of the Constitution, and the Division Chairperson’s Attestation, I certify that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court’s Division.
RENATO C. CORONA
Chief Justice

Footnotes
* Designated additional member per Raffle dated 22 September 2010.
1 Under Rule 45 of the 1997 Rules of Civil Procedure.
2 Dated 2 February 2006 and 2 May 2006.
3 In a Resolution dated 4 October 2004.
4 In an Order dated 17 May 2005 (Records, p. 142).
5 In a Resolution dated 24 May 2005.
6 Denied in an Order dated 2 May 2006.
7 Rollo, pp. 30-33.
8 The provision states: "Dismissal of appeal for abandonment or failure to prosecute. – x x x x
The Court of Appeals may also, upon motion of the appellee or motu proprio, dismiss the appeal if the appellant escapes from prison or confinement, jumps bail or flees to a foreign country during the pendency of the appeal."
9 329 Phil. 339 (1996).
10 Id. at 350.
11 The provision states: "Forfeiture of bail. – When the presence of the accused is required by the court or these Rules, his bondsmen shall be notified to produce him before the court on a given date and time. If the accused fails to appear in person as required, his bail shall be declared forfeited and the bondsmen given thirty (30) days within which to produce their principal and to show why no judgment should be rendered against them for the amount of their bail. Within the said period, the bondsmen must:
(a) produce the body of their principal or give the reason for his non-production; and
(b) explain why the accused did not appear before the court when first required to do so.
Failing in these two requisites, a judgment shall be rendered against the bondsmen, jointly and severally, for the amount of the bail. The court shall not reduce or otherwise mitigate the liability of the bondsmen, unless the accused has been surrendered or is acquitted."
12 Rollo, p. 40.
13 Section 21, Article III, 1987 Constitution.
14 Section 7, Rule 117 Revised Rules of Criminal Procedure. The right has, of course, broader scope to cover not only prior guilty pleas but also acquittals and unconsented dismissals to bar prosecutions for the same, lesser or graver offenses covered in the initial proceedings (id.)
15 Rollo, p. 97.
16 Quizon v. Justice of the Peace of Pampanga, 97 Phil. 342, 345 (1955) (emphasis in the original).
17 Id.
18 Id. at 345-346.
19 We observed in Quizon: "Much of the confusion has arisen from the common use of such descriptive phrases as ‘homicide through reckless imprudence,’ and the like; when the strict technical offense is, more accurately, ‘reckless imprudence resulting in homicide’; or ‘simple imprudence causing damages to property.’’’ (Id. at 345; emphasis supplied)
20 In People v. Buan, 131 Phil. 498, 500-502 (1968), which applied Quizon’s logic, the Court canvassed relevant jurisprudence, local and Spanish:
[T]he quasi-offense of criminal negligence under article 365 of the Revised Penal Code lies in the execution of an imprudent or negligent act that, if intentionally done, would be punishable as a felony. The law penalizes thus the negligent or careless act, not the result thereof. The gravity of the consequence is only taken into account to determine the penalty, it does not qualify the substance of the offense. And, as the careless act is single, whether the injurious result should affect one person or several persons, the offense (criminal negligence) remains one and the same, and cannot be split into different crimes and prosecutions. This has been the constant ruling of the Spanish Supreme Court, and is also that of this Court in its most recent decisions on the matter.
Thus, in People vs. Silva, L-15974, January 30, 1962, where as a result of the same vehicular accident one man died, two persons were seriously injured while another three suffered only slight physical injuries, we ruled that the acquittal on a charge of slight physical injuries through reckless imprudence, was a bar to another prosecution for homicide through reckless imprudence. In People vs. Diaz, L-6518, March 30, 1954, the ruling was that the dismissal by the Municipal Court of a charge of reckless driving barred a second information of damage to property through reckless imprudence based on the same negligent act of the accused. In People vs, Belga, 100 Phil. 996, dismissal of an information for physical injuries through needless imprudence as a result of a collision between two automobiles was declared, to block two other prosecutions, one for damage to property through reckless imprudence and another for multiple physical injuries arising from the same collision. The same doctrine was reasserted in Yap vs. Lutero, et al., L-12669, April 30, 1959. In none of the cases cited did the Supreme Court regard as material that the various offenses charged for the same occurrence were triable in Courts of differing category, or that the complainants were not the individuals.
As for the Spanish jurisprudence, Cuello Calon, in his Derecho Penal (12th Ed.), Vol. I, p. 439, has this to say:
Aun cuando de un solo hecho imprudente se originen males diversos, como el hecho culposo es uno solo, existe un solo delito de imprudencia. Esta es jurisprudencia constante del Tribunal Supremo. De acuerdo con esta doctrina el automovilista imprudente que atropella y causa lesiones a dos personas y ademas daños, no respondera de dos delitos de lesiones y uno de daños por imprudencia, sino de un solo delito culposo.
The said author cites in support of the text the following decisions of the Supreme Court of Spain (footnotes 2 and 3).
x x x x
Si con el hecho imprudente se causa la muerte de una persona y ademas se ocasionan daños, existe un solo hecho punible, pues uno solo fue el acto, aun cuando deben apreciarse dos enorden a la responsabilidad civil, 14 diciembre 1931 si a consecuencia de un solo acto imprudente se produjeron tres delitos, dos de homicidio y uno de daños, como todos son consecuencia de un solo acto culposo, no cabe penarlos por separado, 2 abril 1932. (Emphasis supplied)
21 E.g. Samson v. Court of Appeals, 103 Phil. 277 (1958); People v. Cano, 123 Phil. 1086 (1966); Pabulario v. Palarca, 129 Phil. 1 (1967); Corpus v. Paje, 139 Phil. 429 (1969).
22 67 Phil. 529 (1939) (affirming a conviction for malicious mischief upon a charge for "damage [to property] through reckless imprudence"). A logical consequence of a Fallerian conceptualization of quasi-crimes is the sanctioning of the split prosecution of the consequences of a single quasi offense such as those allowed in El Pueblo de Filipinas v. Estipona, 70 Phil. 513 (1940) (finding the separate prosecutions of damage to property and multiple physical injuries arising from the same recklessness in the accused’s operation of a motor vehicle not violative of the Double Jeopardy Clause).
23 67 Phil. 529 (1939).
24 E.g. Lontok v. Gorgonio, 178 Phil. 525, 528 (1979) (holding that the "less grave offense" of "damage to property through reckless imprudence" (for ₱2,340) cannot be complexed under Article 48 of the penal code with a prescribed " slight offense" of "lesiones leves through reckless imprudence," citing Faller); Arcaya v. Teleron, 156 Phil. 354, 362 (1974) (noting, by way of dicta in a ruling denying relief to an appeal against the splitting of two charges for "less serious physical injuries and damage to property amounting to ₱10,000 though reckless imprudence" and "slight physical injuries though reckless imprudence," that the Quizon doctrine, as cited in Corpus v. Paje, 139 Phil. 429 (1969) and People v. Buan, 131 Phil. 498 (1968), "may not yet be settled in view of the contrary dictum" in Faller).
25 94 Phil. 715 (1954).
26 100 Phil. 996 (1957) (barring subsequent prosecutions for physical injuries thru reckless imprudence and damage to property thru reckless imprudence following an acquittal for "reckless imprudence with physical injury").
27 105 Phil. 1307 (1959) (Unrep.) (barring subsequent prosecution for "serious physical injuries" following an acquittal for "reckless driving").
28 107 Phil. 737 (1960) (barring subsequent prosecution for "damage to property thru reckless imprudence" following a conviction for "multiple slight and serious physical injuries thru reckless imprudence.")
29 No. L-15974, 30 January 1962, 4 SCRA 95 (barring subsequent prosecution for "homicide thru reckless imprudence" following an acquittal for "slight physical injuries thru reckless imprudence").
30 123 Phil. 48 (1966) (barring subsequent prosecution for "damage to property thru reckless imprudence" following an acquittal for two counts of "slight physical injuries thru reckless imprudence.")
31 131 Phil. 498 (1968) (barring subsequent prosecution for "serious physical injuries and damage to property thru reckless imprudence" following an acquittal for "slight physical injuries thru reckless imprudence").
32 200 Phil. 486 (1982) (reversing a subsequent conviction for "damage to property thru reckless imprudence" following a conviction for "slight and serious physical injuries thru reckless imprudence").
33 206 Phil. 555 (1983) (barring subsequent prosecution for "homicide thru reckless imprudence" following a conviction for "serious physical injuries thru reckless imprudence").
34 131 Phil. 498, 500 (1968).
35 Id.
36 70 Phil. 513 (1940), also cited in other sources as People v. Estipona.
37 Supra note 32.
38 Supra note 31.
39 Buerano v. Court of Appeals, 200 Phil. 486, 491 (1982).
40 Id. at 491-492.
41 No. L-15974, 30 January 1962, 4 SCRA 95.
42 Supra note 26.
43 No. L-15974, 30 January 1962, 4 SCRA 95, 97-100 (internal citations omitted).
44 Id. at 100.
45 Id.
46 Defined under Article 9, paragraph 3 of the Revised Penal Code, as amended, thus: "Light felonies are those infractions of law for the commission of which a penalty of arresto menor or a fine not exceeding 200 pesos or both is provided."
47 Quizon v. Justice of the Peace of Pampanga, 97 Phil. 342, 345 (1955).
48 E.gPeople v. Lara, 75 Phil. 786 (1946) (involving "homicidio por imprudencia temeraria" with several victims [or, roughly, "multiple homicide thru reckless imprudence"]); People v. Agito, 103 Phil. 526 (1958) (involving "triple homicide and serious physical injuries through reckless imprudence").
49 E.g. People v. Turla, 50 Phil. 1001 (1927) (sustaining a dismissal on demurrer of a criminal case for the prosecutor’s failure to amend a charge for "damage to property and of lesions leves [slight physical injuries] through negligence and imprudence" to remove the charge for the slight offense, under Article 89 of the penal code, the precursor of Article 48); Arcaya v. Teleron, 156 Phil. 354 (1974) (finding no grave abuse of discretion in the filing of separate charges for "less serious physical injuries and damage to property amounting to ₱10,000 though reckless imprudence" and "slight physical injuries though reckless imprudence" arising from the same facts); Lontok v. Gorgonio, 178 Phil. 525 (1979) (granting a petition to split a single charge for "reckless imprudence resulting in damage to property and multiple [slight] physical injuries" by limiting the petitioner’s trial to "reckless imprudence resulting in damage to property"). See also Reodica v. Court of Appeals, 354 Phil. 90 (1998) (holding that the "less grave felony of reckless imprudence resulting in damage to property" (for ₱8,542) cannot be complexed under Article 48 of the Revised Penal Code with "the light felony of reckless imprudence resulting in physical injuries," citing Lontok); People v. De Los Santos, 407 Phil. 724 (2001) (applying Article 48 of the penal code to hold the accused liable for the "complex crime of reckless imprudence resulting in multiple homicide with serious physical injuries and less serious physical injuries" (upon an information charging "multiple murder, multiple frustrated murder and multiple attempted murder.") In a dicta, the decision stated that separate informations should have been filed for the slight physical injuries the victims sustained which cannot be complexed with the more serious crimes under Article 48.)
50 Section 2 of RA 7691 provides: "Section 2. Section 32 of [Batas Pambansa Blg. 129] is hereby amended to read as follows:
‘Sec. 32. Jurisdiction of Metropolitan Trial Courts, Municipal Trial Courts and Municipal Circuit Trial Courts in Criminal Cases. — Except in cases falling within the exclusive original jurisdiction of Regional Trial Courts and of the Sandiganbayan, the Metropolitan Trial Courts, Municipal Trial Courts, and Municipal Circuit Trial Courts shall exercise:
x x x x
(2) Exclusive original jurisdiction over all offenses punishable with imprisonment not exceeding six (6) years irrespective of the amount of fine, and regardless of other imposable accessory or other penalties, including the civil liability arising from such offenses or predicated thereon, irrespective of kind, nature, value or amount thereof: Provided, however, That in offenses involving damage to property through criminal negligence, they shall have exclusive original jurisdiction thereof.’" (Underlining supplied)
51 E.g. Angeles v. Jose, 96 Phil. 151 (1954) (reversing the ruling of the then Court of First Instance of Manila which dismissed for lack of jurisdiction a complaint for "damage to property in the sum of ₱654.22, and with less serious physical injuries through reckless negligence," holding improper the splitting of the charge). We relied on Angeles for our ruling in People v. Villanueva, 111 Phil. 897 (1962) resolving similar jurisdictional issue and People v. Cano, 123 Phil. 1086, 1090 (1966) (reversing a dismissal order which found the complexing of "damage to property with multiple [slight] physical injuries through reckless imprudence" improper, holding that the Information did not and could not have complexed the effect of a single quasi-offense per Quizon. The Court noted that "it is merely alleged in the information that, thru reckless negligence of the defendant, the bus driven by him hit another bus causing upon some of its passengers serious physical injuries, upon others less serious physical injuries and upon still others slight physical injuries, in addition to damage to property").
52 Angeles v. Jose, 96 Phil. 151, 152 (1954).
53 Thus, we were careful to label the crime in question as "what may be called a complex crime of physical injuries and damage to property" (id., emphasis supplied), because our prescription to impose "additional penalty" for the second consequence of less serious physical injuries, defies the sentencing formula under Article 48 requiring imposition of "the penalty for the most serious crime x x x the same to be applied in its maximum period."
54 Supra note 31 at 502 (internal citation omitted). This also explains why in People v. Cano we described as "not altogether accurate" a trial court and a litigant’s assumption that a charge for "damage to property with multiple [slight] physical injuries through reckless imprudence" involved two crimes corresponding to the two effects of the single quasi-crime albeit complexed as a single charge:
[A]ppellee and the lower court have seemingly assumed that said information thereby charges two offenses, namely (1) slight physical injuries thru reckless imprudence; and (2) damage to property, and serious and less serious physical injuries, thru reckless negligence — which are sought to be complexed. This assumption is, in turn, apparently premised upon the predicate that the effect or consequence of defendants negligence, not the negligence itself, is the principal or vital factor in said offenses. Such predicate is not altogether accurate.
As early as July 28, 1955 this Court, speaking thru Mr. Justice J.B.L. Reyes, had the occasion to state, in Quizon vs. Justice of the Peace of Bacolor, Pampanga x x x, that:
The proposition (inferred from Art. 3 of the Revised Penal Code) that "reckless imprudence is not a crime in itself but simply a way of committing it and merely determines a lower degree of criminal liability" is too broad to deserve unqualified assent. There are crimes that by their structure can not be committed through imprudence: murder, treason, robbery, malicious mischief, etc. In truth, criminal negligence in our Revised Penal Code is treated as a mere quasi-offense, and dealt separately from willful offenses. It is not a mere question of classification or terminology. In intentional crimes, the act itself is punished; in negligence or imprudence, what is principally penalized is the mental attitude or condition behind the act, the dangerous recklessness, lack of care or foresight, the "imprudencia punible." Much of the confusion has arisen from the common use of such descriptive phrases as "homicide through reckless imprudence", and the like; when the strict technical offense is more accurately, "reckless imprudence resulting in homicide", or "simple imprudence causing damages to property." (People v. Cano, 123 Phil. 1086,1090 (1966), (Emphasis supplied), reiterated in Pabulario v. Palarca, 129 Phil. 1 (1967) (reversing a lower court which quashed a charge alleging reckless imprudence resulting in damage to property and multiple slight physical injuries).
55 See Section 32(2), Batas Pambansa Blg. 129, as amended by Republic Act No. 7691.

PEOPLE V. PIMENTEL: The 1987 Constitution guarantees the right of the accused against double jeopardy, thus: Section 7, Rule 117 of the 1985 and 2000 Rules on Criminal Procedure strictly adhere to the constitutional proscription against double jeopardy and provide for the requisites in order for double jeopardy to attach. For double jeopardy to attach, the following elements must concur: (1) a valid information sufficient in form and substance to sustain a conviction of the crime charged; (2) a court of competent jurisdiction; (3) the accused has been arraigned and had pleaded; and (4) the accused was convicted or acquitted or the case was dismissed without his express consent.21 Here, all the elements were present. There was a valid information for two counts of rape over which the RTC had jurisdiction and to which the accused-appellant entered a plea of not guilty. After the trial, a judgment of acquittal was thereafter rendered and promulgated on July 25, 2011. What is peculiar in this case is that a judgment of acquittal was rendered based on the mistaken notion that the private complainant failed to testify; allegedly because of the mix-up of orders with a different case involving the same accused-appellant. This, however, does not change the fact that a judgment of acquittal had already been promulgated. Indeed, a judgment of acquittal, whether ordered by the t

Next: CEREZO V. PEOPLE: It is beyond cavil that double jeopardy did not set in. Double jeopardy exists when the following requisites are present: (1) a first jeopardy attached prior to the second; (2) the first jeopardy has been validly terminated; and (3) a second jeopardy is for the same offense as in the first. A first jeopardy attaches only (a) after a valid indictment; (b) before a competent court; (c) after arraignment; (d) when a valid plea has been entered; and (e) when the accused has been acquitted or convicted, or the case dismissed or otherwise terminated without his express consent.24 Since we have held that the March 17, 2004 Order granting the motion to dismiss was committed with grave abuse of discretion, then respondents were not acquitted nor was there a valid and legal dismissal or termination of the case. Ergo, the fifth requisite which requires the conviction and acquittal of the accused, or the dismissal of the case without the approval of the accused, was not met. Thus, double jeopardy has not set in.
$
0
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FIRST DIVISION
January 11, 2018
G.R. No. 223099
PEOPLE OF THE PHILIPPINES, Plaintiff-Appellee
vs.
LINO ALEJANDRO y PIMENTEL, Accused-Appellant
D E C I S I O N
TIJAM, J.:
This is an appeal from the Decision1 dated February 1 7, 2015 of the Court of Appeals (CA) in CA-G.R. CR-H.C. No. 05256, which affirmed the July 26, 2011 Joint Decision2 rendered by the Regional Trial Court (RTC) of Cauayan City, Isabela, Branch 20 in Criminal Case Nos. Br. 20-6096 & 20-6097, finding accused-appellant Lino Alejandro yPimentel guilty beyond reasonable doubt of two counts of rape.
Accused-appellant was charged with two counts of rape, defined and penalized under Article 266-A, paragraph 1(a) of the Revised Penal Code, in relation to Republic Act No. 83693 , of a 12-year old minor, AAA.4 Upon arraignment, accused-appellant entered a plea of not guilty and trial ensued.
During trial, AAA testified that accused-appellant followed her, grabbed her, and brought her to the back of a school. There, accused-appellant removed AAA's shorts and t-shirt, laid on top of her, and inserted his penis into her vagina.5
Two months later, accused-appellant went inside AAA's house through a window one night, undressed himself and AAA, and inserted his penis inside her vagina. On both occasions, accused-appellant threatened to kill AAA if she told anybody what had happened.6
AAA eventually told her mother, BBB, about the incident. BBB brought her to the Municipal Health Office where she was examined by Dr. CCC. Dr. CCC testified that she found, among others, deep, healed, old and superficial lacerations in the hymen of AAA and concluded that these indicated positive sexual intercourse.7
Accused-appellant, through his counsel, manifested in open court that he would no longer present any evidence for the defense and submitted the case for decision.8
On July 26, 2011, the RTC promulgated a Decision acquitting the accused-appellant. On the same day, however, the RTC recalled the said decision and issued an Order, stating:
Upon manifestation of Assistant Provincial Prosecutor Roderick Cruz that there were Orders that were inadvertently placed in the record of Criminal Case No. Br. 20-4979 involving the same accused but different private complainant-victim, XXX, which if considered will result in a different verdict. The Order dated September 24, 2007, showed that private complainant-victim, AAA, in the above[-]quoted cases, Crim. Case No. Br-20-6096 & 6097, has actually testified in Court.
WHEREFORE, to rectify the error committed and in order to prevent the miscarriage of justice, the Decision promulgated today acquitting the accused is hereby RECALLED and SET ASIDE. SO ORDERED.9
Accused-appellant filed a Motion for Reconsideration10 arguing that a judgment of acquittal is immediately final and executory and can neither be withdrawn nor modified, because to do so would place an accused-appellant in double jeopardy.
The RTC denied the motion in an Order11 dated July 26, 2011, explaining its denial, thus:
Admittedly, the Court erroneously declared in its Decision that private complainant AAA did not testify in Court. When in truth and in fact said private complainant took the witness stand on September 3, 2008 as evidenced by the Order dated September 3, 2008 which was mistakenly captioned as Crim. Case No. 4979 instead of Crim. Cases Nos. Br. 20- 6096 & 6097 and as a result thereof, the Order dated September 3, 2008 was erroneously attached by the Court employee to the records of another criminal case entitled People of the Philippines versus Lino Alejandro, wherein the private complainant is a certain xxx.
Section 14, Article 8 of the 1997 Constitution requires that the Decision should be based on facts and the law. The Court believes and so holds that the Decision contravenes the highest law of the land because it is not in accordance with the law and the facts, and therefore, the judgment of acquittal is invalid. As dispenser of truth and justice, the Court should be candid enough to admit its error and rectify itself with dispatch to avoid grave miscarriage of justice.12
A Joint Decision13 dated July 26, 2011 was rendered by the RTC, finding accused-appellant guilty of two counts of rape and disposed as follows:
WHEREFORE, finding the accused LINO ALEJANDRO y PIMENTEL guilty beyond reasonable doubt of two (2) counts of Simple Rape as defined and penalized under Article 266-A paragraph (D) of the Revised Penal Code, as amended by Republic Act 8353, he is hereby sentenced to suffer, in each count, the penalty of reclusion perpetua and to indentify the victim, minor AAA in the amount of FIFTY THOUSAND PESOS (₱50,000.00) and FIFTY THOUSAND PESOS (₱50,000.00) as moral damages for each count.
Costs to be paid by the accused.
SO ORDERED.14
Accused-appellant appealed to the CA, contending that the R TC gravely erred in recalling its previously promulgated decision acquitting the accused-appellant; and for convicting the accused-appellant despite the prosecution's failure to prove his guilt beyond reasonable doubt.15
The Office of the Solicitor General (OSG) countered that there was no error in the recall of the acquittal. It ratiocinated that the public prosecutor's manifestation was filed on the same day of the promulgation of the recalled decision, pointing out that AAA actually testified during the trial and her testimony, if considered, would result in a different verdict. The OSG stressed that what was proscribed under the double jeopardy clause was the filing of an appeal to allow the prosecutor to seek a second trier of facts of defendant's guilt after having failed with the first.16
The CA dismissed the appeal and held that the RTC's Order of recalling and setting aside the judgment of acquittal was justified. It found that:
The initial decision of the RTC acquitting the accused failed to express clearly and distinctly the facts of the case, as the records on which the acquittal was based was incomplete and inaccurate. Judges are expected to make complete findings of facts in their decisions, and scrutinize closely the legal aspects of the case in the light of the evidence presented. Obviously, with the unintentional exclusion of the testimony of the private complainant from the records of the two criminal cases, the RTC could not have made complete findings of facts in the initial decision. The verdict of acquittal had no factual basis. It was null and void, and should have necessarily been recalled and set aside.17
The CA affirmed the conviction of accused-appellant and modified the award of damages, as follows:
WHEREFORE, premises considered, the appeal is hereby DISMISSED and the July 26, 2011 Joint Decision of the Regional Trial Court of Cauayan City, Isabela, Branch 20, in Criminal Case Nos. Br. 20- 6096 and 20-6097, finding Lino Alejandro y Pimentel guilty beyond reasonable doubt of two (2) counts of rape is AFFIRMED WITH MODIFICATION, in that Alejandro is ordered to pay legal interest on the moral damages awarded to the victim at the rate of six percent (6%) per annum from the date of finality of this decision until fully paid.
SO ORDERED.18
Hence, this petition for review.
Accused-appellant argues that despite the RTC's error and misapprehension of facts, it still had no power to rectify such mistake as said acquittal had attained finality after valid promulgation. The error committed by the RTC cannot be validly recalled without transgressing the accused-appellant's right against double jeopardy. He insists that not only was the decision of acquittal final and executory, the manifestation of the public prosecutor, which was the catalyst in having the decision recalled, was equivalent to a motion for reconsideration of the decision. He also points out that the CA erred in sustaining the conviction for rape despite AAA's incredible testimony.19
The OSG did not submit a supplemental brief and adopted its Appellee's Brief before the CA where it stated that the recall of the earlier decision of the trial court, by reason of the manifestation filed by the public prosecutor, does not actually result in double jeopardy. The OSG maintained that what is proscribed under the double jeopardy clause is the filing of an appeal that would allow the prosecutor to seek a second trier of fact of defendant's guilt after having failed with the first. It stressed that here, the OSG only manifested that the court overlooked a fact, which if not considered, will result to a great injustice to the private complainant. It pressed that there was no double jeopardy because there was no presentation of additional evidence to prove or strengthen the State's case.
The appeal has merit.
In our jurisdiction, We adhere to the finality-of-acquittal doctrine, that is, a judgment of acquittal is final and unappealable.20
The 1987 Constitution guarantees the right of the accused against double jeopardy, thus:
Section 7, Rule 117 of the 1985 and 2000 Rules on Criminal Procedure strictly adhere to the constitutional proscription against double jeopardy and provide for the requisites in order for double jeopardy to attach. For double jeopardy to attach, the following elements must concur: (1) a valid information sufficient in form and substance to sustain a conviction of the crime charged; (2) a court of competent jurisdiction; (3) the accused has been arraigned and had pleaded; and (4) the accused was convicted or acquitted or the case was dismissed without his express consent.21
Here, all the elements were present. There was a valid information for two counts of rape over which the RTC had jurisdiction and to which the accused-appellant entered a plea of not guilty. After the trial, a judgment of acquittal was thereafter rendered and promulgated on July 25, 2011. What is peculiar in this case is that a judgment of acquittal was rendered based on the mistaken notion that the private complainant failed to testify; allegedly because of the mix-up of orders with a different case involving the same accused-appellant. This, however, does not change the fact that a judgment of acquittal had already been promulgated. Indeed, a judgment of acquittal, whether ordered by the trial or the appellate court, is final, unappealable, and immediately executory upon its promulgation.22
The rule on double jeopardy, however, is not without exceptions, which are: (1) Where there has been deprivation of due process and where there is a finding of a mistrial, or (2) Where there has been a grave abuse of discretion under exceptional circumstances. We find that these exceptions do not exist in this case.23 Here, there was no deprivation of due process or mistrial because the records show that the prosecution was actually able to present their case and their witnesses.
A mere manifestation also will not suffice in assailing a judgment of acquittal. A petition for certiorari under Rule 65 of the Rules should have been filed. A judgment of acquittal may only be assailed in a petition for certiorari under Rule 65 of the Rules. If the petition, regardless of its nomenclature, merely calls for an ordinary review of the findings of the court a quo, the constitutional right of the accused against double jeopardy would be violated.24
In People v. Laguio, Jr., 25 this Court stated that the only instance when double jeopardy will not attach is when the RTC acted with grave abuse of discretion, thus:
x x x The only instance when double jeopardy will not attach is when the trial court acted with grave abuse of discretion amounting to lack or excess of jurisdiction, such as where the prosecution was denied the opportunity to present its case or where the trial was a sham. However, while certiorari may be availed of to correct an erroneous acquittal, the petitioner in such an extraordinary proceeding must clearly demonstrate that the trial court blatantly abused its authority to a point so grave as to deprive it of its very power to dispense justice.26
In this case, the acquittal was not even questioned on the basis of grave abuse of discretion. It was only through a supposed mere manifestation of the prosecutor, a copy of which was not in the records, that the RTC was apprised of the supposed mistake it committed.
A similar instance had been ruled upon by this Court in Argel v. Judge Pascua, 27 where the Judge was sanctioned for gross ignorance of the law for recalling a judgment of acquittal, thus:
As stated earlier, complainant was accused of murder in Crim. Case No. 2999-V of the RTC of Vigan, Ilocos Sur. On 13 August 1993 judgment was promulgated acquitting him on the ground that there was no witness who positively identified him as the perpetrator of the crime. However after respondent's attention was called by the private complainant's counsel to the fact that there was such a witness and confirmed by respondent upon re-reading her notes, she issued an Order dated 16 August 1993 stating her intention to "revise" the previous judgment of acquittal, branded the same as "uncalled for" and "not final," and reset the case for another "rendering of the decision." The reason given was that the judgment of acquittal was rendered without all the facts and circumstances being brought to her attention.
Respondent Judge explained that the transcript of stenographic notes of the testimony of eyewitness Tito Retreta was not attached to the records when she wrote her decision. Thus, in a Decision dated 19 August 1993, respondent Judge declared herein complainant Miguel Argel guilty beyond reasonable doubt of murder on the basis of the eyewitness account of Tito Retreta, sentenced complainant Argel to seventeen (17) years, four (4) months and one (1) day of reclusion temporal to reclusion perpetua, and to pay the heirs of the victim ₱50,000.00 as civil indemnity and ₱60,000.00 for actual damages.
Too elementary is the rule that a decision once final is no longer susceptible to amendment or alteration except to correct errors which are clerical in· nature, to clarify any ambiguity caused by an omission or mistake in the dispositive portion or to rectify a travesty of justice brought about by a moro-moro or mock trial.1âwphi1 A final decision is the law of the case and is immutable and unalterable regardless of any claim of error or incorrectness.
In criminal cases, a judgment of acquittal is immediately final upon its promulgation. It cannot be recalled for correction or amendment except in the cases already mentioned nor withdrawn by another order reconsidering the dismissal of the case since the inherent power of a court to modify its order or decision does not extend to a judgment of acquittal in a criminal case.
Complainant herein was already acquitted of murder by respondent in a decision promulgated on 13 August 1993. Applying the aforestated rule, the decision became final and immutable on the same day. As a member of the bench who is always admonished to be conversant with the latest legal and judicial developments, more so of elementary rules, respondent should have known that she could no longer "revise" her decision of acquittal without violating not only an elementary rule of procedure but also the constitutional proscription against double jeopardy. When the law is so elementary, not to know it constitutes gross ignorance of the law. (Emphasis Ours)28
Similarly, in this case, the RTC was reminded of the fact that private complainant AAA testified during the trial, only after it had already rendered and promulgated the judgment of acquittal. The R TC then realized that had AAA's testimony been taken into account, the case would have had a different outcome. Consequently, the RTC issued an Order recalling the judgment of acquittal for the purpose of rectifying its error, and thereafter, rendered a Decision convicting the accused-appellant for two counts of rape. This, however, cannot be countenanced for a contrary ruling would transgress the accused-appellant's constitutionally-enshrined right against double jeopardy.
WHEREFORE, the appeal is hereby GRANTED. The Decision dated February 17, 2015 of the Court of Appeals (CA) in CA-G.R. CR-H.C. No. 05256, which affirmed the July 26, 2011 Joint Decision rendered by the Regional Trial Court (RTC) of Cauayan City, Isabela, Branch 20 in Criminal Case Nos. Br. 20-6096 & 20-6097, finding accused-appellant Lino. Alejandro y Pimentel guilty beyond reasonable doubt of two counts of rape, is hereby REVERSED and SET ASIDE.
Accused-appellant Lino Alejandro y Pimentel is hereby ACQUITTED and is ordered immediately RELEASED from custody, unless he is being held for another lawful cause.
Let a copy of this Decision be furnished to the Director of the Bureau of Corrections, Muntinlupa City for immediate implementation, who is then also directed to report to this Court the action he has taken within five (5) days from receipt of this Decision.
SO ORDERED.
NOEL GIMENEZ TIJAM
Associate Justice
WE CONCUR:
MARIA LOURDES P.A. SERENO
Chief Justice
Chairperson
TERESITA J. LEONARDO-DE CASTRO
Associate Justice
DIOSDADO M. PERALTA
Associate Justice
MARIANO C. DEL CASTILLO
Associate Justice
C E R T I F I C A T I O N
Pursuant to the Section 13, Article VIII of the Constitution, I certify that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court's Division.
MARIA LOURDES P.A. SERENO
Chief Justice

Footnotes
*Designated as additional Member as per Raffle dated June 28, 2017.
1 Penned by Associate Justice Ramon A. Cruz, and concurred in by Associate Justices Remedios A. Salazar-Fernando and Eduardo B. Peralta, Jr., rollo, pp. 2-12.
2 Penned by Judge Reymundo L. Aumentado, CA rollo, pp. 16-23.
3 Otherwise known as the "Family Courts Act of 1997".
4 Pursuant to People v. Cabalquinto, 533 Phil. 703 (2006), the real name and personal circumstances of the victim, and any other information tending to establish or compromise her identity,· including those of her immediate family or household members, are not disclosed.
5 Id.
6 Id. at 3-4.
7 Id. at 4.
8 Id.
9 Original Records, p. 40.
10 CA rollo, p. 79-80.
11 Id. at 82.
12 Id.
13 Id. at 83-90.
14 Id. at 90.
15 Id. at 64.
16 Id. at 113-114.
17 Id. at 130.
18 Id. at 134.
19 Rollo, pp. 35-36.
20 People v. Hon. Asis, et al., 643 Phil. 462, 469 (2010).
21 Chiokv. People, et al., 774 Phil. 230, 247-248 (2015).
22 Villareal v. Aliga, 724 Phil. 47, 62 (2014).
23 Id. at 64.
24 Id. at 60.
25 547 Phil. 296 (2007).
26 Id. at 315.
27 415 Phil. 608 (2001).
28 Id. at 611-612.

CEREZO V. PEOPLE: It is beyond cavil that double jeopardy did not set in. Double jeopardy exists when the following requisites are present: (1) a first jeopardy attached prior to the second; (2) the first jeopardy has been validly terminated; and (3) a second jeopardy is for the same offense as in the first. A first jeopardy attaches only (a) after a valid indictment; (b) before a competent court; (c) after arraignment; (d) when a valid plea has been entered; and (e) when the accused has been acquitted or convicted, or the case dismissed or otherwise terminated without his express consent.24 Since we have held that the March 17, 2004 Order granting the motion to dismiss was committed with grave abuse of discretion, then respondents were not acquitted nor was there a valid and legal dismissal or termination of the case. Ergo, the fifth requisite which requires the conviction and acquittal of the accused, or the dismissal of the case without the approval of the accused, was not met. Thus, double jeopardy has not set in.

Previous: PEOPLE V. PIMENTEL: The 1987 Constitution guarantees the right of the accused against double jeopardy, thus: Section 7, Rule 117 of the 1985 and 2000 Rules on Criminal Procedure strictly adhere to the constitutional proscription against double jeopardy and provide for the requisites in order for double jeopardy to attach. For double jeopardy to attach, the following elements must concur: (1) a valid information sufficient in form and substance to sustain a conviction of the crime charged; (2) a court of competent jurisdiction; (3) the accused has been arraigned and had pleaded; and (4) the accused was convicted or acquitted or the case was dismissed without his express consent.21 Here, all the elements were present. There was a valid information for two counts of rape over which the RTC had jurisdiction and to which the accused-appellant entered a plea of not guilty. After the trial, a judgment of acquittal was thereafter rendered and promulgated on July 25, 2011. What is peculiar in this case is that a judgment of acquittal was rendered based on the mistaken notion that the private complainant failed to testify; allegedly because of the mix-up of orders with a different case involving the same accused-appellant. This, however, does not change the fact that a judgment of acquittal had already been promulgated. Indeed, a judgment of acquittal, whether ordered by the t
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SECOND DIVISION
G.R. No. 185230               June 1, 2011
JOSEPH C. CEREZO, Petitioner,
vs.
PEOPLE OF THE PHILIPPINES, JULIET YANEZA, PABLO ABUNDA, JR., and VICENTE AFULUGENCIA,Respondents.
D E C I S I O N
NACHURA, J.:
This petition for review on certiorari under Rule 45 of the Rules of Court seeks to annul the July 11, 2008 Decision1and the November 4, 2008 Resolution2 of the Court of Appeals (CA) in CA-G.R. SP No. 99088, which reversed and set aside the October 24, 20063 and the February 26, 20074 Orders of the Regional Trial Court (RTC) of Quezon City, Branch 92.
The RTC Orders revived Criminal Case No. Q-03-115490, entitled "People of the Philippines v. Juliet Yaneza, Pablo Abunda, Jr., Oscar Mapalo and Vicente Afulugencia," after the same was dismissed in an earlier Order.
The Facts
On September 12, 2002, petitioner Joseph Cerezo filed a complaint for libel against respondents Juliet Yaneza, Pablo Abunda, Jr., and Vicente Afulugencia (respondents), as well as Oscar Mapalo (Mapalo).5
Finding probable cause to indict respondents,6 the Quezon City Prosecutor’s Office (OP-QC) filed the corresponding Information against them on February 18, 2003 before the RTC.7
Respondents thereafter filed a Motion for Reconsideration and/or Motion to Re-evaluate Prosecution’s Evidence before the OP-QC.8
In its resolution dated November 20, 2003, the OP-QC reversed its earlier finding and recommended the withdrawal of the Information.9 Consequently, a Motion to Dismiss and Withdraw Information was filed before the RTC on December 3, 2003. During the intervening period, specifically on November 24, 2003, respondents were arraigned. All of them entered a "not guilty" plea.10
In deference to the prosecutor’s last resolution, the RTC ordered the criminal case dismissed in its Order dated March 17, 2004, viz.:
Settled is the rule that the determination of the persons to be prosecuted rests primarily with the Public Prosecutor who is vested with quasi-judicial discretion in the discharge of this function. Being vested with such power, he can reconsider his own resolution if he finds that there is reasonable ground to do so. x x x.
More so, the Court cannot interfere with the Public Prosecutor’s discretion to determine probable cause or the propriety of pursuing or not a criminal case when the case is not yet filed in Court, as a general rule. However, if the same criminal case has been filed in Court already, the Public Prosecutor can still interfere with it subject to the approval of the Court. In the case of Republic vs. Sunga, et al., the Supreme Court held that while it has been settled in the case of Crespo vs. Mogul that the trial court is the sole judge on whether a criminal case should be dismissed after the complaint or information has been filed in court, nonetheless any motion of the offended party for the dismissal of the criminal case, even if without objection of the accused, should first be referred to the prosecuting fiscal and only after hearing should the court exercise its exclusive authority to dismiss or continue with the prosecution of the case. The Court, therefore, after hearing and conferring with the fiscal, can dismiss the case if convinced that there is [no] reason to continue with the prosecution [of] the same. As in this case, the Court finds merit [in] the motion of the Public Prosecutor.11
Aggrieved, petitioner moved for reconsideration of the said Order, arguing that the November 20, 2003 OP-QC resolution has not yet attained finality, considering that the same was the subject of a Petition for Review filed before the Department of Justice (DOJ).12 The RTC deferred action on the said motion to await the resolution of the DOJ.13
On June 26, 2006, the Secretary of Justice promulgated his resolution reversing and setting aside the OP-QC’s November 20, 2003 resolution, and directing the latter to refile the earlier Information for libel.14
On October 24, 2006, the RTC issued its first assailed Order granting petitioner’s motion for reconsideration, conformably with the resolution of the DOJ Secretary, thus:
Considering the findings of the Department of Justice reversing the resolution of the City Prosecutor, the Court gives favorable action to the Motion for Reconsideration. In the same manner as discussed in arriving at its assailed order dated 17 March 2004, the Court gives more leeway to the Public Prosecutor in determining whether it has to continue or stop prosecuting a case. While the City Prosecutor has previously decided not to pursue further the case, the Secretary of Justice, however, through its resolution on the Petition for Review did not agree with him.
The Court disagrees with the argument raised by the accused that double jeopardy sets in to the picture. The order of dismissal as well as the withdrawal of the Information was not yet final because of the timely filing of the Motion for Reconsideration. The Court[,] therefore, can still set aside its order. Moreover, there is no refiling of the case nor the filing of a new one. The case filed remains the same and the order of dismissal was merely vacated because the Court finds the Motion for Reconsideration meritorious.
WHEREFORE, finding the Motion for Reconsideration meritorious, the Order dated 17 March 2004 is hereby RECONSIDERED and SET ASIDE.
Let the arraignment of accused Oscar Mapalo and pre-trial [of] the other accused be set on 06 December 2006 at 8:30 in the morning.
SO ORDERED.15
Respondents moved for reconsideration, but the motion was denied in the RTC’s second assailed Order dated February 26, 2007.16
Relentless, respondents elevated their predicament to the CA through a Petition for Certiorari under Rule 65 of the Rules of Court, arguing in the main that the RTC Orders violated their constitutional right against double jeopardy.
Ruling of the CA
The appellate court found the RTC to have gravely abused its discretion in ordering the reinstatement of the case. The CA annulled the impugned RTC Orders, ruling that all the elements of double jeopardy exist. There was a valid Information sufficient in form and substance filed before a court of competent jurisdiction to which respondents had pleaded, and that the termination of the case was not expressly consented to by respondents; hence, the same could not be revived or refiled without transgressing respondents’ right against double jeopardy.
The CA further found that the DOJ Secretary improperly took cognizance of the Petition for Review because DOJ Department Order No. 223 mandates that no appeal shall be entertained if the accused has already been arraigned or, if the arraignment took place during the pendency of the appeal, the same shall be dismissed.17
Petitioner interposed the instant appeal when his motion for reconsideration of the CA Decision was denied.18
The Issues
Petitioner ascribes the following errors to the CA:
a. The Honorable Court of Appeals erred in finding that there was Double Jeopardy, specifically on the alleged existence of the requisites to constitute Double Jeopardy;
b. The Honorable Court of Appeals failed to consider the fact that there was NO refiling of the case nor the filing of a new one in arriving [at] its conclusion that Double Jeopardy sets in to the picture;
c. The Honorable Court of Appeals erred in finding that there was 1.) a valid termination of the case on the basis of the Order of the Trial Court dated 17 March 2004, and allegedly 2.) without the express consent of the respondents.19
The assigned errors will be subsumed into this issue:
Whether there was a valid termination of the case so as to usher in the impregnable wall of double jeopardy.
Our Ruling
The petition is impressed with merit.
Well-entrenched is the rule that once a case is filed with the court, any disposition of it rests on the sound discretion of the court. In thus resolving a motion to dismiss a case or to withdraw an Information, the trial court should not rely solely and merely on the findings of the public prosecutor or the Secretary of Justice.20 It is the court’s bounden duty to assess independently the merits of the motion, and this assessment must be embodied in a written order disposing of the motion.21 While the recommendation of the prosecutor or the ruling of the Secretary of Justice is persuasive, it is not binding on courts.
In this case, it is obvious from the March 17, 2004 Order of the RTC, dismissing the criminal case, that the RTC judge failed to make his own determination of whether or not there was a prima facie case to hold respondents for trial. He failed to make an independent evaluation or assessment of the merits of the case. The RTC judge blindly relied on the manifestation and recommendation of the prosecutor when he should have been more circumspect and judicious in resolving the Motion to Dismiss and Withdraw Information especially so when the prosecution appeared to be uncertain, undecided, and irresolute on whether to indict respondents.
The same holds true with respect to the October 24, 2006 Order, which reinstated the case. The RTC judge failed to make a separate evaluation and merely awaited the resolution of the DOJ Secretary. This is evident from the general tenor of the Order and highlighted in the following portion thereof:
As discussed during the hearing of the Motion for Reconsideration, the Court will resolve it depending on the outcome of the Petition for Review. Considering the findings of the Department of Justice reversing the resolution of the City Prosecutor, the Court gives favorable action to the Motion for Reconsideration.22
By relying solely on the manifestation of the public prosecutor and the resolution of the DOJ Secretary, the trial court abdicated its judicial power and refused to perform a positive duty enjoined by law. The said Orders were thus stained with grave abuse of discretion and violated the complainant’s right to due process. They were void, had no legal standing, and produced no effect whatsoever.23
This Court must therefore remand the case to the RTC, so that the latter can rule on the merits of the case to determine if a prima facie case exists and consequently resolve the Motion to Dismiss and Withdraw Information anew.1awphil
It is beyond cavil that double jeopardy did not set in. Double jeopardy exists when the following requisites are present: (1) a first jeopardy attached prior to the second; (2) the first jeopardy has been validly terminated; and (3) a second jeopardy is for the same offense as in the first. A first jeopardy attaches only (a) after a valid indictment; (b) before a competent court; (c) after arraignment; (d) when a valid plea has been entered; and (e) when the accused has been acquitted or convicted, or the case dismissed or otherwise terminated without his express consent.24
Since we have held that the March 17, 2004 Order granting the motion to dismiss was committed with grave abuse of discretion, then respondents were not acquitted nor was there a valid and legal dismissal or termination of the case. Ergo, the fifth requisite which requires the conviction and acquittal of the accused, or the dismissal of the case without the approval of the accused, was not met. Thus, double jeopardy has not set in.
WHEREFORE, the petition is hereby GIVEN DUE COURSE, and the assailed July 11, 2008 Decision and the November 4, 2008 Resolution of the Court of Appeals in CA-G.R. SP No. 99088, and the October 24, 2006 and the February 26, 2007 Orders of the Regional Trial Court of Quezon City, Branch 92, are hereby ANNULLED and SET ASIDE. The case is REMANDED to the Quezon City RTC, Branch 92, for evaluation on whether probable cause exists to hold respondents for trial.
No costs.
SO ORDERED.
ANTONIO EDUARDO B. NACHURA
Associate Justice
WE CONCUR:
ANTONIO T. CARPIO
Associate Justice
Chairperson
DIOSDADO M. PERALTA
Associate Justice
ROBERTO A. ABAD
Associate Justice
JOSE CATRAL MENDOZA
Associate Justice
A T T E S T A T I O N
I attest that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court’s Division.
ANTONIO T. CARPIO
Associate Justice
Chairperson, Second Division
C E R T I F I C A T I O N
Pursuant to Section 13, Article VIII of the Constitution and the Division Chairperson's Attestation, I certify that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court’s Division.
RENATO C. CORONA
Chief Justice

Footnotes
1 Penned by Associate Justice Arturo G. Tayag, with Associate Justices Martin S. Villarama, Jr. (now a member of this Court) and Noel G. Tijam, concurring; rollo, pp. 18-38.
2 Id. at 41-47.
3 Id. at 49-51.
4 Id. at 52.
5 Supra note 1, at 20.
6 Resolution dated February 18, 2003 in I.S. No. 02-12597; rollo, pp. 53-57.
7 Supra note 1, at 21.
8 Id.
9 Rollo, pp. 58-59.
10 Supra note 1, at 21-22.
11 Id. at 23-24.
12 Rollo, pp. 60-76.
13 Supra note 1, at 25.
14 As summarized in the October 24, 2006 Order of the RTC; supra note 3, at 50.
15 Id. at 50-51.
16 Supra note 4.
17 Supra note 1.
18 Supra note 2.
19 Rollo, pp. 6-7.
20 First Women’s Credit Corporation v. Baybay, G.R. No. 166888, January 31, 2007, 513 SCRA 637, 646, citing Santos v. Orda, Jr., 481 Phil. 93, 106 (2004).
21 Lee v. KBC Bank N.V., G.R. No. 164673, January 15, 2010, 610 SCRA 117, 132, citing Ledesma v. Court of Appeals, 344 Phil. 207, 235 (1997).
22 Supra note 3, at 50.
23 See Co v. Lim, G.R. Nos. 164669-70, October 30, 2009, 604 SCRA 702, 712, citing Summerville General Merchandising & Co., Inc. v. Eugenio, Jr., G.R. No. 163741, August 7, 2007, 529 SCRA 274, 281-282.
24 Section 7, Rule 117 of the Revised Rules of Criminal Procedure, as amended provides:
Sec. 7. Former conviction or acquittal; double jeopardy. - When an accused has been convicted or acquitted, or the case against him dismissed or otherwise terminated without his express consent by a court of competent jurisdiction, upon a valid complaint or information or other formal charge sufficient in form and substance to sustain a conviction and after the accused had pleaded to the charge, the conviction or acquittal of the accused or the dismissal of the case shall be a bar to another prosecution for the offense charged, or for any attempt to commit the same or frustration thereof, or for any offense which necessarily includes or is necessarily included in the offense charged in the former complaint or information.

PEOPLE V. RELOVA;It remains to point out that the dismissal by the Batangas City Court of the information for violation of the Batangas City Ordinance upon the ground that such offense had already prescribed, amounts to an acquittal of the accused of that offense. Under Article 89 of the Revised Penal Code, "prescription of the crime" is one of the grounds for "total extinction of criminal liability." Under the Rules of Court, an order sustaining a motion to quash based on prescription is a bar to another prosecution for the same offense. 15

Previous: CEREZO V. PEOPLE: It is beyond cavil that double jeopardy did not set in. Double jeopardy exists when the following requisites are present: (1) a first jeopardy attached prior to the second; (2) the first jeopardy has been validly terminated; and (3) a second jeopardy is for the same offense as in the first. A first jeopardy attaches only (a) after a valid indictment; (b) before a competent court; (c) after arraignment; (d) when a valid plea has been entered; and (e) when the accused has been acquitted or convicted, or the case dismissed or otherwise terminated without his express consent.24 Since we have held that the March 17, 2004 Order granting the motion to dismiss was committed with grave abuse of discretion, then respondents were not acquitted nor was there a valid and legal dismissal or termination of the case. Ergo, the fifth requisite which requires the conviction and acquittal of the accused, or the dismissal of the case without the approval of the accused, was not met. Thus, double jeopardy has not set in.
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FIRST DIVISION
G.R. No. L-45129 March 6, 1987
PEOPLE OF THE PHILIPPINES, petitioner,
vs.
THE HONORABLE BENJAMIN RELOVA, in his capacity as Presiding Judge of the Court of First Instance of Batangas, Second Branch, and MANUEL OPULENCIA, respondents.


FELICIANO, J.:
In this petition for certiorari and mandamus, the People of the Philippines seek to set aside the orders of the respondent Judge of the Court of First Instance of Batangas in Criminal Case No. 266, dated 12 August 1976 and 8 November 1976, respectively, quashing an information for theft filed against private respondent Manuel Opulencia on the ground of double jeopardy and denying the petitioner's motion for reconsideration.
On 1 February 1975, members of the Batangas City Police together with personnel of the Batangas Electric Light System, equipped with a search warrant issued by a city judge of Batangas City, searched and examined the premises of the Opulencia Carpena Ice Plant and Cold Storage owned and operated by the private respondent Manuel Opulencia. The police discovered that electric wiring, devices and contraptions had been installed, without the necessary authority from the city government, and "architecturally concealed inside the walls of the building" 1owned by the private respondent. These electric devices and contraptions were, in the allegation of the petitioner "designed purposely to lower or decrease the readings of electric current consumption in the electric meter of the said electric [ice and cold storage] plant." 2 During the subsequent investigation, Manuel Opulencia admitted in a written statement that he had caused the installation of the electrical devices "in order to lower or decrease the readings of his electric meter. 3
On 24 November 1975, an Assistant City Fiscal of Batangas City filed before the City Court of Batangas City an information against Manuel Opulencia for violation of Ordinance No. 1, Series of 1974, Batangas City. A violation of this ordinance was, under its terms, punishable by a fine "ranging from Five Pesos (P5.00) to Fifty Pesos (P50.00) or imprisonment, which shall not exceed thirty (30) days, or both, at the discretion of the court." 4 This information reads as follows:

The undersigned, Assistant City Fiscal, accuses Manuel Opulencia y Lat of violation of Sec. 3 (b) in relation to Sec. 6 (d) and Sec. 10 Article II, Title IV of ordinance No. 1, S. 1974, with damage to the City Government of Batangas, and penalized by the said ordinance, committed as follows:
That from November, 1974 to February, 1975 at Batangas City, Philippines and within the jurisdiction of this Honorable Court, the above-named accused, with intent to defraud the City Government of Batangas, without proper authorization from any lawful and/or permit from the proper authorities, did then and there wilfully, unlawfully and feloniously make unauthorized installations of electric wirings and devices to lower or decrease the consumption of electric fluid at the Opulencia Ice Plant situated at Kumintang, Ibaba, this city and as a result of such unathorized installations of electric wirings and devices made by the accused, the City Government of Batangas was damaged and prejudiced in the total amount of FORTY ONE THOUSAND, SIXTY TWO PESOS AND SIXTEEN CENTAVOS (P41,062.16) Philippine currency, covering the period from November 1974 to February, 1975, to the damage and prejudice of the City Government of Batangas in the aforestated amount of P41,062.16, Philippine currency.

The accused Manuel Opulencia pleaded not guilty to the above information. On 2 February 1976, he filed a motion to dismiss the information upon the grounds that the crime there charged had already prescribed and that the civil indemnity there sought to be recovered was beyond the jurisdiction of the Batangas City Court to award. In an order dated 6 April 1976, the Batangas City Court granted the motion to dismiss on the ground of prescription, it appearing that the offense charged was a light felony which prescribes two months from the time of discovery thereof, and it appearing further that the information was filed by the fiscal more than nine months after discovery of the offense charged in February 1975.
Fourteen (14) days later, on 20 April 1976, the Acting City Fiscal of Batangas City filed before the Court of First Instance of Batangas, Branch 11, another information against Manuel Opulencia, this time for theft of electric power under Article 308 in relation to Article 309, paragraph (1), of the Revised Penal Code. This information read as follows:

The undersigned Acting City Fiscal accuses Manuel Opulencia y Lat of the crime of theft, defined and penalized by Article 308, in relation to Article 309, paragraph (1) of the Revised Penal Code, committed as follows:
That on, during, and between the month of November, 1974, and the 21st day of February, 1975, at Kumintang, lbaba, Batangas City, Philippines, and within the jurisdiction of this Honorable Court, the above-named accused, with intent of gain and without the knowledge and consent of the Batangas Electric Light System, did then and there, wilfully, unlawfully and feloniously take, steal and appropriate electric current valued in the total amount of FORTY ONE THOUSAND, SIXTY TWO PESOS AND SIXTEEN CENTAVOS (P41,062.16) Philippine Currency, to the damage and prejudice of the said Batangas Electric Light System, owned and operated by the City Government of Batangas, in the aforementioned sum of P41,062.16.

The above information was docketed as Criminal Case No. 266 before the Court of First Instance of Batangas, Branch II. Before he could be arraigned thereon, Manuel Opulencia filed a Motion to Quash, dated 5 May 1976, alleging that he had been previously acquitted of the offense charged in the second information and that the filing thereof was violative of his constitutional right against double jeopardy. By Order dated 16 August 1976, the respondent Judge granted the accused's Motion to Quash and ordered the case dismissed. The gist of this Order is set forth in the following paragraphs:

The only question here is whether the dismissal of the first case can be properly pleaded by the accused in the motion to quash.
In the first paragraph of the earlier information, it alleges that the prosecution "accuses Manuel Opulencia y Lat of violation of Sec. 3(b) in relation to Sec. 6(d) and Sec. 10 Article II, Title IV of Ordinance No. 1, s. 1974, with damage to the City Government of Batangas, etc. " (Emphasis supplied). The first case, as it appears, was not simply one of illegal electrical connections. It also covered an amount of P41,062.16 which the accused, in effect, allegedly with intent to defraud, deprived the city government of Batangas. If the charge had meant illegal electric installations only, it could have alleged illegal connections which were done at one instance on a particular date between November, 1974, to February 21, 1975. But as the information states "that from November, 1974 to February 1975 at Batangas City, Philippines, and within the jurisdiction of this Honorable Court, the above-named accused with intent to defraud the City Government of Batangas, without proper authorization from any lawful and/or permit from the proper authorities, did then and there wilfully, unlawfully and feloniously make unauthorized installations of electric wirings and devices, etc." (Emphasis supplied), it was meant to include the P 41,062.16 which the accused had, in effect, defrauded the city government. The information could not have meant that from November 1974 to 21 February 1975, he had daily committed unlawful installations.
When, therefore, he was arraigned and he faced the indictment before the City Court, he had already been exposed, or he felt he was exposed to consequences of what allegedly happened between November 1974 to February 21, 1975 which had allegedly resulted in defrauding the City of Batangas in the amount of P 41,062.16. (Emphases and parentheses in the original)

A Motion for Reconsideration of the above-quoted Order filed by the petitioner was denied by the respondent Judge in an Order dated 18 November 1976.
On 1 December 1976, the present Petition for certiorari and mandamus was filed in this Court by the Acting City Fiscal of Batangas City on behalf of the People.
The basic premise of the petitioner's position is that the constitutional protection against double jeopardy is protection against a second or later jeopardy of conviction for the same offense. The petitioner stresses that the first information filed before the City Court of Batangas City was one for unlawful or unauthorized installation of electrical wiring and devices, acts which were in violation of an ordinance of the City Government of Batangas. Only two elements are needed to constitute an offense under this City Ordinance: (1) that there was such an installation; and (2) no authority therefor had been obtained from the Superintendent of the Batangas City Electrical System or the District Engineer. The petitioner urges that the relevant terms of the City Ordinance — which read as follows:

Section 3.-Connection and Installation
(a) x x x
(b) The work and installation in the houses and building and their connection with the Electrical System shall be done either by the employee of the system duly authorized by its Superintendent or by persons adept in the matter duly authorized by the District Engineer. Applicants for electrical service permitting the works of installation or connection with the system to be undertaken by the persons not duly authorized therefor shall be considered guilty of violation of the ordinance.

would show that:

The principal purpose for (sic) such a provision is to ensure that electrical installations on residences or buildings be done by persons duly authorized or adept in the matter, to avoid fires and accidents due to faulty electrical wirings. It is primarily a regulatory measure and not intended to punish or curb theft of electric fluid which is already covered by the Revised Penal Code. 5

The gist of the offense under the City Ordinance, the petitioner's argument continues, is the installing of electric wiring and devices without authority from the proper officials of the city government. To constitute an offense under the city ordinance, it is not essential to establish any mens rea on the part of the offender generally speaking, nor, more specifically, an intent to appropriate and steal electric fluid.
In contrast, the petitioner goes on, the offense of theft under Article 308 of the Revised Penal Code filed before the Court of First Instance of Batangas in Criminal Case No. 266 has quite different essential elements. These elements are:

1. That personal property be taken;
2. That the personal property (taken) belongs to another;
3. That the taking be done with intent of gain;
4. That the taking be done without the consent of the owner; and
5. That the taking be accomplished without violence against or intimidation of persons or force upon things. 6

The petitioner also alleges, correctly, in our view, that theft of electricity can be effected even without illegal or unauthorized installations of any kind by, for instance, any of the following means:

1. Turning back the dials of the electric meter;
2. Fixing the electric meter in such a manner that it will not register the actual electrical consumption;
3. Under-reading of electrical consumption; and
4. By tightening the screw of the rotary blade to slow down the rotation of the same. 7

The petitioner concludes that:

The unauthorized installation punished by the ordinance [of Batangas City] is not the same as theft of electricity [under the Revised Penal Code]; that the second offense is not an attempt to commit the first or a frustration thereof and that the second offense is not necessarily included in the offense charged in the first inforrnation 8

The above arguments made by the petitioner are of course correct. This is clear both from the express terms of the constitutional provision involved — which reads as follows:

No person shall be twice put in jeopardy of punishment for the same offense. If an act is punished by a law and an ordinance, conviction or acquittal under either shall constitute a bar to another prosecution for the same act. (Emphasis supplied; Article IV (22), 1973 Constitution) 9

and from our case law on this point. 10 The basic difficulty with the petitioner's position is that it must be examined, not under the terms of the first sentence of Article IV (22) of the 1973 Constitution, but rather under the second sentence of the same section. The first sentence of Article IV (22) sets forth the general rule: the constitutional protection against double jeopardy is not available where the second prosecution is for an offense that is different from the offense charged in the first or prior prosecution, although both the first and second offenses may be based upon the same act or set of acts. The second sentence of Article IV (22) embodies an exception to the general proposition: the constitutional protection, against double jeopardy is available although the prior offense charged under an ordinance be different from the offense charged subsequently under a national statute such as the Revised Penal Code, provided that both offenses spring from the same act or set of acts. This was made clear sometime ago in Yap vs. Lutero11
In Yap, petitioner Manuel Yap was charged in Criminal Case No. 16054 of the Municipal Court of Iloilo City, with violation of Article 14 of Ordinance No. 22, Series of 1951, in relation to Ordinance No. 15, Series of 1954, of the City of Iloilo. The information charged him with having "wilfully, unlawfully and feloniously drive[n] and operate[d]" an automobile — "recklessly and without reasonable caution thereby endangering other vehicles and pedestrians passing in said street." Three months later, Yap was again charged in Criminal Case No. 16443 of the same Municipal Court, this time with serious physical injuries through reckless imprudence. The information charged him with violation of the Revised Motor Vehicle Law (Act No. 3992 as amended by Republic Act No. 587) committed by driving and operating an automobile in a reckless and negligent manner and as a result thereof inflicting injuries upon an unfortunate pedestrian. Yap moved to quash the second information upon the ground that it placed him twice in jeopardy of punishment for the same act. This motion was denied by the respondent municipal judge. Meantime, another municipal judge had acquitted Yap in Criminal Case No. 16054. Yap then instituted a petition for certiorari in the Court of First Instance of Iloilo to set aside the order of the respondent municipal judge. The Court of First Instance of Iloilo having reversed the respondent municipal judge and having directed him to desist from continuing with Criminal Case No. 16443, the respondent Judge brought the case to the Supreme Court for review on appeal. In affirming the decision appealed from and holding that the constitutional protection against double jeopardy was available to petitioner Yap, then Associate Justice and later Chief Justice Roberto Concepcion wrote:

To begin with, the crime of damage to property through reckless driving — with which Diaz stood charged in the court of first instance — is a violation of the Revised Penal Code (third paragraph of Article 365), not the Automobile Law (Act No. 3992, as amended by Republic Act No. 587). Hence, Diaz was not twice accused of a violation of the same law. Secondly, reckless driving and certain crimes committed through reckless driving are punishable under different provisions of said Automobile Law. Hence — from the view point of Criminal Law, as distinguished from political or Constitutional Law — they constitute, strictly, different offenses, although under certain conditions, one offense may include the other, and, accordingly, once placed in jeopardy for one, the plea of double jeopardy may be in order as regards the other, as in the Diaz case. (Emphases in the original)
Thirdly, our Bill of Rights deals with two (2) kinds of double jeopardy. The first sentence of clause 20, section 1, Article III of the Constitution, ordains that "no person shall be twice put in jeopardy of punishment for the same offense." (Emphasis in the original) The second sentence of said clause provides that "if an act is punishable by a law and an ordinance, conviction or acquittal under either shall constitute a bar to another prosecution for the same act." Thus, the first sentence prohibits double jeopardy of punishment for the same offense, whereas the second contemplates double jeopardy of punishment for the same act. Under the first sentence, one may be twice put in jeopardy of punishment of the same act provided that he is charged with different offenses, or the offense charged in one case is not included in or does not include, the crime charged in the other case. The second sentence applies, even if the offenses charged are not the same, owing to the fact that one constitutes a violation of an ordinance and the other a violation of a statute. If the two charges are based on one and the same act conviction or acquittal under either the law or the ordinance shall bar a prosecution under the other. 12 Incidentally, such conviction or acquittal is not indispensable to sustain the plea of double jeopardy of punishment for the same offense. So long as jeopardy has attached under one of the informations charging said offense, the defense may be availed of in the other case involving the same offense, even if there has been neither conviction nor acquittal in either case.
The issue in the case at bar hinges, therefore, on whether or not, under the information in case No. 16443, petitioner could — if he failed to plead double jeopardy — be convicted of the same act charged in case No. 16054, in which he has already been acquitted. The information in case No. 16054 alleges, substantially, that on the date and in the place therein stated, petitioner herein had wilfully, unlawfully and feloniously driven and operated "recklessly and without reasonable caution" an automobile described in said information. Upon the other hand, the information in case No. 16443, similarly states that, on the same date and in the same place, petitioner drove and operated the aforementioned automobile in a "reckless and negligent manner at an excessive rate of speed and in violation of the Revised Motor Vehicle Law (Act No. 3992), as amended by Republic Act No. 587, and existing city ordinances." Thus, if the theories mentioned in the second information were not established by the evidence, petitioner could be convicted in case No. 16443 of the very same violation of municipal ordinance charged in case No. 16054, unless he pleaded double jeopardy.
It is clear, therefore, that the lower court has not erred eventually sustaining the theory of petitioner herein.

Put a little differently, where the offenses charged are penalized either by different sections of the same statute or by different statutes, the important inquiry relates to the identity of offenses charge: the constitutional protection against double jeopardy is available only where an Identity is shown to exist between the earlier and the subsequent offenses charged. In contrast, where one offense is charged under a municipal ordinance while the other is penalized by a statute, the critical inquiry is to the identity of the acts which the accused is said to have committed and which are alleged to have given rise to the two offenses: the constitutional protection against double jeopardy is available so long as the acts which constitute or have given rise to the first offense under a municipal ordinance are the same acts which constitute or have given rise to the offense charged under a statute.
The question may be raised why one rule should exist where two offenses under two different sections of the same statute or under different statutes are charged, and another rule for the situation where one offense is charged under a municipal ordinance and another offense under a national statute. If the second sentence of the double jeopardy provision had not been written into the Constitution, conviction or acquittal under a municipal ordinance would never constitute a bar to another prosecution for the same act under a national statute. An offense penalized by municipal ordinance is, by definition, different from an offense under a statute. The two offenses would never constitute the same offense having been promulgated by different rule-making authorities — though one be subordinate to the other — and the plea of double jeopardy would never lie. The discussions during the 1934-1935 Constitutional Convention show that the second sentence was inserted precisely for the purpose of extending the constitutional protection against double jeopardy to a situation which would not otherwise be covered by the first sentence. 13
The question of Identity or lack of Identity of offenses is addressed by examining the essential elements of each of the two offenses charged, as such elements are set out in the respective legislative definitions of the offenses involved. The question of Identity of the acts which are claimed to have generated liability both under a municipal ordinance and a national statute must be addressed, in the first instance, by examining the location of such acts in time and space. When the acts of the accused as set out in the two informations are so related to each other in time and space as to be reasonably regarded as having taken place on the same occasion and where those acts have been moved by one and the same, or a continuing, intent or voluntary design or negligence, such acts may be appropriately characterized as an integral whole capable of giving rise to penal liability simultaneously under different legal enactments (a municipal ordinance and a national statute).
In Yap, the Court regarded the offense of reckless driving under the Iloilo City Ordinance and serious physical injuries through reckless imprudence under the Revised Motor Vehicle Law as derived from the same act or sets of acts — that is, the operation of an automobile in a reckless manner. The additional technical element of serious physical injuries related to the physical consequences of the operation of the automobile by the accused, i.e., the impact of the automobile upon the body of the offended party. Clearly, such consequence occurred in the same occasion that the accused operated the automobile (recklessly). The moral element of negligence permeated the acts of the accused throughout that occasion.
In the instant case, the relevant acts took place within the same time frame: from November 1974 to February 1975. During this period, the accused Manuel Opulencia installed or permitted the installation of electrical wiring and devices in his ice plant without obtaining the necessary permit or authorization from the municipal authorities. The accused conceded that he effected or permitted such unauthorized installation for the very purpose of reducing electric power bill. This corrupt intent was thus present from the very moment that such unauthorized installation began. The immediate physical effect of the unauthorized installation was the inward flow of electric current into Opulencia's ice plant without the corresponding recording thereof in his electric meter. In other words, the "taking" of electric current was integral with the unauthorized installation of electric wiring and devices.
It is perhaps important to note that the rule limiting the constitutional protection against double jeopardy to a subsequent prosecution for the same offense is not to be understood with absolute literalness. The Identity of offenses that must be shown need not be absolute Identity: the first and second offenses may be regarded as the "same offense" where the second offense necessarily includes the first offense or is necessarily included in such first offense or where the second offense is an attempt to commit the first or a frustration thereof. 14 Thus, for the constitutional plea of double jeopardy to be available, not all the technical elements constituting the first offense need be present in the technical definition of the second offense. The law here seeks to prevent harrassment of an accused person by multiple prosecutions for offenses which though different from one another are nonetheless each constituted by a common set or overlapping sets of technical elements. As Associate Justice and later Chief Justice Ricardo Paras cautioned in People vs. del Carmen et al., 88 Phil. 51 (1951):

While the rule against double jeopardy prohibits prosecution for the same offense, it seems elementary that an accused should be shielded against being prosecuted for several offenses made out from a single act. Otherwise, an unlawful act or omission may give use to several prosecutions depending upon the ability of the prosecuting officer to imagine or concoct as many offenses as can be justified by said act or omission, by simply adding or subtracting essential elements. Under the theory of appellant, the crime of rape may be converted into a crime of coercion, by merely alleging that by force and intimidation the accused prevented the offended girl from remaining a virgin. (88 Phil. at 53; emphases supplied)

By the same token, acts of a person which physically occur on the same occasion and are infused by a common intent or design or negligence and therefore form a moral unity, should not be segmented and sliced, as it were, to produce as many different acts as there are offenses under municipal ordinances or statutes that an enterprising prosecutor can find
It remains to point out that the dismissal by the Batangas City Court of the information for violation of the Batangas City Ordinance upon the ground that such offense had already prescribed, amounts to an acquittal of the accused of that offense. Under Article 89 of the Revised Penal Code, "prescription of the crime" is one of the grounds for "total extinction of criminal liability." Under the Rules of Court, an order sustaining a motion to quash based on prescription is a bar to another prosecution for the same offense. 15
It is not without reluctance that we deny the people's petition for certiorari and mandamus in this case. It is difficult to summon any empathy for a businessman who would make or enlarge his profit by stealing from the community. Manuel Opulencia is able to escape criminal punishment because an Assistant City Fiscal by inadvertence or otherwise chose to file an information for an offense which he should have known had already prescribed. We are, however, compelled by the fundamental law to hold the protection of the right against double jeopardy available even to the private respondent in this case.
The civil liability aspects of this case are another matter. Because no reservation of the right to file a separate civil action was made by the Batangas City electric light system, the civil action for recovery of civil liability arising from the offense charged was impliedly instituted with the criminal action both before the City Court of Batangas City and the Court of First Instance of Batangas. The extinction of criminal liability whether by prescription or by the bar of double jeopardy does not carry with it the extinction of civil liability arising from the offense charged. In the present case, as we noted earlier, 16 accused Manuel Opulencia freely admitted during the police investigation having stolen electric current through the installation and use of unauthorized elibctrical connections or devices. While the accused pleaded not guilty before the City Court of Batangas City, he did not deny having appropriated electric power. However, there is no evidence in the record as to the amount or value of the electric power appropriated by Manuel Opulencia, the criminal informations having been dismissed both by the City Court and by the Court of First Instance (from which dismissals the Batangas City electric light system could not have appealed 17) before trial could begin. Accordingly, the related civil action which has not been waived expressly or impliedly, should be remanded to the Court of First Instance of Batangas City for reception of evidence on the amount or value of the electric power appropriated and converted by Manuel Opulencia and rendition of judgment conformably with such evidence.
WHEREFORE, the petition for certiorari and mandamus is DENIED. Let the civil action for related civil liability be remanded to the Court of First Instance of Batangas City for further proceedings as indicated above. No pronouncement as to costs.
SO ORDERED.
Yap (Chairman), Narvasa, Melencio-Herrera, Gancayco and Sarmiento, JJ., concur.
Cruz, J., took no part.

Footnotes


1 Petition for certiorari and Mandamus, dated 27 November 1976, p. 2.
2 Id.
3 Id.; and Annex "A " of the Petition.
4 Order dated 6 April 1976 of Acting City Judge Aguileo S. de Villa, City Court, Branch I, Batangas City, Criminal Case No. 2385.
5 Memorandum for the Petitioner dated 16 April 1977, pp. 13-14.
6 Memorandum for the Petitioner dated 16 April 1977, p. 14, citing Reyes, Revised Penal Code [1971] p. 584.
7 Memorandum for Petitioner dated 16 April 1977, p. 15.
8 Id., p. 16; emphasis in the original; brackets supplied.
9 The above paragraph is taken verbatim from Article III (20) of the 1935 Constitution and is carried over, again verbatim in Article III (21) of the proposed Constitution adopted by the Constitutional Commission of 1986. The Philippine Bill of July 1, 1902 had provided that "no person for the same offense shall be twice put in jeopardy of punishment-" (Sec. 5, 1 Phil. Anno. Laws [1956] 51). This provision of the Philippine Bill was carried over in Identical words in the Jones Law of August 29, 1916 (Sec. 3, Ibid, 105).
10 The case law on this point includes: Lu Hayco vs. Court of Appeals, 138 SCRA 227 (1985); People vs. Bocar, 138 SCRA 166 (1985); People vs. Militante, 117 SCRA 910 (1982); Flores Jr. vs. Ponce Enrile, 115 SCRA 236 (1982); People vs. Glorin 80 SCRA 675 (1977); People vs. Consulta, 70 SCRA 277 (1976); Tacas vs. Cariaso 72 SCRA 527 (1976); Bustamante vs. Maceren, 48 SCRA 155 (1972); People vs. Mencias, 46 SCRA 88 (1972); People vs. Doriquez, 24 SCRA 163 (1968); Culanag vs. Director of Prisons, 20 SCRA 1123 (1967); People vs. Ramos, 2 SCRA 523 (1961); Yap vs. Hon. Lutero, 105 Phil. 1307 (1959); People vs. Opemia 98 Phil. 698 (1956); People vs. Alger 92 Phil. 227 (1953); People vs. del Carmen, 88 Phil. 51 (1951); Melo vs. People, 85 Phil. 766 (1950); People vs. Ylagan, 58 Phil. 851 (1933); People vs. Cabrera, 43 Phil. 82 (1922); Julia vs. Sotto, 2 Phil. 247 (1903).
11 G.R. No. L-12669, 30Aprill959.Unfortunately,this decision is not reported in full; see 105 Phil. 1307 (1959).
12 Emphases supplied.
13 The second sentence of Article Ill (22) of the 1935 Constitution was originally introduced by Delegate Francisco. The amendment read:
"Si un acto esta penado tanto por una ley general como por una ordenanza municipal, la absolucion o condena bajo la una sera obice para un procesamiento ulterior bajo la otra. " (IV Proceedings of the Philippine Constitutional Convention [1966; SH Laurel, Ed.] p. 97)
Delegate Jose P. Laurel speaking in connection with the Francisco amendment said:
"MR. LAUREL. Mr. President and Gentlemen of the Convention: Pardon me if I have to make a little explanation in connection with this case. In the case of the United States vs. Grafton, the Supreme Court of the United States said that a person accused before a military tribunal and acquitted, cannot again be accused before a civil court, because to do so will be to place a person twice in jeopardy. In that case, Grafton who was a soldier was accused before the military court. This military court acquitted him. Later on he was again prosecuted for the same offense before a civil court, and the civil court convicted him to fourteen years, eight months and one day. Upon the appeal to the Supreme Court of the United States, the U.S. Supreme Court set aside the judgment of the lower court on the ground that Grafton had been placed twice in jeopardy.
Now, in connection with my statement regarding laws and municipal ordinances, we have in our jurisprudence quite a number of cases, particularly the cases of US. vs. Joson US. vs. Espiritu Santo and other cases holding that the conviction under a general law settled power to prosecution (sic) under a local law, and vice versa, on the ground that there are two distinct sovereignties and two distinct violations of the law. We have, therefore, reached a situation where you have in one case the decision of the Supreme Court of the United States, and the decision of our Supreme Court in the Philippine Islands. Now, the theory in the Supreme Court of the United States in the Grafton case was that when the courts acquitted Grafton the acquittal was by the same authority, the authority of the United States that established the military court. The civil government was established by the same authority of the government of the United States, and consequently-to convict a man already acquitted would be [to] place [him] twice in jeopardy on the same principle that it was the same authority that convicted and condemned Grafton.
Now, the Supreme Court of the Philippine Islands, and with due apology to the Supreme Court, failed to follow the logic of the Grafton case and adhered to the practice obtaining in several states of the Union that in cases where there are two violations, one for a general law and one against a local law, there is no double jeopardy on the ground of two distinct sovereignties and two distinct laws. But there is no doubt that it would be unjust and should not be allowed. The objection and the example given here by the Representative from Cebu that a person may be influential or may be shrewd enough in case he is accused, for instance, of gambling, in hurrying to the chief of police and having him accused of violation of a municipal ordinance in which case, according to him, it will not be possible to accuse him under a general law, and therefore that will defeat in a way the administration of justice because that will make the administration of justice dependent upon the ability and the shrewdness of the person accused of gambling to hurry to the justice of the peace court. But I desire to inform the members of this Convention, in answer to that argument, that in my opinion it is preferable that a man should be only accused and convicted once, for instance, for violation of a municipal ordinance and no longer be prosecuted for violation of a general law, rather than to permit that same person be convicted say one month in the municipal court and then six months in another court for the same offense. I [would] rather see a person convicted once in violation of a municipal offense, rather than to permit the conviction of that person, one for violation of a municipal ordinance, and one for violation of a general law for the same offense, in gambling in that case. If the selection is made, I would prefer the prosecution of a man under a general law than to permit his prosecution twice for the same act of gambling.
x x x (IV Id. pp. 113-115; brackets supplied)
The distinction between "acts" and "offenses" in the context of the double jeopardy provision was present in the minds of the delegates to the Convention. Thus:
MR. LAUREL. Mr. President, that has practically been brought up here, because some of our delegates suggested that the word "act" be incorporated, which would give rise to difficulties, because one act may constitute different offense. But when we retain the word "offense, " there will be distinct offenses, and consequently, that may be desirable here to retain what is stated in the draft, that is, the word "offense;" but as I said, still if we accept in principle the fact that no person shall be prosecuted twice for violation of a general offense, or if you give latitude to the Committee as to the form of expression, we shall be able to arrive at that point where we can present a proper precept embodying the Idea that we shall approve in principle only. I am not in a position to say now whether it would be advisable to retain it; I do not know whether it would be advisable to insert the word "act," because an act may constitute several offenses. It seems to me that it is for the committee to study properly the draft, and recommend what it thinks best.
MR. JOVEN. Does not the gentleman think that such modification is a question of form and not of substance?
MR. LAUREL. Well my suggestion that we approve in principle the proposition covers this particular case. That is to say, a person may not be prosecuted twice in a case where there are two laws, one general law and one municipal ordinance. That is to say, in case he is prosecuted under a general law, that is a part or the consequences of a municipal ordinance, and vice versa. That is the Idea, the primary Idea, and that is our recommendation. Now, as to how we should word it, whether we should retain the draft as it is or we shall modify or amplify that and then incorporate the amendment suggested by Delegate Francisco, I think it is just a matter of style and can be entirely left to the Committee on Style. " (IV Id, pp. 116-117)
xxx xxx xxx
"SR. FRANCISCO. Senor Presidente, Caballeros de la convencion, voy a ser breve. Yo no estoy conforme con la ultima parte del discurso de mi distinguido amigo el Delegado por Batangas, Sr. Laurel, al decir que la frase "en ningun caso se pondra a una persona en peligro de ser condenada dos veces por el mismo delito," cubre la enmienda que he presentado. La razon es muy sencilla. Las palabras "mismo delito" no quieren decir un mismo acto. Esta cuestion ha sido planteada ante la Corte Suprema. Al ejecutar un acto penado bajo o una ordenanza municipal y penado bajo o una ley general, se presents una accion contra el en el juzgado de paz. Convicto en el juzgado de paz y firme la sentencia, se presenta otra acusacion contra el en el juzgado de Primera Instancia por infraccion de una ley general. El acusado se defiende alegando que esta en jeopardy, porque ya habia sido condenado por ese mismo acto, y la Corte Suprema declaro que la teoria del acusado era erronea, porque dice que lo que la ley prohibe es que se ponga a uno en peugro de ser condenado por un mismo delito y no por un mismo acto, y la Corte Supreme declare, en ese caso particular, que como quiera que aquel acto estaba penado por una ordenanza municipal y por una ley general, se cometen dos delitos; uno contra el municipio y otro contra el Estado o contra la ley general de ahi que mi enmienda en el sentido de que cuando un acusado ha cometido un acto penado por una ordenanza municipal y al tiempo por una ley general, y dicho acusado ya ha sido convictopor la infraccion procesado ulteriormente bajo otra ley. Creo, por lo tanto, que no es cuestion solamente de estilo, sino que es una cuestion fundamental" (IV Id, p. 119, emphases supplied)
14 Section 9, Rule 117, Revised Rules of Court.
15 Sections of and 8, Rule 117, Revised Rules of Court; see Cabral vs. Puno, 70 SCRA 606 (1976).
16 Supra, Note 3.
17 People v. Velez, 77 Phil. 1046 (1946); People v. Maceda, 73 Phil. 679 (1942); People v. Liggayu et al. 97 PhiL 865 (1955).

TABUSO V. GOMOS: IBP is sui generis

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The IBP's existence traces its roots to Sec. 13, Article VIII of the 1935 Constitution which stated that:
Section 13. The Supreme Court shall have the power to promulgate rules concerning pleading, practice, and procedure in all courts, and the admission to the practice of law. Said rules shall be uniform for all courts of the same grade and shall not diminish, increase, or modify substantive rights. The existing laws on pleading, practice, and procedure are hereby repealed as statutes, and are declared Rules of Courts, subject to the power of the Supreme Court to alter and modify the same. The Congress shall have the power to repeal, alter or supplement the rules concerning pleading, practice, and procedure, and the admission to the practice of law in the Philippines. 
In view of this provision, Congress enacted R.A. No. 6397[27] which gave this Court the facility to initiate the integration process of the Philippine Bar; the provisions of which read:
Section 1. Within two years from the approval of this Act, the Supreme Court may adopt rules of court to effect the integration of the Philippine Bar under such conditions as it shall see fit in order to raise the standards of the legal profession, improve the administration of justice, and enable the bar to discharge its public responsibility more effectively.
Section 2. The sum of five hundred thousand pesos is hereby appropriated, out of any funds in the National Treasury not otherwise appropriated, to carry out the purposes of this Act. Thereafter, such sums as may be necessary for the same purpose shall be included in the annual appropriations for the Supreme Court.
Section 3. This Act shall take effect upon its approval.
Meanwhile, the 1973 Constitution was ratified wherein Sec. 5(5) of Art. X enumerated the powers of this Court, thus:
Promulgate rules concerning pleading, practice, and procedure in all courts, the admission to the practice of law, and the integration of the bar, which, however, may be repealed, altered or supplemented by the Batasang Pambansa. Such rules shall provide a simplified and inexpensive procedure for the speedy disposition of cases, shall be uniform for all courts of the same grade, and shall not diminish, increase, or modify substantive rights.
Finally, the legal quandary pertaining to the integration of the Philippine Bar culminated in the promulgation of In the Matter of the Integration of the Bar of the Philippines[28] where the Court upheld the integration of the Philippine Bar on the ground that it was sanctioned by Sec. 13, Art. VIII of the 1935 Constitution.

Following this judicial pronouncement, Presidential Decree (P.D.) No. 181
[29] was enacted formally creating the IBP and vesting it with corporate personality. Sec. 2 of the law states:
Section 2. The Integrated Bar shall have perpetual succession and shall have all legal powers appertaining to a juridical person, particularly the power to sue and be sued; to contract and be contracted with; to hold real and personal property as may be necessary for corporate purposes; to mortgage, lease, sell, transfer, convey and otherwise dispose of the same; to solicit and receive public and private donations and contributions; to accept and receive real and personal property by gift, devise or bequest; to levy and collect membership dues and special assessments from its members; to adopt a seal and to alter the same at pleasure; to have offices and conduct its affairs in the Greater Manila Area and elsewhere; to make and adopt by-laws, rules and regulations not inconsistent with the laws of the Philippines or the Rules of Court, particularly Rule 139-A thereof; and generally to do all such acts and things as may be necessary or proper to carry into effect and promote the purposes for which it was organized.
Significantly, Section 6[30] of P.D. No. 181 still recognized this Court's constitutional power to promulgate rules concerning the IBP, and such power of the Court was also institutionalized and carried into the present Constitution in which Sec. 5(5), Art. VIII now reads:
Promulgate rules concerning the protection and enforcement of constitutional rights, pleading, practice, and procedure in all courts, the admission to the practice of law, the integrated bar, and legal assistance to the under-privileged. Such rules shall provide a simplified and inexpensive procedure for the speedy disposition of cases, shall be uniform for all courts of the same grade, and shall not diminish, increase, or modify substantive rights. Rules of procedure of special courts and quasi-judicial bodies shall remain effective unless disapproved by the Supreme Court. (emphasis supplied)
Now, given the IBP's statutory and jurisprudential background, the Court proceeds to answer the question: What branch of government created the IBP? More importantly: Is the IBP strictly a public office or a private institution?
To answer both questions, the Court highlights its observations regarding the important segments of the legal history which led to the grant of the IBP's juridical personality, viz:
Firstly, both the 1935 and 1973 Constitutions gave the Court and the Legislature the concurrent power to regulate the practice of law. In other words, the overlapping and coequal powers of both branches of government to regulate the practice of law became the initial bases for the IBP's establishment.
Secondly, Sec. 1 of R.A. No. 6397 used the phraseology "to effect the integration" which means that Congress, though it also had the power to enact laws affecting the practice of law under the 1935 Constitution, had acknowledged the Court's rightful (and primary) prerogative to adopt measures to raise the standard of the legal profession.[31] At that time, only this Court had the power to "promulgate" rules concerning the practice of law while Congress may only "repeal, alter or supplement" these promulgated rules. That may be the apparent reason why Congress only appropriated (and allowed for subsequent appropriations of) the necessary funds to assist this Court in attaining the objective of initiating the integration of the Philippine Bar.
Thirdly, the Court had ordained the integration of the Philippine Bar to: a) assist in the administration of justice; b) foster and maintain on the part of its members high ideals of integrity, learning, professional competence, public service and conduct; c) safeguard the professional interests of its members; d) cultivate among its members a spirit of cordiality and brotherhood; e) provide a forum for the discussion of law, jurisprudence, law reform, pleading, practice and procedure, and the relations of the Bar to the Bench and to the public, and publish information relating thereto; f) encourage and foster legal education; g) promote a continuing program of legal research in substantive and adjective law, and make reports and recommendations thereon; h) enable the Bar to discharge its public responsibility effectively; i) render more effective assistance in maintaining the Rule of Law; j) protect lawyers and litigants against the abuse of tyrannical judges and prosecuting officers; k) discharge, fully and properly, its responsibility in the disciplining and/or removal of incompetent and unworthy judges and prosecuting officers; l) shield the judiciary, which traditionally cannot defend itself except within its own forum, from the assaults that politics and self-interest may level at it, and assist it to maintain its integrity, impartiality and independence; m) have an effective voice in the selection of judges and prosecuting officers; n) prevent the unauthorized practice of law, and break up any monopoly of local practice maintained through influence or position; o) establish welfare funds for families of disabled and deceased lawyers; p) provide placement services, and establish legal aid offices and set up lawyer reference services throughout the country so that the poor may not lack competent legal service; q) distribute educational and informational materials that are difficult to obtain in many of our provinces; r) devise and maintain a program of continuing legal education for practicing attorneys in order to elevate the standards of the profession throughout the country; s) enforce rigid ethical standards, and promulgate minimum fees schedules; t) create law centers and establish law libraries for legal research; u) conduct campaigns to educate the people on their legal rights and obligations, on the importance of preventive legal advice, and on the functions and duties of the Filipino lawyer; and v) generate and maintain pervasive and meaningful country-wide involvement of the lawyer population in the solution of the multifarious problems that afflict the nation.[32]
Fourthly, P.D. No. 181 endowed the IBP with the attributes of perpetual succession and, more importantly, "all legal powers appertaining to a juridical person." It means that the IBP had corporate attributes which gave it the ability to pursue desired activities on its own, subject only to the Court's administrative supervision.
Lastly, the present Constitution's acknowledgment of the "integrated bar" as one of the subjects of this Court's power to promulgate rules relative to the practice of law cements the IBP's existence as a juridical person.
The aforementioned observations indubitably establish that the collaborative enactments of the Court, the Congress (and the President exercising legislative powers in the case of P.D. No. 181), and the present Constitution all contributed to the emergence of the IBP's juridical personality. Due to this peculiar manner of creation, it now becomes reasonable for the Court to conclude that the IBP is a sui generis public[33] institution deliberately organized, by both the legislative and judicial branches of government and recognized by the present and past Constitutions, for the advancement of the legal profession. At this juncture, the Court needs to determine whether the IBP's officers, especially the IBP Commissioners, are considered as public officers under the purview of the law.
Presently, the IBP as an organization has as its members all lawyers coming from both the public and private sectors who are authorized to practice law in the Philippines. However, Section 4[34] of the IBP's By-Laws allows only private practitioners to occupy any position in its organization. This means that only individuals engaged in the private practice are authorized to be officers or employees and to perform acts for and in behalf of the IBP. Hence, the IBP Commissioners, being officers of the IBP, are private practitioners performing public functionsdelegated to them by this Court in the exercise of its constitutional power to regulate the practice of law. This was aptly described in Frias v. Atty. Bautista-Lozada[35] where the Court declared that:
The [IBP CBD] derives its authority to take cognizance of administrative complaints against lawyers from this Court which has the inherent power to regulate, supervise and control the practice of law in the Philippines. Hence, in the exercise of its delegated power to entertain administrative complaints against lawyers, the [IBP-CBD] should be guided by the doctrines and principles laid down by this Court. 
Even if the afore-cited case did not expound in what way the IBP-Commission is to be "guided by the doctrines and principles laid down by this Court," it can be reasonably inferred that the IBP-CBD's delegated function of entertaining complaints against lawyers is public in nature; but the responsible officer performing such function is a private individual—not a public officer. Consequently, it also follows that IBP Commissioners are not "public officers" in context of Sec. 3(b)[36] of R.A. No. 6713, Art. 203 the Revised Penal Code,[37] Sec. 4(e)[38] R.A. No. 9485,[39] or even Sec. 2(b)[40] of R.A. No. 3019.[41] Especially in the context of R.A. No. 6713, they are not "public officials" as they are not elective or appointive officials of the  "government" as defined by Sec. 3(a)[42] of the same law. Moreover, it is also obvious that IBP Commissioners cannot be held liable for violation of Sec. 15(1),[43] Art. VIII of the Constitution because they are neither members of the Judiciary in the context of the Constitution or statutory provisions organizing lower collegiate and trial courts nor quasi-judicial officers in the context of applicable laws creating quasi-judicial agencies. Finally, IBP Commissioners cannot be held administratively liable for malfeasance, misfeasance and non-feasance in the framework of administrative law because they cannot strictly be considered as being "employed" with the government or of any subdivision, agency or instrumentality including government-owned or controlled corporations.[44]
Nonetheless, IBP Commissioners and other IBP officers may be held administratively liable for violation of the rules promulgated by this Court relative to the integrated bar and to the practice of law. Even if they are not "public officers" in the context of their employment relationship with the government, they are still "officers of the court" and "servants of the law" who are expected to observe and maintain the rule of law and to make themselves exemplars worthy of emulation by others.[45] Most importantly, no less than Sec. 5(5) of the Constitution placed them under the Court's administrative supervision. Therefore, IBP Commissioners may be held administratively liable only in relation to their functions as IBP officers—not as government officials.

THE COURT’S ADVICE TO LAWYERS

The Court has, in some instances, even conceded that "a lawyer may think highly of his [or her] intellectual endowment."[53] Such observation is but a moderate and fair commentary to remind members of the legal profession to espouse humility in all their dealings not only with their clients and with their fellow lawyers but also against their adversaries.
The respondent's comment, that the complainant "must have thought so highly of herself that...she finds it necessary to declare that [Sillo's words] are not words a graduate of the only Pontifical University in Asia and a law school ran by monks would use," is merely a fair and realistic observation. Clearly, an academic slur implicating incompetence on a person's intellectual capabilities due to his or her scholastic background simply amounts to an intemperate language on the complainant's part. It finds no place in decent legal argumentation and debate. Besides, lawyers should not be too onion-skinned and should be tolerant of criticisms (especially those which are fair or mild) against them as litigation is inherently a hostile endeavor between adverse or contending parties. Hence, it was proper on the part of Commissioner Limpingco to recommend for the dismissal of the complainant's charges of impropriety for the respondent merely made a fair comment.

Canon 8 of the Code of Professional Responsibility states:


CANON 8 – A lawyer shall conduct himself with courtesy, fairness and candor toward his professional colleagues, and shall avoid harassing tactics against opposing counsel.
Obviously, the filing of baseless and unfounded administrative complaints against fellow lawyers is antithetical to conducting oneself with courtesy, fairness and candor. It reduces the Bar's disciplinary process into an avenue for childish bickering and trivial catfights. Realistically, filing harassment administrative complaints definitely causes undue anxiety and considerable psychological stress on wrongly charged respondents. Thus, it should be understood that the aforementioned Canon proscribes the filing of frivolous administrative complaints against fellow members of the legal profession to prevent exploitative lawyers from abusing the disciplinary process. Besides, an important portion of the Lawyer's Oath which should be the guiding beacon of every member of the legal profession states: "I will not wittingly nor willingly promote or sue any groundless, false or unlawful suit, or give aid nor consent to the same."

FINAL NOTE



Lawyers are reminded to treat their fellow members of the legal profession and even their non-lawyer adversaries with utmost candor, respect and dignity. More importantly, the primary purpose of administrative disciplinary proceedings against delinquent lawyers is to uphold the law and to prevent the ranks of the legal profession from being corrupted by unscrupulous practices—not to shelter or nurse a wounded ego. Such is the reason why lawyers should always set a good example in not using the law and the rules as weapons or tools of malicious vindication during petty squabbles as it degrades the credibility of the legal profession and tarnishes its integrity.

On the part of the judges, the following reminders are in order:

 Rule 1.01 – A judge should be the embodiment of competence, integrity and independence.

Rule 1.02 – A judge should administer justice impartially and without delay.

 Rule 3.01 – A judge shall be faithful to the law and maintain professional competence.

 Rule 3.02 – In every case, a judge shall endeavor diligently to ascertain the facts and the applicable law unswayed by partisan interests, public opinion or fear of criticism.
 Rule 3.04 – A judge should be patient, attentive, and courteous to lawyers, especially the inexperienced, to litigants, witnesses, and others appearing before the court. A judge should avoid unconsciously falling into the attitude of mind that the litigants are made for the courts, instead of the courts for the litigants.

THE NON-POLITICAL BAR

Section 4. Non-political bar. - The Integrated Bar is strictly non-political, and every activity tending to impair this basic feature is strictly prohibited and shall be penalized accordingly. No lawyer holding an elective, judicial, quasi-judicial, or prosecutory office in the Government or any political subdivision or instrumentality thereof shall be eligible for election or appointment to any position in the Integrated Bar or any Chapter thereof. A Delegate, Governor, officer or employee of the Integrated Bar, or an officer or employee of any Chapter thereof shall be considered ipso facto resigned from his position as of the moment he files his certificate of candidacy for any elective public office or accepts appointment to any judicial, quasi-judicial, or prosecutory office in the Government or any political subdivision or instrumentality thereof.

As observed by this Court in Rheem of the Philippines v. Ferrer, a 1967 decision, 48 a party "may think highly of his intellectual endowment. That is his privilege. And he may suffer frustration at what he feels is others' lack of it. This is his misfortune. Some such frame of mind, however, should not be allowed to harden into a belief that he may attack a court's decision in words calculated to jettison the time-honored aphorism that courts are the temples of right."


SOURCE: THIRD DIVISION

[ A.C. No. 12005, July 23, 2018 ]
ACHERNAR B. TABUZO, COMPLAINANT, VS. ATTY. JOSE ALFONSO M. GOMOS, RESPONDENT.



EN BANC G.R. No. 175352 DANTE V. LIBAN, REYNALDO M. BERNARDO, and SALVADOR M. VIARI, Petitioners, vs. RICHARD J. GORDON, Respondent.

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Petitioners raise the following issues:


1. Whether the Philippine National Red Cross (PNRC) is a government- owned or controlled corporation;
2. Whether Section 13, Article VI of the Philippine Constitution applies to the case of respondent who is Chairman of the PNRC and at the same time a Member of the Senate;
3. Whether respondent should be automatically removed as a Senator pursuant to Section 13, Article VI of the Philippine Constitution; and
4. Whether petitioners may legally institute this petition against respondent.4

ruling:

Although the State is often represented in the governing bodies of a National Society, this can be justified by the need for proper coordination with the public authorities, and the government representatives may take part in decision-making within a National Society. However, the freely-elected representatives of a National Society’s active members must remain in a large majority in a National Society’s governing bodies.19
The PNRC is not government-owned but privately owned. The vast majority of the thousands of PNRC members are private individuals, including students. Under the PNRC Charter, those who contribute to the annual fund campaign of the PNRC are entitled to membership in the PNRC for one year. Thus, any one between 6 and 65 years of age can be a PNRC member for one year upon contributing ₱35, ₱100, ₱300, ₱500 or ₱1,000 for the year.20 Even foreigners, whether residents or not, can be members of the PNRC. Section 5 of the PNRC Charter, as amended by Presidential Decree No. 1264,21 reads:
SEC. 5. Membership in the Philippine National Red Cross shall be open to the entire population in the Philippines regardless of citizenship. Any contribution to the Philippine National Red Cross Annual Fund Campaign shall entitle the contributor to membership for one year and said contribution shall be deductible in full for taxation purposes.
Thus, the PNRC is a privately owned, privately funded, and privately run charitable organization. The PNRC is not a government-owned or controlled corporation.
xxx

Just like the Local Water Districts, the PNRC was created through a special charter. However, unlike the Local Water Districts, the elements of government ownership and control are clearly lacking in the PNRC. Thus, although the PNRC is created by a special charter, it cannot be considered a government-owned or controlled corporation in the absence of the essential elements of ownership and control by the government. In creating the PNRC as a corporate entity, Congress was in fact creating a private corporation. However, the constitutional prohibition against the creation of private corporations by special charters provides no exception even for non-profit or charitable corporations. Consequently, the PNRC Charter, insofar as it creates the PNRC as a private corporation and grants it corporate powers,27 is void for being unconstitutional. Thus, Sections 1,28 2,29 3,30 4(a),31 5,32 6,33 7,34 8,35 9,3610,37 11,38 12,39 and 1340 of the PNRC Charter, as amended, are void.
The other provisions41 of the PNRC Charter remain valid as they can be considered as a recognition by the State that the unincorporated PNRC is the local National Society of the International Red Cross and Red Crescent Movement, and thus entitled to the benefits, exemptions and privileges set forth in the PNRC Charter. The other provisions of the PNRC Charter implement the Philippine Government’s treaty obligations under Article 4(5) of the Statutes of the International Red Cross and Red Crescent Movement, which provides that to be recognized as a National Society, the Society must be "duly recognized by the legal government of its country on the basis of the Geneva Conventions and of the national legislation as a voluntary aid society, auxiliary to the public authorities in the humanitarian field."
In sum, we hold that the office of the PNRC Chairman is not a government office or an office in a government-owned or controlled corporation for purposes of the prohibition in Section 13, Article VI of the 1987 Constitution. However, since the PNRC Charter is void insofar as it creates the PNRC as a private corporation, the PNRC should incorporate under the Corporation Code and register with the Securities and Exchange Commission if it wants to be a private corporation.
WHEREFORE, we declare that the office of the Chairman of the Philippine National Red Cross is not a government office or an office in a government-owned or controlled corporation for purposes of the prohibition in Section 13, Article VI of the 1987 Constitution. We also declare that Sections 1, 2, 3, 4(a), 5, 6, 7, 8, 9, 10, 11, 12, and 13 of the Charter of the Philippine National Red Cross, or Republic Act No. 95, as amended by Presidential Decree Nos. 1264 and 1643, are VOID because they create the PNRC as a private corporation or grant it corporate powers.
xx xx

National Societies such as the PNRC act as auxiliaries to the public authorities of their own countries in the humanitarian field and provide a range of services including disaster relief and health and social programmes.
The International Federation of Red Cross (IFRC) and Red Crescent Societies (RCS) Position Paper,17 submitted by the PNRC, is instructive with regard to the elements of the specific nature of the National Societies such as the PNRC, to wit:
National Societies, such as the Philippine National Red Cross and its sister Red Cross and Red Crescent Societies, have certain specificities deriving from the 1949 Geneva Convention and the Statutes of the International Red Cross and Red Crescent Movement (the Movement). They are also guided by the seven Fundamental Principles of the Red Cross and Red Crescent Movement: Humanity, Impartiality, Neutrality, Independence, Voluntary Service, Unity and Universality.
A National Society partakes of a sui generis character. It is a protected component of the Red Cross movement under Articles 24 and 26 of the First Geneva Convention, especially in times of armed conflict. These provisions require that the staff of a National Society shall be respected and protected in all circumstances. Such protection is not ordinarily afforded by an international treaty to ordinary private entities or even non-governmental organisations (NGOs). This sui generis character is also emphasized by the Fourth Geneva Convention which holds that an Occupying Power cannot require any change in the personnel or structure of a National Society. National societies are therefore organizations that are directly regulated by international humanitarian law, in contrast to other ordinary private entities, including NGOs.

xxx
WHEREFORE, premises considered, respondent Richard J. Gordon’s Motion for Clarification and/or for Reconsideration and movant-intervenor PNRC’s Motion for Partial Reconsideration of the Decision in G.R. No. 175352 dated July 15, 2009 are GRANTED. The constitutionality of R.A. No. 95, as amended, the charter of the Philippine National Red Cross, was not raised by the parties as an issue and should not have been passed upon by this Court. The structure of the PNRC is sui generis¸ being neither strictly private nor public in nature. R.A. No. 95 remains valid and constitutional in its entirety. The dispositive portion of the Decision should therefore be MODIFIED by deleting the second sentence, to now read as follows:
WHEREFORE, we declare that the office of the Chairman of the Philippine National Red Cross is not a government office or an office in a government-owned or controlled corporation for purposes of the prohibition in Section 13, Article VI of the 1987 Constitution.

EN BANC
G. R. No. 175352               January 18, 2011
DANTE V. LIBAN, REYNALDO M. BERNARDO and SALVADOR M. VIARI, Petitioners,
vs.
RICHARD J. GORDON, Respondent.
PHILIPPINE NATIONAL RED CROSS, Intervenor.

EN BANC G.R. No. 177131 June 7, 2011 BOY SCOUTS OF THE PHILIPPINES, Petitioner, vs. COMMISSION ON AUDIT, Respondent.

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As stated earlier, the sole issue to be resolved in this case is whether the BSP falls under the COA’s audit jurisdiction.

ruling:
After looking at the legislative history of its amended charter and carefully studying the applicable laws and the arguments of both parties, we find that the BSP is a public corporation and its funds are subject to the COA’s audit jurisdiction.
The BSP Charter (Commonwealth Act No. 111, approved on October 31, 1936), entitled "An Act to Create a Public Corporation to be Known as the Boy Scouts of the Philippines, and to Define its Powers and Purposes" created the BSP as a "public corporation" to serve the following public interest or purpose:
Sec. 3. The purpose of this corporation shall be to promote through organization and cooperation with other agencies, the ability of boys to do useful things for themselves and others, to train them in scoutcraft, and to inculcate in them patriotism, civic consciousness and responsibility, courage, self-reliance, discipline and kindred virtues, and moral values, using the method which are in common use by boy scouts.
Presidential Decree No. 460, approved on May 17, 1974, amended Commonwealth Act No. 111 and provided substantial changes in the BSP organizational structure. Pertinent provisions are quoted below:
Section II. Section 5 of the said Act is also amended to read as follows:
The governing body of the said corporation shall consist of a National Executive Board composed of (a) the President of the Philippines or his representative; (b) the charter and life members of the Boy Scouts of the Philippines; (c) the Chairman of the Board of Trustees of the Philippine Scouting Foundation; (d) the Regional Chairman of the Scout Regions of the Philippines; (e) the Secretary of Education and Culture, the Secretary of Social Welfare, the Secretary of National Defense, the Secretary of Labor, the Secretary of Finance, the Secretary of Youth and Sports, and the Secretary of Local Government and Community Development; (f) an equal number of individuals from the private sector; (g) the National President of the Girl Scouts of the Philippines; (h) one Scout of Senior age from each Scout Region to represent the boy membership; and (i) three representatives of the cultural minorities. Except for the Regional Chairman who shall be elected by the Regional Scout Councils during their annual meetings, and the Scouts of their respective regions, all members of the National Executive Board shall be either by appointment or cooption, subject to ratification and confirmation by the Chief Scout, who shall be the Head of State. Vacancies in the Executive Board shall be filled by a majority vote of the remaining members, subject to ratification and confirmation by the Chief Scout. The by-laws may prescribe the number of members of the National Executive Board necessary to constitute a quorum of the board, which number may be less than a majority of the whole number of the board. The National Executive Board shall have power to make and to amend the by-laws, and, by a two-thirds vote of the whole board at a meeting called for this purpose, may authorize and cause to be executed mortgages and liens upon the property of the corporation.
Subsequently, on March 24, 1992, Republic Act No. 7278 further amended Commonwealth Act No. 111 "by strengthening the volunteer and democratic character" of the BSP and reducing government representation in its governing body, as follows:
Section 1. Sections 2 and 3 of Commonwealth Act. No. 111, as amended, is hereby amended to read as follows:
"Sec. 2. The said corporation shall have the powers of perpetual succession, to sue and be sued; to enter into contracts; to acquire, own, lease, convey and dispose of such real and personal estate, land grants, rights and choses in action as shall be necessary for corporate purposes, and to accept and receive funds, real and personal property by gift, devise, bequest or other means, to conduct fund-raising activities; to adopt and use a seal, and the same to alter and destroy; to have offices and conduct its business and affairs in Metropolitan Manila and in the regions, provinces, cities, municipalities, and barangays of the Philippines, to make and adopt by-laws, rules and regulations not inconsistent with this Act and the laws of the Philippines, and generally to do all such acts and things, including the establishment of regulations for the election of associates and successors, as may be necessary to carry into effect the provisions of this Act and promote the purposes of said corporation: Provided, That said corporation shall have no power to issue certificates of stock or to declare or pay dividends, its objectives and purposes being solely of benevolent character and not for pecuniary profit of its members.
"Sec. 3. The purpose of this corporation shall be to promote through organization and cooperation with other agencies, the ability of boys to do useful things for themselves and others, to train them in scoutcraft, and to inculcate in them patriotism, civic consciousness and responsibility, courage, self-reliance, discipline and kindred virtues, and moral values, using the method which are in common use by boy scouts."
Sec. 2. Section 4 of Commonwealth Act No. 111, as amended, is hereby repealed and in lieu thereof, Section 4 shall read as follows:
"Sec. 4. The President of the Philippines shall be the Chief Scout of the Boy Scouts of the Philippines."
Sec. 3. Sections 5, 6, 7 and 8 of Commonwealth Act No. 111, as amended, are hereby amended to read as follows:
"Sec. 5. The governing body of the said corporation shall consist of a National Executive Board, the members of which shall be Filipino citizens of good moral character. The Board shall be composed of the following:
"(a) One (1) charter member of the Boy Scouts of the Philippines who shall be elected by the members of the National Council at its meeting called for this purpose;
"(b) The regional chairmen of the scout regions who shall be elected by the representatives of all the local scout councils of the region during its meeting called for this purpose: Provided, That a candidate for regional chairman need not be the chairman of a local scout council;
"(c) The Secretary of Education, Culture and Sports;
"(d) The National President of the Girl Scouts of the Philippines;
"(e) One (1) senior scout, each from Luzon, Visayas and Mindanao areas, to be elected by the senior scout delegates of the local scout councils to the scout youth forums in their respective areas, in its meeting called for this purpose, to represent the boy scout membership;
"(f) Twelve (12) regular members to be elected by the members of the National Council in its meeting called for this purpose;
"(g) At least ten (10) but not more than fifteen (15) additional members from the private sector who shall be elected by the members of the National Executive Board referred to in the immediately preceding paragraphs (a), (b), (c), (d), (e) and (f) at the organizational meeting of the newly reconstituted National Executive Board which shall be held immediately after the meeting of the National Council wherein the twelve (12) regular members and the one (1) charter member were elected.
x x x x
"Sec. 8. Any donation or contribution which from time to time may be made to the Boy Scouts of the Philippines by the Government or any of its subdivisions, branches, offices, agencies or instrumentalities or by a foreign government or by private, entities and individuals shall be expended by the National Executive Board in pursuance of this Act.
The BSP as a Public Corporation under Par. 2, Art. 2 of the Civil Code
There are three classes of juridical persons under Article 44 of the Civil Code and the BSP, as presently constituted under Republic Act No. 7278, falls under the second classification. Article 44 reads:
Art. 44. The following are juridical persons:
(1) The State and its political subdivisions;
(2) Other corporations, institutions and entities for public interest or purpose created by law; their personality begins as soon as they have been constituted according to law;
(3) Corporations, partnerships and associations for private interest or purpose to which the law grants a juridical personality, separate and distinct from that of each shareholder, partner or member. (Emphases supplied.)
The BSP, which is a corporation created for a public interest or purpose, is subject to the law creating it under Article 45 of the Civil Code, which provides:
Art. 45. Juridical persons mentioned in Nos. 1 and 2 of the preceding article are governed by the laws creating or recognizing them.
Private corporations are regulated by laws of general application on the subject.
Partnerships and associations for private interest or purpose are governed by the provisions of this Code concerning partnerships. (Emphasis and underscoring supplied.)
The purpose of the BSP as stated in its amended charter shows that it was created in order to implement a State policy declared in Article II, Section 13 of the Constitution, which reads:

THIRD DIVISION G.R. No. 79025. December 29, 1989. BENGUET ELECTRIC COOPERATIVE, INC., petitioner, vs. HON. PURA FERRER-CALLEJA, Director of the Bureau of Labor Relations, and BENECO EMPLOYEES LABOR UNION, respondents.

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The issue of whether or not employees of a cooperative are qualified to form or join a labor organization for purposes of collective bargaining has already been resolved and clarified in the case of Cooperative Rural Bank of Davao City, Inc. vs. Ferrer Calleja, et al. [G.R. No. 7795, September 26,1988] and reiterated in the cases of Batangas-Electric Cooperative Labor Union v. Young, et al. [G.R. Nos. 62386, 70880 and 74560 November 9, 1988] and San Jose City Electric Service Cooperative, Inc. v. Ministry of Labor and Employment, et al. [G.R. No. 77231, May 31, 1989] wherein the Court had stated that the right to collective bargaining is not available to an employee of a cooperative who at the same time is a member and co-owner thereof. With respect, however, to employees who are neither members nor co-owners of the cooperative they are entitled to exercise the rights to self-organization, collective bargaining and negotiation as mandated by the 1987 Constitution and applicable statutes.
Respondent director argues that to deny the members of petitioner cooperative the right to form, assist or join a labor union of their own choice for purposes of collective bargaining would amount to a patent violation of their right to self-organization. She points out that:
Albeit a person assumes a dual capacity as rank and file employee and as member of a certain cooperative does not militate, as in the instant case, against his/her exercise of the right to self-organization and to collective bargaining guaranteed by the Constitution and Labor Code because, while so doing, he/she is acting in his/her capacity as rank and file employee thereof. It may be added that while the employees concerned became members of petitioner cooperative, their status employment as rank and filers who are hired for fixed compensation had not changed. They still do not actually participate in the management of the cooperative as said function is entrusted to the Board of Directors and to the elected or appointed officers thereof. They are not vested with the powers and prerogatives to lay down and execute managerial policies; to hire, transfer, suspend, lay-off, recall, discharge, assign or discipline employees; and/or to effectively recommend such managerial functions [Comment of Respondent Director, p. 4; Rollo, p. 125.]
Private respondent BELU concurs with the above contention of respondent director and, additionally, claims that since membership in petitioner cooperative is only nominal, the rank and file employees who are members thereof should not be deprived of their right to self-organization.
The above contentions are untenable. Contrary to respondents' claim, the fact that the members-employees of petitioner do not participate in the actual management of the cooperative does not make them eligible to form, assist or join a labor organization for the purpose of collective bargaining with petitioner. The Court's ruling in the Davao City case that members of cooperative cannot join a labor union for purposes of collective bargaining was based on the fact that as members of the cooperative they are co-owners thereof. As such, they cannot invoke the right to collective bargaining for "certainly an owner cannot bargain with himself or his co-owners." [Cooperative Rural Bank of Davao City, Inc. v. Ferrer-Calleja, et al., supra]. It is the fact of ownership of the cooperative, and not involvement in the management thereof, which disqualifies a member from joining any labor organization within the cooperative. Thus, irrespective of the degree of their participation in the actual management of the cooperative, all members thereof cannot form, assist or join a labor organization for the purpose of collective bargaining.
Respondent union further claims that if nominal ownership in a cooperative is "enough to take away the constitutional protections afforded to labor, then there would be no hindrance for employers to grant, on a scheme of generous profit sharing, stock bonuses to their employees and thereafter claim that since their employees are not stockholders [of the corporation], albeit in a minimal and involuntary manner, they are now also co-owners and thus disqualified to form unions." To allow this, BELU argues, would be "to allow the floodgates of destruction to be opened upon the rights of labor which the Constitution endeavors to protect and which welfare it promises to promote." [Comment of BELU, p. 10; Rollo, p. 100].
The above contention of respondent union is based on the erroneous presumption that membership in a cooperative is the same as ownership of stocks in ordinary corporations. While cooperatives may exercise some of the rights and privileges given to ordinary corporations provided under existing laws, such cooperatives enjoy other privileges not granted to the latter [See Sections 4, 5, 6, and 8, Pres. Decree No. 175; Cooperative Rural Bank of Davao City v. Ferrer-Calleja, supra]. Similarly, members of cooperatives have rights and obligations different from those of stockholders of ordinary corporations. It was precisely because of the special nature of cooperatives, that the Court held in the Davao City case that members-employees thereof cannot form or join a labor union for purposes of collective bargaining. The Court held that:
A cooperative ... is by its nature different from an ordinary business concern being run either by persons, partnerships, or corporations. Its owners and/or members are the ones who run and operate the business while the others are its employees. As above stated, irrespective of the number of shares owned by each member they are entitled to cast one vote each in deciding upon the affairs of the cooperative. Their share capital earn limited interest. They enjoy special privileges as-exemption from income tax and sales taxes, preferential right to supply their products to State agencies and even exemption from the minimum wage laws.
An employee therefore of such a cooperative who is a member and co-owner thereof cannot invoke the right to collective bargaining for certainly an owner cannot bargain with himself or his co-owners.

EN BANC G.R. No. 147402 January 14, 2004 ENGR. RANULFO C. FELICIANO, in his capacity as General Manager of the Leyte Metropolitan Water District (LMWD), Tacloban City, petitioner, vs. COMMISSION ON AUDIT, Chairman CELSO D. GANGAN, Commissioners RAUL C. FLORES and EMMANUEL M. DALMAN, and Regional Director of COA Region VIII, respondents.

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Petitioner contends that COA committed grave abuse of discretion amounting to lack or excess of jurisdiction by auditing LMWD and requiring it to pay auditing fees. Petitioner raises the following issues for resolution:
1. Whether a Local Water District ("LWD") created under PD 198, as amended, is a government-owned or controlled corporation subject to the audit jurisdiction of COA;
2. Whether Section 20 of PD 198, as amended, prohibits COA’s certified public accountants from auditing local water districts; and
3. Whether Section 18 of RA 6758 prohibits the COA from charging government-owned and controlled corporations auditing fees.
The Ruling of the Court
The petition lacks merit.
The Constitution and existing lawsmandate COA to audit all government agencies, including government-owned and controlled corporations ("GOCCs") with original charters. An LWD is a GOCC with an original charter. Section 2(1), Article IX-D of the Constitution provides for COA’s audit jurisdiction, as follows:
SECTION 2. (1) The Commission on Audit shall have the power, authority and duty to examine, audit, and settle all accounts pertaining to the revenue and receipts of, and expenditures or uses of funds and property, owned or held in trust by, or pertaining to, the Government, or any of its subdivisions, agencies, or instrumentalities, including government-owned and controlled corporations with original charters, and on a post-audit basis: (a) constitutional bodies, commissions and offices that have been granted fiscal autonomy under this Constitution; (b) autonomous state colleges and universities; (c) other government-owned or controlled corporations and their subsidiaries; and (d) such non-governmental entities receiving subsidy or equity, directly or indirectly, from or through the government, which are required by law or the granting institution to submit to such audit as a condition of subsidy or equity. However, where the internal control system of the audited agencies is inadequate, the Commission may adopt such measures, including temporary or special pre-audit, as are necessary and appropriate to correct the deficiencies. It shall keep the general accounts of the Government and, for such period as may be provided by law, preserve the vouchers and other supporting papers pertaining thereto. (Emphasis supplied)
The COA’s audit jurisdiction extends not only to government "agencies or instrumentalities," but also to "government-owned and controlled corporations with original charters" as well as "other government-owned or controlled corporations" without original charters.
Whether LWDs are Private or Government-Owned
and Controlled Corporations with Original Charters
Petitioner seeks to revive a well-settled issue. Petitioner asks for a re-examination of a doctrine backed by a long line of cases culminating in Davao City Water District v. Civil Service Commissionand just recently reiterated in De Jesus v. Commission on Audit.Petitioner maintains that LWDs are not government-owned and controlled corporations with original charters. Petitioner even argues that LWDs are private corporations. Petitioner asks the Court to consider certain interpretations of the applicable laws, which would give a "new perspective to the issue of the true character of water districts."7
Petitioner theorizes that what PD 198 created was the Local Waters Utilities Administration ("LWUA") and not the LWDs. Petitioner claims that LWDs are created "pursuant to" and not created directly by PD 198. Thus, petitioner concludes that PD 198 is not an "original charter" that would place LWDs within the audit jurisdiction of COA as defined in Section 2(1), Article IX-D of the Constitution. Petitioner elaborates that PD 198 does not create LWDs since it does not expressly direct the creation of such entities, but only provides for their formation on an optional or voluntary basis.Petitioner adds that the operative act that creates an LWD is the approval of the Sanggunian Resolution as specified in PD 198.
Petitioner’s contention deserves scant consideration.
We begin by explaining the general framework under the fundamental law. The Constitution recognizes two classes of corporations. The first refers to private corporations created under a general law. The second refers to government-owned or controlled corporations created by special charters. Section 16, Article XII of the Constitution provides:
Sec. 16. The Congress shall not, except by general law, provide for the formation, organization, or regulation of private corporations. Government-owned or controlled corporations may be created or established by special charters in the interest of the common good and subject to the test of economic viability.
The Constitution emphatically prohibits the creation of private corporations except by a general law applicable to all citizens.The purpose of this constitutional provision is to ban private corporations created by special charters, which historically gave certain individuals, families or groups special privileges denied to other citizens.10
In short, Congress cannot enact a law creating a private corporation with a special charter. Such legislation would be unconstitutional. Private corporations may exist only under a general law. If the corporation is private, it must necessarily exist under a general law. Stated differently, only corporations created under a general law can qualify as private corporations. Under existing laws, that general law is the Corporation Code,11 except that the Cooperative Code governs the incorporation of cooperatives.12
The Constitution authorizes Congress to create government-owned or controlled corporations through special charters. Since private corporations cannot have special charters, it follows that Congress can create corporations with special charters only if such corporations are government-owned or controlled.
Obviously, LWDs are not private corporations because they are not created under the Corporation Code. LWDs are not registered with the Securities and Exchange Commission. Section 14 of the Corporation Code states that "[A]ll corporations organized under this code shall file with the Securities and Exchange Commission articles of incorporation x x x." LWDs have no articles of incorporation, no incorporators and no stockholders or members. There are no stockholders or members to elect the board directors of LWDs as in the case of all corporations registered with the Securities and Exchange Commission. The local mayor or the provincial governor appoints the directors of LWDs for a fixed term of office. This Court has ruled that LWDs are not created under the Corporation Code, thus:
From the foregoing pronouncement, it is clear that what has been excluded from the coverage of the CSC are those corporations created pursuant to the Corporation Code. Significantly, petitioners are not created under the said code, but on the contrary, they were created pursuant to a special law and are governed primarily by its provision.13 (Emphasis supplied)
LWDs exist by virtue of PD 198, which constitutes their special charter. Since under the Constitution only government-owned or controlled corporations may have special charters, LWDs can validly exist only if they are government-owned or controlled. To claim that LWDs are private corporations with a special charter is to admit that their existence is constitutionally infirm.
Unlike private corporations, which derive their legal existence and power from the Corporation Code, LWDs derive their legal existence and power from PD 198. Sections 6 and 25 of PD 19814 provide:
Section 6. Formation of District. — This Act is the source of authorization and power to form and maintain a district. For purposes of this Act, a district shall be considered as a quasi-public corporation performing public service and supplying public wants. As such, a district shall exercise the powers, rights and privileges given to private corporations under existing laws, in addition to the powers granted in, and subject to such restrictions imposed, under this Act.
(a) The name of the local water district, which shall include the name of the city, municipality, or province, or region thereof, served by said system, followed by the words "Water District".
(b) A description of the boundary of the district. In the case of a city or municipality, such boundary may include all lands within the city or municipality. A district may include one or more municipalities, cities or provinces, or portions thereof.
(c) A statement completely transferring any and all waterworks and/or sewerage facilities managed, operated by or under the control of such city, municipality or province to such district upon the filing of resolution forming the district.
(d) A statement identifying the purpose for which the district is formed, which shall include those purposes outlined in Section 5 above.
(e) The names of the initial directors of the district with the date of expiration of term of office for each.
(f) A statement that the district may only be dissolved on the grounds and under the conditions set forth in Section 44 of this Title.
(g) A statement acknowledging the powers, rights and obligations as set forth in Section 36 of this Title.
Nothing in the resolution of formation shall state or infer that the local legislative body has the power to dissolve, alter or affect the district beyond that specifically provided for in this Act.
If two or more cities, municipalities or provinces, or any combination thereof, desire to form a single district, a similar resolution shall be adopted in each city, municipality and province.
x x x
Sec. 25. Authorization. — The district may exercise all the powers which are expressly granted by this Title or which are necessarily implied from or incidental to the powers and purposes herein stated. For the purpose of carrying out the objectives of this Act, a district is hereby granted the power of eminent domain, the exercise thereof shall, however, be subject to review by the Administration. (Emphasis supplied)
Clearly, LWDs exist as corporations only by virtue of PD 198, which expressly confers on LWDs corporate powers. Section 6 of PD 198 provides that LWDs "shall exercise the powers, rights and privileges given to private corporations under existing laws." Without PD 198, LWDs would have no corporate powers. Thus, PD 198 constitutes the special enabling charter of LWDs. The ineluctable conclusion is that LWDs are government-owned and controlled corporations with a special charter.
The phrase "government-owned and controlled corporations with original charters" means GOCCs created under special laws and not under the general incorporation law. There is no difference between the term "original charters" and "special charters." The Court clarified this in National Service Corporation v. NLRC15 by citing the deliberations in the Constitutional Commission, as follows:
THE PRESIDING OFFICER (Mr. Trenas). The session is resumed.
Commissioner Romulo is recognized.
MR. ROMULO. Mr. Presiding Officer, I am amending my original proposed amendment to now read as follows: "including government-owned or controlled corporations WITH ORIGINAL CHARTERS." The purpose of this amendment is to indicate that government corporations such as the GSIS and SSS, which have original charters, fall within the ambit of the civil service. However, corporations which are subsidiaries of these chartered agencies such as the Philippine Airlines, Manila Hotel and Hyatt are excluded from the coverage of the civil service.
THE PRESIDING OFFICER (Mr. Trenas). What does the Committee say?
MR. FOZ. Just one question, Mr. Presiding Officer. By the term "original charters," what exactly do we mean?
MR. ROMULO. We mean that they were created by law, by an act of Congress, or by special law.
MR. FOZ. And not under the general corporation law.
MR. ROMULO. That is correct. Mr. Presiding Officer.
MR. FOZ. With that understanding and clarification, the Committee accepts the amendment.
MR. NATIVIDAD. Mr. Presiding Officer, so those created by the general corporation law are out.
MR. ROMULO. That is correct. (Emphasis supplied)
Again, in Davao City Water District v. Civil Service Commission,16 the Court reiterated the meaning of the phrase "government-owned and controlled corporations with original charters" in this wise:
By "government-owned or controlled corporation with original charter," We mean government owned or controlled corporation created by a special law and not under the Corporation Code of the Philippines. Thus, in the case of Lumanta v. NLRC (G.R. No. 82819, February 8, 1989, 170 SCRA 79, 82), We held:
"The Court, in National Service Corporation (NASECO) v. National Labor Relations Commission, G.R. No. 69870, promulgated on 29 November 1988, quoting extensively from the deliberations of the 1986 Constitutional Commission in respect of the intent and meaning of the new phrase ‘with original charter,’ in effect held that government-owned and controlled corporations with original charter refer to corporations chartered by special law as distinguished from corporations organized under our general incorporation statute — the Corporation Code. In NASECO, the company involved had been organized under the general incorporation statute and was a subsidiary of the National Investment Development Corporation (NIDC) which in turn was a subsidiary of the Philippine National Bank, a bank chartered by a special statute. Thus, government-owned or controlled corporations like NASECO are effectively, excluded from the scope of the Civil Service." (Emphasis supplied)
Petitioner’s contention that the Sangguniang Bayan resolution creates the LWDs assumes that the Sangguniang Bayan has the power to create corporations. This is a patently baseless assumption. The Local Government Code17does not vest in the Sangguniang Bayan the power to create corporations.18 What the Local Government Code empowers the Sangguniang Bayan to do is to provide for the establishment of a waterworks system "subject to existing laws." Thus, Section 447(5)(vii) of the Local Government Code provides:
SECTION 447. Powers, Duties, Functions and Compensation. — (a) The sangguniang bayan, as the legislative body of the municipality, shall enact ordinances, approve resolutions and appropriate funds for the general welfare of the municipality and its inhabitants pursuant to Section 16 of this Code and in the proper exercise of the corporate powers of the municipality as provided for under Section 22 of this Code, and shall:
x x x
(vii) Subject to existing laws, provide for the establishment, operation, maintenance, and repair of an efficient waterworks system to supply water for the inhabitants; regulate the construction, maintenance, repair and use of hydrants, pumps, cisterns and reservoirs; protect the purity and quantity of the water supply of the municipality and, for this purpose, extend the coverage of appropriate ordinances over all territory within the drainage area of said water supply and within one hundred (100) meters of the reservoir, conduit, canal, aqueduct, pumping station, or watershed used in connection with the water service; and regulate the consumption, use or wastage of water;
x x x. (Emphasis supplied)
The Sangguniang Bayan may establish a waterworks system only in accordance with the provisions of PD 198. The Sangguniang Bayan has no power to create a corporate entity that will operate its waterworks system. However, the Sangguniang Bayan may avail of existing enabling laws, like PD 198, to form and incorporate a water district. Besides, even assuming for the sake of argument that the Sangguniang Bayan has the power to create corporations, the LWDs would remain government-owned or controlled corporations subject to COA’s audit jurisdiction. The resolution of the Sangguniang Bayan would constitute an LWD’s special charter, making the LWD a government-owned and controlled corporation with an original charter. In any event, the Court has already ruled in Baguio Water District v. Trajano19 that the Sangguniang Bayan resolution is not the special charter of LWDs, thus:
While it is true that a resolution of a local sanggunian is still necessary for the final creation of a district, this Court is of the opinion that said resolution cannot be considered as its charter, the same being intended only to implement the provisions of said decree.
Petitioner further contends that a law must create directly and explicitly a GOCC in order that it may have an original charter. In short, petitioner argues that one special law cannot serve as enabling law for several GOCCs but only for one GOCC. Section 16, Article XII of the Constitution mandates that "Congress shall not, except by general law,"20provide for the creation of private corporations. Thus, the Constitution prohibits one special law to create one private corporation, requiring instead a "general law" to create private corporations. In contrast, the same Section 16 states that "Government-owned or controlled corporations may be created or established by special charters." Thus, the Constitution permits Congress to create a GOCC with a special charter. There is, however, no prohibition on Congress to create several GOCCs of the same class under one special enabling charter.
The rationale behind the prohibition on private corporations having special charters does not apply to GOCCs. There is no danger of creating special privileges to certain individuals, families or groups if there is one special law creating each GOCC. Certainly, such danger will not exist whether one special law creates one GOCC, or one special enabling law creates several GOCCs. Thus, Congress may create GOCCs either by special charters specific to each GOCC, or by one special enabling charter applicable to a class of GOCCs, like PD 198 which applies only to LWDs.
Petitioner also contends that LWDs are private corporations because Section 6 of PD 19821 declares that LWDs "shall be considered quasi-public" in nature. Petitioner’s rationale is that only private corporations may be deemed "quasi-public" and not public corporations. Put differently, petitioner rationalizes that a public corporation cannot be deemed "quasi-public" because such corporation is already public. Petitioner concludes that the term "quasi-public" can only apply to private corporations. Petitioner’s argument is inconsequential.
Petitioner forgets that the constitutional criterion on the exercise of COA’s audit jurisdiction depends on the government’s ownership or control of a corporation. The nature of the corporation, whether it is private, quasi-public, or public is immaterial.
The Constitution vests in the COA audit jurisdiction over "government-owned and controlled corporations with original charters," as well as "government-owned or controlled corporations" without original charters. GOCCs with original charters are subject to COA pre-audit, while GOCCs without original charters are subject to COA post-audit. GOCCs without original charters refer to corporations created under the Corporation Code but are owned or controlled by the government. The nature or purpose of the corporation is not material in determining COA’s audit jurisdiction. Neither is the manner of creation of a corporation, whether under a general or special law.
The determining factor of COA’s audit jurisdiction is government ownership or control of the corporation. In Philippine Veterans Bank Employees Union-NUBE v. Philippine Veterans Bank,22 the Court even ruled that the criterion of ownership and control is more important than the issue of original charter, thus:
This point is important because the Constitution provides in its Article IX-B, Section 2(1) that "the Civil Service embraces all branches, subdivisions, instrumentalities, and agencies of the Government, including government-owned or controlled corporations with original charters." As the Bank is not owned or controlled by the Government although it does have an original charter in the form of R.A. No. 3518,23it clearly does not fall under the Civil Service and should be regarded as an ordinary commercial corporation. Section 28 of the said law so provides. The consequence is that the relations of the Bank with its employees should be governed by the labor laws, under which in fact they have already been paid some of their claims. (Emphasis supplied)
Certainly, the government owns and controls LWDs. The government organizes LWDs in accordance with a specific law, PD 198. There is no private party involved as co-owner in the creation of an LWD. Just prior to the creation of LWDs, the national or local government owns and controls all their assets. The government controls LWDs because under PD 198 the municipal or city mayor, or the provincial governor, appoints all the board directors of an LWD for a fixed term of six years.24 The board directors of LWDs are not co-owners of the LWDs. LWDs have no private stockholders or members. The board directors and other personnel of LWDs are government employees subject to civil service laws25 and anti-graft laws.26
While Section 8 of PD 198 states that "[N]o public official shall serve as director" of an LWD, it only means that the appointees to the board of directors of LWDs shall come from the private sector. Once such private sector representatives assume office as directors, they become public officials governed by the civil service law and anti-graft laws. Otherwise, Section 8 of PD 198 would contravene Section 2(1), Article IX-B of the Constitution declaring that the civil service includes "government-owned or controlled corporations with original charters."
If LWDs are neither GOCCs with original charters nor GOCCs without original charters, then they would fall under the term "agencies or instrumentalities" of the government and thus still subject to COA’s audit jurisdiction. However, the stark and undeniable fact is that the government owns LWDs. Section 4527 of PD 198 recognizes government ownership of LWDs when Section 45 states that the board of directors may dissolve an LWD only on the condition that "another public entity has acquired the assets of the district and has assumed all obligations and liabilities attached thereto." The implication is clear that an LWD is a public and not a private entity.
Petitioner does not allege that some entity other than the government owns or controls LWDs. Instead, petitioner advances the theory that the "Water District’s owner is the District itself."28 Assuming for the sake of argument that an LWD is "self-owned,"29 as petitioner describes an LWD, the government in any event controls all LWDs. First, government officials appoint all LWD directors to a fixed term of office. Second, any per diem of LWD directors in excess of P50 is subject to the approval of the Local Water Utilities Administration, and directors can receive no other compensation for their services to the LWD.30 Third, the Local Water Utilities Administration can require LWDs to merge or consolidate their facilities or operations.31 This element of government control subjects LWDs to COA’s audit jurisdiction.
Petitioner argues that upon the enactment of PD 198, LWDs became private entities through the transfer of ownership of water facilities from local government units to their respective water districts as mandated by PD 198. Petitioner is grasping at straws. Privatization involves the transfer of government assets to a private entity. Petitioner concedes that the owner of the assets transferred under Section 6 (c) of PD 198 is no other than the LWD itself.32The transfer of assets mandated by PD 198 is a transfer of the water systems facilities "managed, operated by or under the control of such city, municipality or province to such (water) district."33 In short, the transfer is from one government entity to another government entity. PD 198 is bereft of any indication that the transfer is to privatize the operation and control of water systems.
Finally, petitioner claims that even on the assumption that the government owns and controls LWDs, Section 20 of PD 198 prevents COA from auditing LWDs. 34 Section 20 of PD 198 provides:
Sec. 20. System of Business Administration. — The Board shall, as soon as practicable, prescribe and define by resolution a system of business administration and accounting for the district, which shall be patterned upon and conform to the standards established by the Administration. Auditing shall be performed by a certified public accountant not in the government service. The Administration may, however, conduct annual audits of the fiscal operations of the district to be performed by an auditor retained by the Administration. Expenses incurred in connection therewith shall be borne equally by the water district concerned and the Administration.35 (Emphasis supplied)
Petitioner argues that PD 198 expressly prohibits COA auditors, or any government auditor for that matter, from auditing LWDs. Petitioner asserts that this is the import of the second sentence of Section 20 of PD 198 when it states that "[A]uditing shall be performed by a certified public accountant not in the government service."36
PD 198 cannot prevail over the Constitution. No amount of clever legislation can exclude GOCCs like LWDs from COA’s audit jurisdiction. Section 3, Article IX-C of the Constitution outlaws any scheme or devise to escape COA’s audit jurisdiction, thus:
Sec. 3. No law shall be passed exempting any entity of the Government or its subsidiary in any guise whatever, or any investment of public funds, from the jurisdiction of the Commission on Audit. (Emphasis supplied)
The framers of the Constitution added Section 3, Article IX-D of the Constitution precisely to annul provisions of Presidential Decrees, like that of Section 20 of PD 198, that exempt GOCCs from COA audit. The following exchange in the deliberations of the Constitutional Commission elucidates this intent of the framers:
MR. OPLE: I propose to add a new section on line 9, page 2 of the amended committee report which reads: NO LAW SHALL BE PASSED EXEMPTING ANY ENTITY OF THE GOVERNMENT OR ITS SUBSIDIARY IN ANY GUISE WHATEVER, OR ANY INVESTMENTS OF PUBLIC FUNDS, FROM THE JURISDICTION OF THE COMMISSION ON AUDIT.
May I explain my reasons on record.
We know that a number of entities of the government took advantage of the absence of a legislature in the past to obtain presidential decrees exempting themselves from the jurisdiction of the Commission on Audit, one notable example of which is the Philippine National Oil Company which is really an empty shell. It is a holding corporation by itself, and strictly on its own account. Its funds were not very impressive in quantity but underneath that shell there were billions of pesos in a multiplicity of companies. The PNOC — the empty shell — under a presidential decree was covered by the jurisdiction of the Commission on Audit, but the billions of pesos invested in different corporations underneath it were exempted from the coverage of the Commission on Audit.
Another example is the United Coconut Planters Bank. The Commission on Audit has determined that the coconut levy is a form of taxation; and that, therefore, these funds attributed to the shares of 1,400,000 coconut farmers are, in effect, public funds. And that was, I think, the basis of the PCGG in undertaking that last major sequestration of up to 94 percent of all the shares in the United Coconut Planters Bank. The charter of the UCPB, through a presidential decree, exempted it from the jurisdiction of the Commission on Audit, it being a private organization.
So these are the fetuses of future abuse that we are slaying right here with this additional section.
May I repeat the amendment, Madam President: NO LAW SHALL BE PASSED EXEMPTING ANY ENTITY OF THE GOVERNMENT OR ITS SUBSIDIARY IN ANY GUISE WHATEVER, OR ANY INVESTMENTS OF PUBLIC FUNDS, FROM THE JURISDICTION OF THE COMMISSION ON AUDIT.
THE PRESIDENT: May we know the position of the Committee on the proposed amendment of Commissioner Ople?
MR. JAMIR: If the honorable Commissioner will change the number of the section to 4, we will accept the amendment.
MR. OPLE: Gladly, Madam President. Thank you.
MR. DE CASTRO: Madam President, point of inquiry on the new amendment.
THE PRESIDENT: Commissioner de Castro is recognized.
MR. DE CASTRO: Thank you. May I just ask a few questions of Commissioner Ople.
Is that not included in Section 2 (1) where it states: "(c) government-owned or controlled corporations and their subsidiaries"? So that if these government-owned and controlled corporations and their subsidiaries are subjected to the audit of the COA, any law exempting certain government corporations or subsidiaries will be already unconstitutional.
So I believe, Madam President, that the proposed amendment is unnecessary.
MR. MONSOD: Madam President, since this has been accepted, we would like to reply to the point raised by Commissioner de Castro.
THE PRESIDENT: Commissioner Monsod will please proceed.
MR. MONSOD: I think the Commissioner is trying to avoid the situation that happened in the past, because the same provision was in the 1973 Constitution and yet somehow a law or a decree was passed where certain institutions were exempted from audit. We are just reaffirming, emphasizing, the role of the Commission on Audit so that this problem will never arise in the future.37
There is an irreconcilable conflict between the second sentence of Section 20 of PD 198 prohibiting COA auditors from auditing LWDs and Sections 2(1) and 3, Article IX-D of the Constitution vesting in COA the power to audit all GOCCs. We rule that the second sentence of Section 20 of PD 198 is unconstitutional since it violates Sections 2(1) and 3, Article IX-D of the Constitution.
On the Legality of COA’s
Practice of Charging Auditing Fees
Petitioner claims that the auditing fees COA charges LWDs for audit services violate the prohibition in Section 18 of RA 6758,38 which states:
Sec. 18. Additional Compensation of Commission on Audit Personnel and of other Agencies. – In order to preserve the independence and integrity of the Commission on Audit (COA), its officials and employees are prohibited from receiving salaries, honoraria, bonuses, allowances or other emoluments from any government entity, local government unit, government-owned or controlled corporations, and government financial institutions, except those compensation paid directly by COA out of its appropriations and contributions.
Government entities, including government-owned or controlled corporations including financial institutions and local government units are hereby prohibited from assessing or billing other government entities, including government-owned or controlled corporations including financial institutions or local government units for services rendered by its officials and employees as part of their regular functions for purposes of paying additional compensation to said officials and employees. (Emphasis supplied)
Claiming that Section 18 is "absolute and leaves no doubt,"39 petitioner asks COA to discontinue its practice of charging auditing fees to LWDs since such practice allegedly violates the law.
Petitioner’s claim has no basis.
Section 18 of RA 6758 prohibits COA personnel from receiving any kind of compensation from any government entity except "compensation paid directly by COA out of its appropriations and contributions." Thus, RA 6758 itself recognizes an exception to the statutory ban on COA personnel receiving compensation from GOCCs. In Tejada v. Domingo,40 the Court declared:
There can be no question that Section 18 of Republic Act No. 6758 is designed to strengthen further the policy x x x to preserve the independence and integrity of the COA, by explicitly PROHIBITING: (1) COA officials and employees from receiving salaries, honoraria, bonuses, allowances or other emoluments from any government entity, local government unit, GOCCs and government financial institutions, except such compensation paid directly by the COA out of its appropriations and contributions, and (2) government entities, including GOCCs, government financial institutions and local government units from assessing or billing other government entities, GOCCs, government financial institutions or local government units for services rendered by the latter’s officials and employees as part of their regular functions for purposes of paying additional compensation to said officials and employees.
x x x
The first aspect of the strategy is directed to the COA itself, while the second aspect is addressed directly against the GOCCs and government financial institutions. Under the first, COA personnel assigned to auditing units of GOCCs or government financial institutions can receive only such salaries, allowances or fringe benefits paid directly by the COA out of its appropriations and contributions. The contributions referred to are the cost of audit services earlier mentioned which cannot include the extra emoluments or benefits now claimed by petitioners. The COA is further barred from assessing or billing GOCCs and government financial institutions for services rendered by its personnel as part of their regular audit functions for purposes of paying additional compensation to such personnel. x x x. (Emphasis supplied)
In Tejada, the Court explained the meaning of the word "contributions" in Section 18 of RA 6758, which allows COA to charge GOCCs the cost of its audit services:
x x x the contributions from the GOCCs are limited to the cost of audit services which are based on the actual cost of the audit function in the corporation concerned plus a reasonable rate to cover overhead expenses. The actual audit cost shall include personnel services, maintenance and other operating expenses, depreciation on capital and equipment and out-of-pocket expenses. In respect to the allowances and fringe benefits granted by the GOCCs to the COA personnel assigned to the former’s auditing units, the same shall be directly defrayed by COA from its own appropriations x x x. 41
COA may charge GOCCs "actual audit cost" but GOCCs must pay the same directly to COA and not to COA auditors. Petitioner has not alleged that COA charges LWDs auditing fees in excess of COA’s "actual audit cost." Neither has petitioner alleged that the auditing fees are paid by LWDs directly to individual COA auditors. Thus, petitioner’s contention must fail.
WHEREFORE, the Resolution of the Commission on Audit dated 3 January 2000 and the Decision dated 30 January 2001 denying petitioner’s Motion for Reconsideration are AFFIRMED. The second sentence of Section 20 of Presidential Decree No. 198 is declared VOID for being inconsistent with Sections 2 (1) and 3, Article IX-D of the Constitution. No costs.
SO ORDERED.
Davide, Jr., C.J., Puno, Vitug, Panganiban, Quisumbing, Ynares-Santiago, Sandoval-Gutierrez, Austria-Martinez, Corona, Carpio-Morales, Callejo, Sr., and Azcuna, and Tinga, JJ., concur.

Footnotes
Under Rule 64 of the 1997 Revised Rules of Court.
As amended by Presidential Decrees Nos. 768 and 1479.
G.R. No. 95237-38, 13 September 1991, 201 SCRA 593.
Section 26, Government Auditing Code of the Philippines.
Supra note 3.
G.R. No. 149154, 10 June 2003.
Rollo, p. 7.
Ibid., p. 29.
See National Development Company v. Philippine Veterans Bank, G.R. Nos. 84132-33, 10 December 1990, 192 SCRA 257.
10 BERNAS, THE 1987 CONSTITUTION OF THE REPUBLIC OF THE PHILIPPINES: A COMMENTARY 1181 (2003).
11 Batas Pambansa Blg. 68.
12 Republic Act. No. 6938. See also Republic Act No. 6939 or the Cooperative Development Authority Law.
13 Supra note 3.
14 As amended by PD 1479.
15 G.R. No. L-69870, 29 November 1988, 168 SCRA 122.
16 Supra note 3.
17 Republic Act No. 7160.
18 See Section 447 of the Local Government Code on the powers of the Sangguniang Bayan.
19 212 Phil. 674 (1984).
20 Emphasis supplied.
21 As amended by PD 1479.
22 G.R. No. 67125, 24 August 1990, 189 SCRA 14.
23 Under Section 3 of Republic Act No. 7169 which took effect on 2 January 1992, the "operations and changes in the capital structure of the Veterans Bank, as well as other amendments to its articles of incorporation and by-laws as prescribed under Republic Act No. 3518, shall be in accordance with the Corporation Code, the General Banking Act, and other related laws."
24 Section 3 (b) of PD 198 provides:
"(b) Appointing Authority. – The person empowered to appoint the members of the Board of Directors of a local water district depending upon the geographic coverage and population make-up of the particular district. In the event that more than seventy-five percent of the total active water service connections of local water districts are within the boundary of any city or municipality, the appointing authority shall be the mayor of the city or municipality, as the case may be; otherwise, the appointing authority shall be the governor of the province within which the district is located: Provided, That if the existing waterworks system in the city or municipality established as a water district under this Decree is operated and managed by the province, initial appointment shall be extended by the governor of the province. Subsequent appointments shall be as specified as herein.
If portions of more than one province are included within the boundary of the district, and the appointing authority is to be the governor, then the power to appoint shall rotate between the governors involved with the initial appointments made by the governor in whose province the greatest number of service connections exists."
25 Baguio Water District v. Trajano, supra note 20; Davao City Water District v. Civil Service Commission, supra note 3.
26 Morales v. People, G.R. No. 144047, 26 July 2002, 385 SCRA 259.
27 As amended by PD 768.
28 Rollo, p. 16.
29 Ibid.
30 Section 13, PD 198.
31 Section 43, PD 198.
32 Rollo, p. 644.
33 Section 6(c) of PD 198, as amended by PD 768.
34 Supra note 2.
35 Section 20 of PD 198, as amended by PD 768.
36 Rollo, p. 9.
37 Record of the Constitutional Commission, Vol. I, pp. 606-607.
38 Compensation and Position Classification Act of 1989.
39 Rollo, p. 11.
40 G.R. No. 91860, 13 January 1992, 205 SCRA 138.
41 Ibid.

guide questions for the preliminary examination

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1.While it is true that the Supreme Court and the other courts created by law have that solemn duty to interpret the law, or the constitutionality of any law passed by Congress and approved by the President, it is however governed by principles in interpreting any question of constitutionality. State these rules/principles and explain each of them.

2.Facts:  at about 6:00 a.m. of November 25, 2005, Police Senior Inspector Sofronio Bayan (PSI Bayan) of the San Gabriel Police Station in San Gabriel,La Union, "received a text message from an unidentified civilian informer that one Marvin Buya (also known as Marvin Bugat) "[would]be transporting marijuana" from Barangay LunOy, San Gabriel, La Union to the Poblacion of San Gabriel, La Union
PSI Bayan organized checkpoints in order "to intercept the suspect."5 PSI Bayan ordered SPO1 Jaime Taracatac, Jr. (SPO1 Taracatac), a member of the San Gabriel Police, to set up a checkpoint in the waiting area of passengers from San Gabriel bound for San Fernando City.6 A passenger jeepney from Barangay Lun-Oy arrived at SPO1 Taracatac’s checkpoint.7 The jeepney driver disembarked and signalled to SPO1 Taracatac indicating the two male passengers who were carrying marijuana.8 SPO1 Taracatac approached the two male passengers who were later identified as Victor RomanaCogaed and Santiago Sacpa Dayao.9 Cogaed was carrying a blue bag and a sack while Dayao was holding a yellow bag.
SPO1 Taracatac asked Cogaed and Dayao about the contents of their bags.11 Cogaed and Dayao told SPO1 Taracatac that they did not know since they were transporting the bags as a favor for their barriomatenamed Marvin.12 After this exchange, Cogaed opened the blue bag, revealing three bricks of what looked like marijuana.13Cogaed then muttered, "nagloko daytoy nga Marvinen, kastoymet gayam ti nagyanna,"which translates to "Marvin is a fool, this is what [is] contained in the bag. "SPO1 Taracatac arrested [Cogaed] and . . . Dayao and brought them to the police station." Cogaed and Dayao "were still carrying their respective bags"16 inside the station.
While at the police station, the Chief of Police and Investigator PO3 Stanley Campit (PO3 Campit) requested Cogaed and Dayao to empty their bags. Inside Cogaed’s sack was "four (4) rolled pieces of suspected marijuana fruiting tops,"and inside Dayao’s yellow bag was a brick of suspected marijuana.
Question: On the basis of said facts, would you convict the accused? State your basis in law and in applying the principles under R.A. 9165

3.On 15 July 2011, at 6:30 in the evening, a confidential informant (CI) sent a text message to Police Inspector Dominador Orate, Jr. (P/Insp. Orate), then Deputy Station Commander of Police Station 6, Puerto, Cagayan de Oro City, that an alleged courier of marijuana together with a female companion, was sighted at Cabanglasan, Bukidnon. The alleged courier had in his possession a backpack containing marijuana and would be traveling from Bukidnon to Cagayan de Oro City. At 9:30 in the evening, the CI called P/Insp. Orate to inform him that the alleged drug courier had boarded a bus with body number .2646 and plate number KVP 988 bound for Cagayan de Oro City. The CI added that the man would be carrying a backpack in black and violet colors with the marking "Lowe Alpine." Thus, at about 9:45 in the evening, the police officers stationed at Police Station 6 put up a checkpoint in front of the station.

At 11:00 o'clock in the evening, the policemen stopped the bus bearing the said body and plate numbers. P/Insp. Orate, Police Officer 3 Teodoro de Oro (PO3 De Oro), Senior Police Officer 1 Benjamin Jay Reycitez (SPO1 Reycitez), and PO1 Rexie Tenio (PO1 Tenio) boarded the bus and saw a man matching the description given to them by the CI. The man was seated at the back of the bus with a backpack placed on his lap. After P/Insp. Orate asked the man to open the bag, the police officers saw a transparent cellophane containing dried marijuana leaves.
SPO1 Reycitez took photos of accused-appellant and the cellophane bag containing the dried marijuana leaves.PO3 De Oro, in the presence of accused-appellant, marked the bag "RCB-2" and the contents of the bag "RCB-1."Thereafter, PO1 Tenio and PO3 De Oro brought accused-appellant and the seized bag to the PNP Crime Laboratory for examination. On 16 July 2011, at around 1:40 in the morning, Police Senior Inspector Charity Caceres (PSI Caceres) of the PNP Crime Laboratory Office 10, Cagayan de Oro City, received the requests for examination and the specimen. PSI Caceres, after conducting qualitative examination of the specimen, issued Chemistry Report No. D-253-2011 stating that the dried leaves seized from accused-appellant were marijuana and which weighed 3,200 grams.
QUESTION: On the basis of said fact, how did the Supreme Court on the matter? Was the accused convicted or acquitted? State the reasons.

4. A verified impeachment complaint was filed by two hundred (200) Members of the House of Representatives against Madam Chief Justice Blue. The complaint was immediately transmitted to the Senate for trial.
a.       Madam Chief Justice Blue challenges such immediate transmittal to the Senate because the verified complaint 1) not included in the order of business of the House, 2) was not referred to the House Committee on Justice for hearing and consideration for sufficiency in form and substance, and 3) was not submitted to the House Plenary for consideration as enumerated in Paragraph (2), Section 3, Article XI of the 1987 Constitution. Decide with reasons.
b.      What is the purpose of Impeachment? Does conviction prevent further prosecution and punishment? Explain.
c.       Enumerate the grounds for impeachment. Is graft and corruption a ground for impeachment?

5. Mr. Brown, a cigarette vendor, was invited by PO1 White to a nearby police station. Upon arriving at the police station, Brown was asked to stand side-by-side with five (5) other cigarette vendors in a police line-up. PO1 White informed them that they were looking for a certain cigarette vendor who snatched the purse of a passer-by and the line-up was to allow the victim to point at the vendor who snatched her purse. No questions were to be asked from the vendors.
a.       Brown, afraid of a "set up" against him, demanded that he be allowed to secure his lawyer and for him to be present during the police line-up. Is Brown entitled to counsel? Explain (5%)
b.      Would the answer in (a.) be the same if Brown was specifically invited by White because an eyewitness to the crime identified him as the perpetrator? Explain.
c.       Briefly enumerate the so-called "Miranda Rights".
6.   The GSIS, pursuant to the privatization program of the Philippine Government, decided to sell through public bidding 30% to 51% of the outstanding shares. In a close bidding only two (2) bidder participated, the petitioner Manila Prince Hotel and RenongBerhad, a Malaysian firm. First the MPH has a lower bid compare to the Malaysian firm but later matched the bid of the Malaysian firm with all the compliance of the bidding rules imposed by the GSIS on the contracts.
Perhaps apprehensive the respondent GSIS has disregarded the matching bid and that the sale of 51% of the MHC may be hastened by respondent GSIS and consummated with RenongBerhad. The petitioner came to the court on prohibition and mandamus. The court issued a temporary restraining order enjoining respondents from perfecting and consummating the sale to the Malaysian firm.
The petitioner invoked Sec 10, second par. Article XII. The Filipino First Policy enshrined in the 1987 constitution. [In the grant of rights, privileges, and concessions covering national economy and patrimony, the state shall give preference to qualified Filipinos]. Respondent, opposing that the provision is not self-executing and requires implementing legislation, and Manila Hotel does not fall under the term national patrimony.
QUESTIONS:
1.       Whether Sec 10, second par. Article XII of the constitution is not self-executing?
2.       Whether the 51% share of Manila Hotel does not fall under the term national patrimony?

7.     Distinguish fully between the "free exercise of religion clause" and the "non-establishment of religion clause".

8.      When can evidence "in plain view" be seized without need of a search warrant? Explain.

9. What is a TERRY STOP? Is it the same as the TERRY SEARCH? Explain.

10. Explain the following principles: (a) doctrine of operative fact (b) Purposeful Hesitation (c) doctrine of condonation in administrative cases (d) meaning of taking in “eminent domain” (e) benevolent neutrality


PADILLA V. CONGRESS:The Congress is not constitutionally mandated to convene in joint session except to vote jointly to revoke the President's declaration or suspension.

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issues:
I. Whether or not the Court has jurisdiction over the subject matter of these consolidated petitions;
II. Whether or not the petitions satisfy the requisites for the Court's exercise of its power of judicial review;
III. Whether or not the Congress has the mandatory duty to convene jointly upon the President's proclamation of martial law or the suspension of the privilege of the writ of habeas corpus under Article VII, Section 18 of the 1987 Constitution; and
IV. Whether or not a writ of mandamus or certiorari may be issued in the present cases.

 The duty of the Congress to vote jointly
under Article VII, Section 18
We now come to the crux of the present petitions - the issue of whether or not under Article VII, Section 18 of the 1987 Constitution, it is mandatory for the Congress to automatically convene in joint session in the event that the President proclaims a state of martial law and/or suspends the privilege of the writ of habeas corpus in the Philippines or any part thereof.
The Court answers in the negative. The Congress is not constitutionally mandated to convene in joint session except to vote jointly to revoke the President's declaration or suspension.

X X X 

As earlier discussed, under the Court's expanded jurisdiction, a petition for certiorari is a proper remedy to question the act of any branch or instrumentality of the government on the ground of grave abuse of discretion amounting to lack or excess of jurisdiction by any branch or instrumentality of the government, even if the latter does not exercise judicial, quasi-judicial or ministerial functions.95 Grave abuse of discretion implies such capricious and whimsical exercise of judgment as to be equivalent to lack or excess of jurisdiction; in other words, power is exercised in an arbitrary or despotic manner by reason of passion, prejudice, or personal hostility; and such exercise is so patent or so gross as to amount to an evasion of a positive duty or to a virtual refusal either to perform the duty enjoined or to act at all in contemplation of law.96 It bears to mention that to pray in one petition for the issuance of both a writ of mandamus and a writ of certiorari for the very same act - which, in the Tañada Petition, the non-convening by the two Houses of the Congress in joint session - is contradictory, as the former involves a mandatory duty which the government branch or instrumentality must perform without discretion, while the latter recognizes discretion on the part of the government branch or instrumentality but which was exercised arbitrarily or despotically. Nevertheless, if the Court is to adjudge the petition for certiorari alone, it still finds the same to be without merit. To reiterate, the two Houses of the Congress decided to no longer hold a joint session only after deliberations among their Members and putting the same to vote, in accordance with their respective rules of procedure. Premises considered, the Congress did not gravely abuse its discretion when it did not jointly convene upon the President's issuance of Proclamation No. 216 prior to expressing its concurrence thereto.

EN BANC
July 25, 2017
G.R. No. 231671

ALEXANDER A. PADILLA, RENE A.V. SAGUISAG, CHRISTIAN S. MONSOD, LORETTA ANN P. ROSALES, RENE B. GOROSPE, and SENATOR LEILA M. DE LIMA, Petitioners
vs.
CONGRESS OF THE PHILIPPINES, consisting of the SENATE OF THE PHILIPPINES, as represented by Senate President Aquilino "Koko" Pimentel III, and the HOUSE OF REPRESENTATIVES, as represented by House Speaker Pantaleon D. Alvarez, Respondents

Velez v.Poe (2004): In what way did the Supreme Court declare Fernando Poe to be qualified to run as president of the Philippines?

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EN BANC
G.R. No. 161434             March 3, 2004
MARIA JEANETTE C. TECSON and FELIX B. DESIDERIO, JR., petitioners,
vs.
The COMMISSION ON ELECTIONS, RONALD ALLAN KELLY POE (a.k.a. FERNANDO POE, JR.) and VICTORINO X. FORNIER, respondents.
x-----------------------------x
G.R. No. 161634             March 3, 2004
ZOILO ANTONIO VELEZ, petitioner,
vs.
RONALD ALLAN KELLEY POE, a.k.a. FERNANDO POE, JR., respondent.
x-----------------------------x
G. R. No. 161824             March 3, 2004
VICTORINO X. FORNIER, petitioner,
vs.
HON. COMMISSION ON ELECTIONS and RONALD ALLAN KELLEY POE, ALSO KNOWN AS FERNANDO POE JR., respondents.
D E C I S I O N
VITUG, J.:
Citizenship is a treasured right conferred on those whom the state believes are deserving of the privilege. It is a "precious heritage, as well as an inestimable acquisition,"1 that cannot be taken lightly by anyone - either by those who enjoy it or by those who dispute it.
Before the Court are three consolidated cases, all of which raise a single question of profound importance to the nation. The issue of citizenship is brought up to challenge the qualifications of a presidential candidate to hold the highest office of the land. Our people are waiting for the judgment of the Court with bated breath. Is Fernando Poe, Jr., the hero of silver screen, and now one of the main contenders for the presidency, a natural-born Filipino or is he not?
The moment of introspection takes us face to face with Spanish and American colonial roots and reminds us of the rich heritage of civil law and common law traditions, the fusion resulting in a hybrid of laws and jurisprudence that could be no less than distinctly Filipino.
Antecedent Case Settings
On 31 December 2003, respondent Ronald Allan Kelly Poe, also known as Fernando Poe, Jr. (hereinafter "FPJ"), filed his certificate of candidacy for the position of President of the Republic of the Philippines under the Koalisyon ng Nagkakaisang Pilipino (KNP) Party, in the forthcoming national elections. In his certificate of candidacy, FPJ, representing himself to be a natural-born citizen of the Philippines, stated his name to be "Fernando Jr.," or "Ronald Allan" Poe, his date of birth to be 20 August 1939 and his place of birth to be Manila.
Victorino X. Fornier, petitioner in G.R. No. 161824, entitled "Victorino X. Fornier, Petitioner, versus Hon. Commission on Elections and Ronald Allan Kelley Poe, also known as Fernando Poe, Jr., Respondents," initiated, on 09 January 2004, a petition docketed SPA No. 04-003 before the Commission on Elections ("COMELEC") to disqualify FPJ and to deny due course or to cancel his certificate of candidacy upon the thesis that FPJ made a material misrepresentation in his certificate of candidacy by claiming to be a natural-born Filipino citizen when in truth, according to Fornier, his parents were foreigners; his mother, Bessie Kelley Poe, was an American, and his father, Allan Poe, was a Spanish national, being the son of Lorenzo Pou, a Spanish subject. Granting, petitioner asseverated, that Allan F. Poe was a Filipino citizen, he could not have transmitted his Filipino citizenship to FPJ, the latter being an illegitimate child of an alien mother. Petitioner based the allegation of the illegitimate birth of respondent on two assertions - first, Allan F. Poe contracted a prior marriage to a certain Paulita Gomez before his marriage to Bessie Kelley and, second, even if no such prior marriage had existed, Allan F. Poe, married Bessie Kelly only a year after the birth of respondent.
In the hearing before the Third Division of the COMELEC on 19 January 2004, petitioner, in support of his claim, presented several documentary exhibits - 1) a copy of the certificate of birth of FPJ, 2) a certified photocopy of an affidavit executed in Spanish by Paulita Poe y Gomez attesting to her having filed a case for bigamy and concubinage against the father of respondent, Allan F. Poe, after discovering his bigamous relationship with Bessie Kelley, 3) an English translation of the affidavit aforesaid, 4) a certified photocopy of the certificate of birth of Allan F. Poe, 5) a certification issued by the Director of the Records Management and Archives Office, attesting to the fact that there was no record in the National Archives that a Lorenzo Poe or Lorenzo Pou resided or entered the Philippines before 1907, and 6) a certification from the Officer-In-Charge of the Archives Division of the National Archives to the effect that no available information could be found in the files of the National Archives regarding the birth of Allan F. Poe.
On his part, respondent, presented twenty-two documentary pieces of evidence, the more significant ones being - a) a certification issued by Estrella M. Domingo of the Archives Division of the National Archives that there appeared to be no available information regarding the birth of Allan F. Poe in the registry of births for San Carlos, Pangasinan, b) a certification issued by the Officer-In-Charge of the Archives Division of the National Archives that no available information about the marriage of Allan F. Poe and Paulita Gomez could be found, c) a certificate of birth of Ronald Allan Poe, d) Original Certificate of Title No. P-2247 of the Registry of Deeds for the Province of Pangasinan, in the name of Lorenzo Pou, e) copies of Tax Declaration No. 20844, No. 20643, No. 23477 and No. 23478 in the name of Lorenzo Pou, f) a copy of the certificate of death of Lorenzo Pou, g) a copy of the purported marriage contract between Fernando Pou and Bessie Kelley, and h) a certification issued by the City Civil Registrar of San Carlos City, Pangasinan, stating that the records of birth in the said office during the period of from 1900 until May 1946 were totally destroyed during World War II.
On 23 January 2004, the COMELEC dismissed SPA No. 04-003 for lack of merit. Three days later, or on 26 January 2004, Fornier filed his motion for reconsideration. The motion was denied on 06 February 2004 by the COMELEC en banc. On 10 February 2004, petitioner assailed the decision of the COMELEC before this Court conformably with Rule 64, in relation to Rule 65, of the Revised Rules of Civil Procedure. The petition, docketed G. R. No. 161824, likewise prayed for a temporary restraining order, a writ of preliminary injunction or any other resolution that would stay the finality and/or execution of the COMELEC resolutions.
The other petitions, later consolidated with G. R. No. 161824, would include G. R. No. 161434, entitled "Maria Jeanette C. Tecson, and Felix B. Desiderio, Jr., vs. The Commission on Elections, Ronald Allan Kelley Poe (a.k.a. ‘Fernando Poe, Jr.’), and Victorino X. Fornier," and the other, docketed G. R. No. 161634, entitled "Zoilo Antonio G. Velez, vs. Ronald Allan Kelley Poe, a.k.a. Fernando Poe, Jr.," both challenging the jurisdiction of the COMELEC and asserting that, under Article VII, Section 4, paragraph 7, of the 1987 Constitution, only the Supreme Court had original and exclusive jurisdiction to resolve the basic issue on the case.
Jurisdiction of the Court
In G. R. No. 161824
In seeking the disqualification of the candidacy of FPJ and to have the COMELEC deny due course to or cancel FPJ’s certificate of candidacy for alleged misrepresentation of a material fact (i.e., that FPJ was a natural-born citizen) before the COMELEC, petitioner Fornier invoked Section 78 of the Omnibus Election Code –
"Section 78. Petition to deny due course to or cancel a certificate of candidacy. --- A verified petition seeking to deny due course or to cancel a certificate of candidacy may be filed by any person exclusively on the ground that any material representation contained therein as required under Section 74 hereof is false"–
in consonance with the general powers of COMELEC expressed in Section 52 of the Omnibus Election Code -
"Section 52. Powers and functions of the Commission on Elections. In addition to the powers and functions conferred upon it by the Constitution, the Commission shall have exclusive charge of the enforcement and administration of all laws relative to the conduct of elections for the purpose of ensuring free, orderly and honest elections" -
and in relation to Article 69 of the Omnibus Election Code which would authorize "any interested party" to file a verified petition to deny or cancel the certificate of candidacy of any nuisance candidate.
Decisions of the COMELEC on disqualification cases may be reviewed by the Supreme Court per Rule 642 in an action for certiorari under Rule 653 of the Revised Rules of Civil Procedure. Section 7, Article IX, of the 1987 Constitution also reads –
"Each Commission shall decide by a majority vote of all its Members any case or matter brought before it within sixty days from the date of its submission for decision or resolution. A case or matter is deemed submitted for decision or resolution upon the filing of the last pleading, brief, or memorandum, required by the rules of the Commission or by the Commission itself. Unless otherwise provided by this Constitution or by law, any decision, order, or ruling of each Commission may be brought to the Supreme Court on certiorari by the aggrieved party within thirty days from receipt of a copy thereof."
Additionally, Section 1, Article VIII, of the same Constitution provides that judicial power is vested in one Supreme Court and in such lower courts as may be established by law which power "includes the duty of the courts of justice to settle actual controversies involving rights which are legally demandable and enforceable, and to determine whether or not there has been a grave abuse of discretion amounting to lack or excess of jurisdiction on the part of any branch or instrumentality of the Government."
It is sufficiently clear that the petition brought up in G. R. No. 161824 was aptly elevated to, and could well be taken cognizance of by, this Court. A contrary view could be a gross denial to our people of their fundamental right to be fully informed, and to make a proper choice, on who could or should be elected to occupy the highest government post in the land.
In G. R. No. 161434 and G. R. No. 161634
Petitioners Tecson, et al., in G. R. No. 161434, and Velez, in G. R. No. 161634, invoke the provisions of Article VII, Section 4, paragraph 7, of the 1987 Constitution in assailing the jurisdiction of the COMELEC when it took cognizance of SPA No. 04-003 and in urging the Supreme Court to instead take on the petitions they directly instituted before it. The Constitutional provision cited reads:
"The Supreme Court, sitting en banc, shall be the sole judge of all contests relating to the election, returns, and qualifications of the President or Vice-President, and may promulgate its rules for the purpose."
The provision is an innovation of the 1987 Constitution. The omission in the 1935 and the 1973 Constitution to designate any tribunal to be the sole judge of presidential and vice-presidential contests, has constrained this Court to declare, in Lopez vs. Roxas,4 as "not (being) justiciable" controversies or disputes involving contests on the elections, returns and qualifications of the President or Vice-President. The constitutional lapse prompted Congress, on 21 June 1957, to enact Republic Act No. 1793, "An Act Constituting an Independent Presidential Electoral Tribunal to Try, Hear and Decide Protests Contesting the Election of the President-Elect and the Vice-President-Elect of the Philippines and Providing for the Manner of Hearing the Same." Republic Act 1793 designated the Chief Justice and the Associate Justices of the Supreme Court to be the members of the tribunal. Although the subsequent adoption of the parliamentary form of government under the 1973 Constitution might have implicitly affected Republic Act No. 1793, the statutory set-up, nonetheless, would now be deemed revived under the present Section 4, paragraph 7, of the 1987 Constitution.
Ordinary usage would characterize a "contest" in reference to a post-election scenario. Election contests consist of either an election protest or a quo warranto which, although two distinct remedies, would have one objective in view, i.e., to dislodge the winning candidate from office. A perusal of the phraseology in Rule 12, Rule 13, and Rule 14 of the "Rules of the Presidential Electoral Tribunal," promulgated by the Supreme Court en banc on 18 April 1992, would support this premise -
"Rule 12. Jurisdiction. - The Tribunal shall be the sole judge of all contests relating to the election, returns, and qualifications of the President or Vice-President of the Philippines.
"Rule 13. How Initiated. - An election contest is initiated by the filing of an election protest or a petition for quo warranto against the President or Vice-President. An election protest shall not include a petition for quo warranto. A petition for quo warranto shall not include an election protest.
"Rule 14. Election Protest. - Only the registered candidate for President or for Vice-President of the Philippines who received the second or third highest number of votes may contest the election of the President or the Vice-President, as the case may be, by filing a verified petition with the Clerk of the Presidential Electoral Tribunal within thirty (30) days after the proclamation of the winner."
The rules categorically speak of the jurisdiction of the tribunal over contests relating to the election, returns and qualifications of the "President" or "Vice-President", of the Philippines, and not of "candidates" for President or Vice-President. A quo warranto proceeding is generally defined as being an action against a person who usurps, intrudes into, or unlawfully holds or exercises a public office.5 In such context, the election contest can only contemplate a post-election scenario. In Rule 14, only a registered candidate who would have received either the second or third highest number of votes could file an election protest. This rule again presupposes a post-election scenario.
It is fair to conclude that the jurisdiction of the Supreme Court, defined by Section 4, paragraph 7, of the 1987 Constitution, would not include cases directly brought before it, questioning the qualifications of a candidate for the presidency or vice-presidency before the elections are held.
Accordingly, G. R. No. 161434, entitled "Maria Jeanette C. Tecson, et al., vs. Commission on Elections et al.," and G. R. No. 161634, entitled "Zoilo Antonio Velez vs. Ronald Allan Kelley Poe a.k.a. Fernando Poe, Jr." would have to be dismissed for want of jurisdiction.
The Citizenship Issue
Now, to the basic issue; it should be helpful to first give a brief historical background on the concept of citizenship.
Perhaps, the earliest understanding of citizenship was that given by Aristotle, who, sometime in 384 to 322 B.C., described the "citizen" to refer to a man who shared in the administration of justice and in the holding of an office.6Aristotle saw its significance if only to determine the constituency of the "State," which he described as being composed of such persons who would be adequate in number to achieve a self-sufficient existence.7 The concept grew to include one who would both govern and be governed, for which qualifications like autonomy, judgment and loyalty could be expected. Citizenship was seen to deal with rights and entitlements, on the one hand, and with concomitant obligations, on the other.8 In its ideal setting, a citizen was active in public life and fundamentally willing to submit his private interests to the general interest of society.
The concept of citizenship had undergone changes over the centuries. In the 18th century, the concept was limited, by and large, to civil citizenship, which established the rights necessary for individual freedom, such as rights to property, personal liberty and justice.9 Its meaning expanded during the 19th century to include political citizenship, which encompassed the right to participate in the exercise of political power.10 The 20th century saw the next stage of the development of social citizenship, which laid emphasis on the right of the citizen to economic well-being and social security.11 The idea of citizenship has gained expression in the modern welfare state as it so developed in Western Europe. An ongoing and final stage of development, in keeping with the rapidly shrinking global village, might well be the internationalization of citizenship.12
The Local Setting - from Spanish Times to the Present
There was no such term as "Philippine citizens" during the Spanish regime but "subjects of Spain" or "Spanish subjects."13 In church records, the natives were called 'indios', denoting a low regard for the inhabitants of the archipelago. Spanish laws on citizenship became highly codified during the 19th century but their sheer number made it difficult to point to one comprehensive law. Not all of these citizenship laws of Spain however, were made to apply to the Philippine Islands except for those explicitly extended by Royal Decrees.14
Spanish laws on citizenship were traced back to the Novisima Recopilacion, promulgated in Spain on 16 July 1805 but as to whether the law was extended to the Philippines remained to be the subject of differing views among experts;15 however, three royal decrees were undisputably made applicable to Spaniards in the Philippines - the Order de la Regencia of 14 August 1841,16 the Royal Decree of 23 August 1868 specifically defining the political status of children born in the Philippine Islands,17 and finally, the Ley Extranjera de Ultramar of 04 July 1870, which was expressly made applicable to the Philippines by the Royal Decree of 13 July 1870.18
The Spanish Constitution of 1876 was never extended to the Philippine Islands because of the express mandate of its Article 89, according to which the provisions of the Ultramar among which this country was included, would be governed by special laws.19
It was only the Civil Code of Spain, made effective in this jurisdiction on 18 December 1889, which came out with the first categorical enumeration of who were Spanish citizens. -
"(a) Persons born in Spanish territory,
"(b) Children of a Spanish father or mother, even if they were born outside of Spain,
"(c) Foreigners who have obtained naturalization papers,
"(d) Those who, without such papers, may have become domiciled inhabitants of any town of the Monarchy."20
The year 1898 was another turning point in Philippine history. Already in the state of decline as a superpower, Spain was forced to so cede her sole colony in the East to an upcoming world power, the United States. An accepted principle of international law dictated that a change in sovereignty, while resulting in an abrogation of all political laws then in force, would have no effect on civil laws, which would remain virtually intact.
The Treaty of Paris was entered into on 10 December 1898 between Spain and the United States.21 Under Article IX of the treaty, the civil rights and political status of the native inhabitants of the territories ceded to the United States would be determined by its Congress -
"Spanish subjects, natives of the Peninsula, residing in the territory over which Spain by the present treaty relinquishes or cedes her sovereignty may remain in such territory or may remove therefrom, retaining in either event all their rights of property, including the right to sell or dispose of such property or of its proceeds; and they shall also have the right to carry on their industry, commerce, and professions, being subject in respect thereof to such laws as are applicable to foreigners. In case they remain in the territory they may preserve their allegiance to the Crown of Spain by making, before a court of record, within a year from the date of the exchange of ratifications of this treaty, a declaration of their decision to preserve such allegiance; in default of which declaration they shall be held to have renounced it and to have adopted the nationality of the territory in which they reside.
Thus –
"The civil rights and political status of the native inhabitants of the territories hereby ceded to the United States shall be determined by the Congress."22
Upon the ratification of the treaty, and pending legislation by the United States Congress on the subject, the native inhabitants of the Philippines ceased to be Spanish subjects. Although they did not become American citizens, they, however, also ceased to be "aliens" under American laws and were thus issued passports describing them to be citizens of the Philippines entitled to the protection of the United States.
The term "citizens of the Philippine Islands" appeared for the first time in the Philippine Bill of 1902, also commonly referred to as the Philippine Organic Act of 1902, the first comprehensive legislation of the Congress of the United States on the Philippines -
".... that all inhabitants of the Philippine Islands continuing to reside therein, who were Spanish subjects on the 11th day of April, 1891, and then resided in said Islands, and their children born subsequent thereto, shall be deemed and held to be citizens of the Philippine Islands and as such entitled to the protection of the United States, except such as shall have elected to preserve their allegiance to the Crown of Spain in accordance with the provisions of the treaty of peace between the United States and Spain, signed at Paris, December tenth eighteen hundred and ninety eight."23
Under the organic act, a "citizen of the Philippines" was one who was an inhabitant of the Philippines, and a Spanish subject on the 11th day of April 1899. The term "inhabitant" was taken to include 1) a native-born inhabitant, 2) an inhabitant who was a native of Peninsular Spain, and 3) an inhabitant who obtained Spanish papers on or before 11 April 1899.24
Controversy arose on to the status of children born in the Philippines from 11 April 1899 to 01 July 1902, during which period no citizenship law was extant in the Philippines. Weight was given to the view, articulated in jurisprudential writing at the time, that the common law principle of jus soli, otherwise also known as the principle of territoriality, operative in the United States and England, governed those born in the Philippine Archipelago within that period.25 More about this later.
In 23 March 1912, the Congress of the United States made the following amendment to the Philippine Bill of 1902 -
"Provided, That the Philippine Legislature is hereby authorized to provide by law for the acquisition of Philippine citizenship by those natives of the Philippine Islands who do not come within the foregoing provisions, the natives of other insular possession of the United States, and such other persons residing in the Philippine Islands who would become citizens of the United States, under the laws of the United States, if residing therein."26
With the adoption of the Philippine Bill of 1902, the concept of "Philippine citizens" had for the first time crystallized. The word "Filipino" was used by William H. Taft, the first Civil Governor General in the Philippines when he initially made mention of it in his slogan, "The Philippines for the Filipinos." In 1916, the Philippine Autonomy Act, also known as the Jones Law restated virtually the provisions of the Philippine Bill of 1902, as so amended by the Act of Congress in 1912 -
"That all inhabitants of the Philippine Islands who were Spanish subjects on the eleventh day of April, eighteen hundred and ninety-nine, and then resided in said Islands, and their children born subsequently thereto, shall be deemed and held to be citizens of the Philippine Islands, except such as shall have elected to preserve their allegiance to the Crown of Spain in accordance with the provisions of the treaty of peace between the United States and Spain, signed at Paris December tenth, eighteen hundred and ninety-eight and except such others as have since become citizens of some other country; Provided, That the Philippine Legislature, herein provided for, is hereby authorized to provide for the acquisition of Philippine citizenship by those natives of the Philippine Islands who do not come within the foregoing provisions, the natives of the insular possessions of the United States, and such other persons residing in the Philippine Islands who are citizens of the United States, or who could become citizens of the United States under the laws of the United States, if residing therein."
Under the Jones Law, a native-born inhabitant of the Philippines was deemed to be a citizen of the Philippines as of 11 April 1899 if he was 1) a subject of Spain on 11 April 1899, 2) residing in the Philippines on said date, and, 3) since that date, not a citizen of some other country.
While there was, at one brief time, divergent views on whether or not jus soli was a mode of acquiring citizenship, the 1935 Constitution brought to an end to any such link with common law, by adopting, once and for all, jus sanguinis or blood relationship as being the basis of Filipino citizenship -
"Section 1, Article III, 1935 Constitution. The following are citizens of the Philippines -
"(1) Those who are citizens of the Philippine Islands at the time of the adoption of this Constitution
"(2) Those born in the Philippines Islands of foreign parents who, before the adoption of this Constitution, had been elected to public office in the Philippine Islands.
"(3) Those whose fathers are citizens of the Philippines.
"(4) Those whose mothers are citizens of the Philippines and upon reaching the age of majority, elect Philippine citizenship.
"(5) Those who are naturalized in accordance with law."
Subsection (4), Article III, of the 1935 Constitution, taken together with existing civil law provisions at the time, which provided that women would automatically lose their Filipino citizenship and acquire that of their foreign husbands, resulted in discriminatory situations that effectively incapacitated the women from transmitting their Filipino citizenship to their legitimate children and required illegitimate children of Filipino mothers to still elect Filipino citizenship upon reaching the age of majority. Seeking to correct this anomaly, as well as fully cognizant of the newly found status of Filipino women as equals to men, the framers of the 1973 Constitution crafted the provisions of the new Constitution on citizenship to reflect such concerns -
"Section 1, Article III, 1973 Constitution - The following are citizens of the Philippines:
"(1) Those who are citizens of the Philippines at the time of the adoption of this Constitution.
"(2) Those whose fathers or mothers are citizens of the Philippines.
"(3) Those who elect Philippine citizenship pursuant to the provisions of the Constitution of nineteen hundred and thirty-five.
"(4) Those who are naturalized in accordance with law."
For good measure, Section 2 of the same article also further provided that –
"A female citizen of the Philippines who marries an alien retains her Philippine citizenship, unless by her act or omission she is deemed, under the law to have renounced her citizenship."
The 1987 Constitution generally adopted the provisions of the 1973 Constitution, except for subsection (3) thereof that aimed to correct the irregular situation generated by the questionable proviso in the 1935 Constitution.
Section I, Article IV, 1987 Constitution now provides:
"The following are citizens of the Philippines:
"(1) Those who are citizens of the Philippines at the time of the adoption of this Constitution.
"(2) Those whose fathers or mothers are citizens of the Philippines.
"(3) Those born before January 17, 1973 of Filipino mothers, who elect Philippine citizenship upon reaching the age of majority; and
"(4) Those who are naturalized in accordance with law."
The Case Of FPJ
Section 2, Article VII, of the 1987 Constitution expresses:
"No person may be elected President unless he is a natural-born citizen of the Philippines, a registered voter, able to read and write, at least forty years of age on the day of the election, and a resident of the Philippines for at least ten years immediately preceding such election."
The term "natural-born citizens," is defined to include "those who are citizens of the Philippines from birth without having to perform any act to acquire or perfect their Philippine citizenship."27
The date, month and year of birth of FPJ appeared to be 20 August 1939 during the regime of the 1935 Constitution. Through its history, four modes of acquiring citizenship - naturalization, jus soli, res judicata and jus sanguinis28 – had been in vogue. Only two, i.e., jus soli and jus sanguinis, could qualify a person to being a "natural-born" citizen of the Philippines. Jus soli, per Roa vs. Collector of Customs29 (1912), did not last long. With the adoption of the 1935 Constitution and the reversal of Roa in Tan Chong vs. Secretary of Labor30 (1947), jus sanguinis or blood relationship would now become the primary basis of citizenship by birth.
Documentary evidence adduced by petitioner would tend to indicate that the earliest established direct ascendant of FPJ was his paternal grandfather Lorenzo Pou, married to Marta Reyes, the father of Allan F. Poe. While the record of birth of Lorenzo Pou had not been presented in evidence, his death certificate, however, identified him to be a Filipino, a resident of San Carlos, Pangasinan, and 84 years old at the time of his death on 11 September 1954. The certificate of birth of the father of FPJ, Allan F. Poe, showed that he was born on 17 May 1915 to an Español father, Lorenzo Pou, and a mestiza Español mother, Marta Reyes. Introduced by petitioner was an "uncertified" copy of a supposed certificate of the alleged marriage of Allan F. Poe and Paulita Gomez on 05 July 1936. The marriage certificate of Allan F. Poe and Bessie Kelley reflected the date of their marriage to be on 16 September 1940. In the same certificate, Allan F. Poe was stated to be twenty-five years old, unmarried, and a Filipino citizen, and Bessie Kelley to be twenty-two years old, unmarried, and an American citizen. The birth certificate of FPJ, would disclose that he was born on 20 August 1939 to Allan F. Poe, a Filipino, twenty-four years old, married to Bessie Kelly, an American citizen, twenty-one years old and married.
Considering the reservations made by the parties on the veracity of some of the entries on the birth certificate of respondent and the marriage certificate of his parents, the only conclusions that could be drawn with some degree of certainty from the documents would be that -
1. The parents of FPJ were Allan F. Poe and Bessie Kelley;
2. FPJ was born to them on 20 August 1939;
3. Allan F. Poe and Bessie Kelley were married to each other on 16 September, 1940;
4. The father of Allan F. Poe was Lorenzo Poe; and
5. At the time of his death on 11 September 1954, Lorenzo Poe was 84 years old.
Would the above facts be sufficient or insufficient to establish the fact that FPJ is a natural-born Filipino citizen? The marriage certificate of Allan F. Poe and Bessie Kelley, the birth certificate of FPJ, and the death certificate of Lorenzo Pou are documents of public record in the custody of a public officer. The documents have been submitted in evidence by both contending parties during the proceedings before the COMELEC.
The birth certificate of FPJ was marked Exhibit "A" for petitioner and Exhibit "3" for respondent. The marriage certificate of Allan F. Poe to Bessie Kelley was submitted as Exhibit "21" for respondent. The death certificate of Lorenzo Pou was submitted by respondent as his Exhibit "5." While the last two documents were submitted in evidence for respondent, the admissibility thereof, particularly in reference to the facts which they purported to show, i.e., the marriage certificate in relation to the date of marriage of Allan F. Poe to Bessie Kelley and the death certificate relative to the death of Lorenzo Pou on 11 September 1954 in San Carlos, Pangasinan, were all admitted by petitioner, who had utilized those material statements in his argument. All three documents were certified true copies of the originals.
Section 3, Rule 130, Rules of Court states that -
"Original document must be produced; exceptions. - When the subject of inquiry is the contents of a document, no evidence shall be admissible other than the original document itself, except in the following cases:
"x x x           x x x           x x x
"(d) When the original is a public record in the custody of a public office or is recorded in a public office."
Being public documents, the death certificate of Lorenzo Pou, the marriage certificate of Allan F. Poe and Bessie Kelly, and the birth certificate of FPJ, constitute prima facie proof of their contents. Section 44, Rule 130, of the Rules of Court provides:
"Entries in official records. Entries in official records made in the performance of his duty by a public officer of the Philippines, or by a person in the performance of a duty specially enjoined by law, are prima facie evidence of the facts therein stated."
The trustworthiness of public documents and the value given to the entries made therein could be grounded on 1) the sense of official duty in the preparation of the statement made, 2) the penalty which is usually affixed to a breach of that duty, 3) the routine and disinterested origin of most such statements, and 4) the publicity of record which makes more likely the prior exposure of such errors as might have occurred.31
The death certificate of Lorenzo Pou would indicate that he died on 11 September 1954, at the age of 84 years, in San Carlos, Pangasinan. It could thus be assumed that Lorenzo Pou was born sometime in the year 1870 when the Philippines was still a colony of Spain. Petitioner would argue that Lorenzo Pou was not in the Philippines during the crucial period of from 1898 to 1902 considering that there was no existing record about such fact in the Records Management and Archives Office. Petitioner, however, likewise failed to show that Lorenzo Pou was at any other place during the same period. In his death certificate, the residence of Lorenzo Pou was stated to be San Carlos, Pangasinan. In the absence of any evidence to the contrary, it should be sound to conclude, or at least to presume, that the place of residence of a person at the time of his death was also his residence before death. It would be extremely doubtful if the Records Management and Archives Office would have had complete records of all residents of the Philippines from 1898 to 1902.
Proof of Paternity and Filiation
Under Civil Law.
Petitioner submits, in any case, that in establishing filiation (relationship or civil status of the child to the father [or mother]) or paternity (relationship or civil status of the father to the child) of an illegitimate child, FPJ evidently being an illegitimate son according to petitioner, the mandatory rules under civil law must be used.
Under the Civil Code of Spain, which was in force in the Philippines from 08 December 1889 up until the day prior to 30 August 1950 when the Civil Code of the Philippines took effect, acknowledgment was required to establish filiation or paternity. Acknowledgment was either judicial (compulsory) or voluntary. Judicial or compulsory acknowledgment was possible only if done during the lifetime of the putative parent; voluntary acknowledgment could only be had in a record of birth, a will, or a public document.32 Complementary to the new code was Act No. 3753 or the Civil Registry Law expressing in Section 5 thereof, that -
"In case of an illegitimate child, the birth certificate shall be signed and sworn to jointly by the parents of the infant or only by the mother if the father refuses. In the latter case, it shall not be permissible to state or reveal in the document the name of the father who refuses to acknowledge the child, or to give therein any information by which such father could be identified."
In order that the birth certificate could then be utilized to prove voluntary acknowledgment of filiation or paternity, the certificate was required to be signed or sworn to by the father. The failure of such requirement rendered the same useless as being an authoritative document of recognition.33 In Mendoza vs. Mella,34 the Court ruled -
"Since Rodolfo was born in 1935, after the registry law was enacted, the question here really is whether or not his birth certificate (Exhibit 1), which is merely a certified copy of the registry record, may be relied upon as sufficient proof of his having been voluntarily recognized. No such reliance, in our judgment, may be placed upon it. While it contains the names of both parents, there is no showing that they signed the original, let alone swore to its contents as required in Section 5 of Act No. 3753. For all that might have happened, it was not even they or either of them who furnished the data to be entered in the civil register. Petitioners say that in any event the birth certificate is in the nature of a public document wherein voluntary recognition of a natural child may also be made, according to the same Article 131. True enough, but in such a case, there must be a clear statement in the document that the parent recognizes the child as his or her own."
In the birth certificate of respondent FPJ, presented by both parties, nowhere in the document was the signature of Allan F. Poe found. There being no will apparently executed, or at least shown to have been executed, by decedent Allan F. Poe, the only other proof of voluntary recognition remained to be "some other public document." In Pareja vs. Pareja,35 this Court defined what could constitute such a document as proof of voluntary acknowledgment:
"Under the Spanish Civil Code there are two classes of public documents, those executed by private individuals which must be authenticated by notaries, and those issued by competent public officials by reason of their office. The public document pointed out in Article 131 as one of the means by which recognition may be made belongs to the first class."
Let us leave it at that for the moment.
The 1950 Civil Code categorized the acknowledgment or recognition of illegitimate children into voluntary, legal or compulsory. Voluntary recognition was required to be expressedly made in a record of birth, a will, a statement before a court of record or in any authentic writing. Legal acknowledgment took place in favor of full blood brothers and sisters of an illegitimate child who was recognized or judicially declared as natural. Compulsory acknowledgment could be demanded generally in cases when the child had in his favor any evidence to prove filiation. Unlike an action to claim legitimacy which would last during the lifetime of the child, and might pass exceptionally to the heirs of the child, an action to claim acknowledgment, however, could only be brought during the lifetime of the presumed parent.
Amicus Curiae Ruben F. Balane defined, during the oral argument, "authentic writing," so as to be an authentic writing for purposes of voluntary recognition, simply as being a genuine or indubitable writing of the father. The term would include a public instrument (one duly acknowledged before a notary public or other competent official) or a private writing admitted by the father to be his.
The Family Code has further liberalized the rules; Article 172, Article 173, and Article 175 provide:
"Art. 172. The filiation of legitimate children is established by any of the following:
"(1) The record of birth appearing in the civil register or a final judgment; or
"(2) An admission of legitimate filiation in a public document or a private handwritten instrument and signed by the parent concerned.
"In the absence of the foregoing evidence, the legitimate filiation shall be proved by:
"(1) The open and continuous possession of the status of a legitimate child; or
"(2) Any other means allowed by the Rules of Court and special laws.
"Art. 173. The action to claim legitimacy may be brought by the child during his or her lifetime and shall be transmitted to the heirs should the child die during minority or in a state of insanity. In these cases, the heirs shall have a period of five years within which to institute the action.
"The action already commenced by the child shall survive notwithstanding the death of either or both of the parties.
"x x x           x x x           x x x.
"Art. 175. Illegitimate children may establish their illegitimate filiation in the same way and on the same, evidence as legitimate children.
"The action must be brought within the same period specified in Article 173, except when the action is based on the second paragraph of Article 172, in which case the action may be brought during the lifetime of the alleged parent."
The provisions of the Family Code are retroactively applied; Article 256 of the code reads:
"Art. 256. This Code shall have retroactive effect insofar as it does not prejudice or impair vested or acquired rights in accordance with the Civil Code or other laws."
Thus, in Vda. de Sy-Quia vs. Court of Appeals,36 the Court has ruled:
"We hold that whether Jose was a voluntarily recognized natural child should be decided under Article 278 of the Civil Code of the Philippines. Article 2260 of that Code provides that 'the voluntary recognition of a natural child shall take place according to this Code, even if the child was born before the effectivity of this body of laws' or before August 30, 1950. Hence, Article 278 may be given retroactive effect."
It should be apparent that the growing trend to liberalize the acknowledgment or recognition of illegitimate children is an attempt to break away from the traditional idea of keeping well apart legitimate and non-legitimate relationships within the family in favor of the greater interest and welfare of the child. The provisions are intended to merely govern the private and personal affairs of the family. There is little, if any, to indicate that the legitimate or illegitimate civil status of the individual would also affect his political rights or, in general, his relationship to the State. While, indeed, provisions on "citizenship" could be found in the Civil Code, such provisions must be taken in the context of private relations, the domain of civil law; particularly -
"Civil Law is that branch of law which has for its double purpose the organization of the family and the regulation of property. It has thus [been] defined as the mass of precepts which determine and regulate the relations of assistance, authority and obedience among members of a family, and those which exist among members of a society for the protection of private interests."37
In Yañez de Barnuevo vs. Fuster,38 the Court has held:
"In accordance with Article 9 of the Civil Code of Spain, x x x the laws relating to family rights and duties, or to the status, condition and legal capacity of persons, govern Spaniards although they reside in a foreign country; that, in consequence, 'all questions of a civil nature, such as those dealing with the validity or nullity of the matrimonial bond, the domicile of the husband and wife, their support, as between them, the separation of their properties, the rules governing property, marital authority, division of conjugal property, the classification of their property, legal causes for divorce, the extent of the latter, the authority to decree it, and, in general, the civil effects of marriage and divorce upon the persons and properties of the spouses, are questions that are governed exclusively by the national law of the husband and wife."
The relevance of "citizenship" or "nationality" to Civil Law is best exemplified in Article 15 of the Civil Code, stating that -
"Laws relating to family rights and duties, or to the status, condition and legal capacity of persons are binding upon citizens of the Philippines, even though living abroad" -
that explains the need to incorporate in the code a reiteration of the Constitutional provisions on citizenship. Similarly, citizenship is significant in civil relationships found in different parts of the Civil Code,39 such as on successional rights and family relations.40 In adoption, for instance, an adopted child would be considered the child of his adoptive parents and accorded the same rights as their legitimate child but such legal fiction extended only to define his rights under civil law41 and not his political status.
Civil law provisions point to an obvious bias against illegitimacy. This discriminatory attitude may be traced to the Spanish family and property laws, which, while defining proprietary and successional rights of members of the family, provided distinctions in the rights of legitimate and illegitimate children. In the monarchial set-up of old Spain, the distribution and inheritance of titles and wealth were strictly according to bloodlines and the concern to keep these bloodlines uncontaminated by foreign blood was paramount.
These distinctions between legitimacy and illegitimacy were codified in the Spanish Civil Code, and the invidious discrimination survived when the Spanish Civil Code became the primary source of our own Civil Code. Such distinction, however, remains and should remain only in the sphere of civil law and not unduly impede or impinge on the domain of political law.
The proof of filiation or paternity for purposes of determining his citizenship status should thus be deemed independent from and not inextricably tied up with that prescribed for civil law purposes. The Civil Code or Family Code provisions on proof of filiation or paternity, although good law, do not have preclusive effects on matters alien to personal and family relations. The ordinary rules on evidence could well and should govern. For instance, the matter about pedigree is not necessarily precluded from being applicable by the Civil Code or Family Code provisions.
Section 39, Rule 130, of the Rules of Court provides -
"Act or Declaration about pedigree. The act or declaration of a person deceased, or unable to testify, in respect to the pedigree of another person related to him by birth or marriage, may be received in evidence where it occurred before the controversy, and the relationship between the two persons is shown by evidence other than such act or declaration. The word `pedigree’ includes relationship, family genealogy, birth, marriage, death, the dates when and the places where these facts occurred, and the names of the relatives. It embraces also facts of family history intimately connected with pedigree."
For the above rule to apply, it would be necessary that (a) the declarant is already dead or unable to testify, (b) the pedigree of a person must be at issue, (c) the declarant must be a relative of the person whose pedigree is in question, (d) declaration must be made before the controversy has occurred, and (e) the relationship between the declarant and the person whose pedigree is in question must be shown by evidence other than such act or declaration.
Thus, the duly notarized declaration made by Ruby Kelley Mangahas, sister of Bessie Kelley Poe submitted as Exhibit 20 before the COMELEC, might be accepted to prove the acts of Allan F. Poe, recognizing his own paternal relationship with FPJ, i.e, living together with Bessie Kelley and his children (including respondent FPJ) in one house, and as one family -
"I, Ruby Kelley Mangahas, of legal age and sound mind, presently residing in Stockton, California, U.S.A., after being sworn in accordance with law do hereby declare that:
"1. I am the sister of the late Bessie Kelley Poe.
"2. Bessie Kelley Poe was the wife of Fernando Poe, Sr.
"3. Fernando and Bessie Poe had a son by the name of Ronald Allan Poe, more popularly known in the Philippines as `Fernando Poe, Jr.,’ or `FPJ’.
"4. Ronald Allan Poe `FPJ’ was born on August 20, 1939 at St. Luke's Hospital, Magdalena Street, Manila.
"x x x           x x x           x x x
"7. Fernando Poe Sr., and my sister Bessie, met and became engaged while they were students at the University of the Philippines in 1936. I was also introduced to Fernando Poe, Sr., by my sister that same year.
"8. Fernando Poe, Sr., and my sister Bessie had their first child in 1938.
"9. Fernando Poe, Sr., my sister Bessie and their first three children, Elizabeth, Ronald, Allan and Fernando II, and myself lived together with our mother at our family's house on Dakota St. (now Jorge Bocobo St.), Malate until the liberation of Manila in 1945, except for some months between 1943-1944.
"10. Fernando Poe, Sr., and my sister, Bessie, were blessed with four (4) more children after Ronald Allan Poe.
"x x x           x x x           x x x
"18. I am executing this Declaration to attest to the fact that my nephew, Ronald Allan Poe is a natural born Filipino, and that he is the legitimate child of Fernando Poe, Sr.
"Done in City of Stockton, California, U.S.A., this 12th day of January 2004.
Ruby Kelley Mangahas Declarant DNA Testing
In case proof of filiation or paternity would be unlikely to satisfactorily establish or would be difficult to obtain, DNA testing, which examines genetic codes obtained from body cells of the illegitimate child and any physical residue of the long dead parent could be resorted to. A positive match would clear up filiation or paternity. In Tijing vs. Court of Appeals,42 this Court has acknowledged the strong weight of DNA testing -
"Parentage will still be resolved using conventional methods unless we adopt the modern and scientific ways available. Fortunately, we have now the facility and expertise in using DNA test for identification and parentage testing. The University of the Philippines Natural Science Research Institute (UP-NSRI) DNA Analysis Laboratory has now the capability to conduct DNA typing using short tandem repeat (STR) analysis. The analysis is based on the fact that the DNA of a child/person has two (2) copies, one copy from the mother and the other from the father. The DNA from the mother, the alleged father and the child are analyzed to establish parentage. Of course, being a novel scientific technique, the use of DNA test as evidence is still open to challenge. Eventually, as the appropriate case comes, courts should not hesitate to rule on the admissibility of DNA evidence. For it was said, that courts should apply the results of science when competently obtained in aid of situations presented, since to reject said result is to deny progress."
Petitioner’s Argument For Jurisprudential Conclusiveness
Petitioner would have it that even if Allan F. Poe were a Filipino citizen, he could not have transmitted his citizenship to respondent FPJ, the latter being an illegitimate child. According to petitioner, prior to his marriage to Bessie Kelley, Allan F. Poe, on July 5, 1936, contracted marriage with a certain Paulita Gomez, making his subsequent marriage to Bessie Kelley bigamous and respondent FPJ an illegitimate child. The veracity of the supposed certificate of marriage between Allan F. Poe and Paulita Gomez could be most doubtful at best. But the documentary evidence introduced by no less than respondent himself, consisting of a birth certificate of respondent and a marriage certificate of his parents showed that FPJ was born on 20 August 1939 to a Filipino father and an American mother who were married to each other a year later, or on 16 September 1940. Birth to unmarried parents would make FPJ an illegitimate child. Petitioner contended that as an illegitimate child, FPJ so followed the citizenship of his mother, Bessie Kelley, an American citizen, basing his stand on the ruling of this Court in Morano vs. Vivo,43 citing Chiongbian vs. de Leo44 and Serra vs. Republic.45
On the above score, the disquisition made by amicus curiae Joaquin G. Bernas, SJ, is most convincing; he states -
"We must analyze these cases and ask what the lis mota was in each of them. If the pronouncement of the Court on jus sanguinis was on the lis mota, the pronouncement would be a decision constituting doctrine under the rule of stare decisis. But if the pronouncement was irrelevant to the lis mota, the pronouncement would not be a decision but a mere obiter dictum which did not establish doctrine. I therefore invite the Court to look closely into these cases.
"First, Morano vs. Vivo. The case was not about an illegitimate child of a Filipino father. It was about a stepson of a Filipino, a stepson who was the child of a Chinese mother and a Chinese father. The issue was whether the stepson followed the naturalization of the stepfather. Nothing about jus sanguinis there. The stepson did not have the blood of the naturalized stepfather.
"Second, Chiongbian vs. de Leon. This case was not about the illegitimate son of a Filipino father. It was about a legitimate son of a father who had become Filipino by election to public office before the 1935 Constitution pursuant to Article IV, Section 1(2) of the 1935 Constitution. No one was illegitimate here.
"Third, Serra vs. Republic. The case was not about the illegitimate son of a Filipino father. Serra was an illegitimate child of a Chinese father and a Filipino mother. The issue was whether one who was already a Filipino because of his mother who still needed to be naturalized. There is nothing there about invidious jus sanguinis.
"Finally, Paa vs. Chan.46 This is a more complicated case. The case was about the citizenship of Quintin Chan who was the son of Leoncio Chan. Quintin Chan claimed that his father, Leoncio, was the illegitimate son of a Chinese father and a Filipino mother. Quintin therefore argued that he got his citizenship from Leoncio, his father. But the Supreme Court said that there was no valid proof that Leoncio was in fact the son of a Filipina mother. The Court therefore concluded that Leoncio was not Filipino. If Leoncio was not Filipino, neither was his son Quintin. Quintin therefore was not only not a natural-born Filipino but was not even a Filipino.
"The Court should have stopped there. But instead it followed with an obiter dictum. The Court said obiter that even if Leoncio, Quintin's father, were Filipino, Quintin would not be Filipino because Quintin was illegitimate. This statement about Quintin, based on a contrary to fact assumption, was absolutely unnecessary for the case. x x x It was obiter dictum, pure and simple, simply repeating the obiter dictum in Morano vs. Vivo.
"x x x           x x x           x x x
"Aside from the fact that such a pronouncement would have no textual foundation in the Constitution, it would also violate the equal protection clause of the Constitution not once but twice. First, it would make an illegitimate distinction between a legitimate child and an illegitimate child, and second, it would make an illegitimate distinction between the illegitimate child of a Filipino father and the illegitimate child of a Filipino mother.
"The doctrine on constitutionally allowable distinctions was established long ago by People vs. Cayat.47 I would grant that the distinction between legitimate children and illegitimate children rests on real differences. x x x But real differences alone do not justify invidious distinction. Real differences may justify distinction for one purpose but not for another purpose.
"x x x What is the relevance of legitimacy or illegitimacy to elective public service? What possible state interest can there be for disqualifying an illegitimate child from becoming a public officer. It was not the fault of the child that his parents had illicit liaison. Why deprive the child of the fullness of political rights for no fault of his own? To disqualify an illegitimate child from holding an important public office is to punish him for the indiscretion of his parents. There is neither justice nor rationality in that. And if there is neither justice nor rationality in the distinction, then the distinction transgresses the equal protection clause and must be reprobated."
The other amici curiae, Mr. Justice Vicente Mendoza (a former member of this Court), Professor Ruben Balane and Dean Martin Magallona, at bottom, have expressed similar views. The thesis of petitioner, unfortunately hinging solely on pure obiter dicta, should indeed fail.
Where jurisprudence regarded an illegitimate child as taking after the citizenship of its mother, it did so for the benefit the child. It was to ensure a Filipino nationality for the illegitimate child of an alien father in line with the assumption that the mother had custody, would exercise parental authority and had the duty to support her illegitimate child. It was to help the child, not to prejudice or discriminate against him.
The fact of the matter – perhaps the most significant consideration – is that the 1935 Constitution, the fundamental law prevailing on the day, month and year of birth of respondent FPJ, can never be more explicit than it is. Providing neither conditions nor distinctions, the Constitution states that among the citizens of the Philippines are "those whose fathers are citizens of the Philippines." There utterly is no cogent justification to prescribe conditions or distinctions where there clearly are none provided.
In Sum –
(1) The Court, in the exercise of its power of judicial review, possesses jurisdiction over the petition in G. R. No. 161824, filed under Rule 64, in relation to Rule 65, of the Revised Rules of Civil Procedure. G.R. No. 161824 assails the resolution of the COMELEC for alleged grave abuse of discretion in dismissing, for lack of merit, the petition in SPA No. 04-003 which has prayed for the disqualification of respondent FPJ from running for the position of President in the 10th May 2004 national elections on the contention that FPJ has committed material representation in his certificate of candidacy by representing himself to be a natural-born citizen of the Philippines.
(2) The Court must dismiss, for lack of jurisdiction and prematurity, the petitions in G. R. No. 161434 and No. 161634 both having been directly elevated to this Court in the latter’s capacity as the only tribunal to resolve a presidential and vice-presidential election contest under the Constitution. Evidently, the primary jurisdiction of the Court can directly be invoked only after, not before, the elections are held.
(3) In ascertaining, in G.R. No. 161824, whether grave abuse of discretion has been committed by the COMELEC, it is necessary to take on the matter of whether or not respondent FPJ is a natural-born citizen, which, in turn, depended on whether or not the father of respondent, Allan F. Poe, would have himself been a Filipino citizen and, in the affirmative, whether or not the alleged illegitimacy of respondent prevents him from taking after the Filipino citizenship of his putative father. Any conclusion on the Filipino citizenship of Lorenzo Pou could only be drawn from the presumption that having died in 1954 at 84 years old, Lorenzo would have been born sometime in the year 1870, when the Philippines was under Spanish rule, and that San Carlos, Pangasinan, his place of residence upon his death in 1954, in the absence of any other evidence, could have well been his place of residence before death, such that Lorenzo Pou would have benefited from the "en masse Filipinization" that the Philippine Bill had effected in 1902. That citizenship (of Lorenzo Pou), if acquired, would thereby extend to his son, Allan F. Poe, father of respondent FPJ. The 1935 Constitution, during which regime respondent FPJ has seen first light, confers citizenship to all persons whose fathers are Filipino citizens regardless of whether such children are legitimate or illegitimate.
(4) But while the totality of the evidence may not establish conclusively that respondent FPJ is a natural-born citizen of the Philippines, the evidence on hand still would preponderate in his favor enough to hold that he cannot be held guilty of having made a material misrepresentation in his certificate of candidacy in violation of Section 78, in relation to Section 74, of the Omnibus Election Code. Petitioner has utterly failed to substantiate his case before the Court, notwithstanding the ample opportunity given to the parties to present their position and evidence, and to prove whether or not there has been material misrepresentation, which, as so ruled in Romualdez-Marcos vs. COMELEC,48 must not only be material, but also deliberate and willful.
WHEREFORE, the Court RESOLVES to DISMISS –
1. G. R. No. 161434, entitled "Maria Jeanette C. Tecson and Felix B. Desiderio, Jr., Petitioners, versus Commission on Elections, Ronald Allan Kelley Poe (a.k.a. "Fernando Poe, Jr.,) and Victorino X. Fornier, Respondents," and G. R. No. 161634, entitled "Zoilo Antonio Velez, Petitioner, versus Ronald Allan Kelley Poe, a.k.a. Fernando Poe, Jr., Respondent," for want of jurisdiction.
2. G. R. No. 161824, entitled "Victorino X. Fornier, Petitioner, versus Hon. Commission on Elections and Ronald Allan Kelley Poe, also known as Fernando Poe, Jr.," for failure to show grave abuse of discretion on the part of respondent Commission on Elections in dismissing the petition in SPA No. 04-003.
No Costs.
SO ORDERED.
Davide, Jr., C.J., see separate opinion, concurring.
Puno, J., on leave but was allowed to vote; see separate opinion.
Panganiban, J., on official leave; allowed to vote but did not send his vote on the matter.
Quisumbing, J., joins the dissent of Justices Tinga and Morales; case should have been remanded.
Ynares-Santiago, J., concurs and also with J. Puno’s separate opinion.
Sandoval-Gutierrez, J., concurs, please see separate opinion.
Carpio, J., see dissenting opinion.
Austria-Martinez, J., concurs, please see separate opinion.
Corona, J., joins the dissenting opinion of Justice Morales.
Carpio-Morales, J., see dissenting opinion.
Callejo, Sr., J., please see concurring opinion.
Azcuna, J., concurs in a separate opinion.
Tinga, J., dissents per separate opinion.

SEPARATE OPINION
DAVIDE, JR. C.J.:
The procedural and factual antecedents of these consolidated cases are as follows:
On 9 January 2004, petitioner Victorino X. Fornier filed with public respondent Commission on Elections (COMELEC) a petition to disqualify private respondent Fernando Poe, Jr. (FPJ) and to deny due course to or cancel his certificate of candidacy for the position of President in the forthcoming 10 May 2004 presidential elections. As a ground therefore, he averred that FPJ committed falsity in a material representation in his certificate of candidacy in declaring that he is a natural-born Filipino citizen when in truth and in fact he is not, since he is the illegitimate son of Bessie Kelley, an American citizen, and Allan Poe, a Spanish national. The case was docketed as COMELEC Case SPA No. 04-003 and assigned to the COMELEC’s First Division.
At the hearing before the First Division of the COMELEC, petitioner Fornier offered FPJ’s record of birth to prove that FPJ was born on 20 August 1939 to Bessie Kelley, an American citizen, and Allan Poe, who was then married to Paulita Gomez. Upon the other hand, FPJ tried to establish that his father was a Filipino citizen whose parents, although Spanish nationals, were Filipino citizens. He adduced in evidence a copy of the marriage contract of Allan Poe and Bessie Kelley, showing that they were married on 16 September 1940 in Manila.
In its Resolution of 23 January 2004, the First Division of the COMELEC dismissed COMELEC Case SPA No. 04-003 for lack of merit. It declared that COMELEC’s jurisdiction is limited to all matters relating to election, returns and qualifications of all elective regional, provincial and city officials, but not those of national officials like the President. It has, however, jurisdiction to pass upon the issue of citizenship of national officials under Section 78 of the Omnibus Election Code on petitions to deny due course or cancel certificates of candidacy on the ground that any material representation contained therein is false. It found that the evidence adduced by petitioner Fornier is not substantial, and that FPJ did not commit any falsehood in material representation when he stated in his certificate of candidacy that he is a natural-born Filipino citizen.
His motion for reconsideration filed before the COMELEC en banc having been denied, petitioner Fornier filed a petition with this Court, which was docketed as G.R. No. 161824.
Meanwhile, petitioners Maria Jeanette C. Tecson and Felix B. Desiderio, Jr. came to this Court via a special civil action for certiorari under Rule 65 of the Rules of Court, docketed as G.R. No. 161434, to challenge the jurisdiction of the COMELEC over the issue of the citizenship of FPJ. They assert that only this Court has jurisdiction over the issue in light of the last paragraph of Section 4 of Article VII of the Constitution, which provides:
The Supreme Court, sitting en banc, shall be the sole judge of all contests relating to the election returns, and qualifications of the President or Vice-President, and may promulgate its rules for the purpose.
On 29 January 2004 petitioner Velez filed a similar petition, which was docketed as G.R. No. 161634.
The core issues in these consolidated cases, as defined by the Court during the oral argument, are as follows:
(1) Whether the COMELEC has jurisdiction over petitions to deny due course to or cancel certificates of candidacy of Presidential candidates;
(2) Whether the Supreme Court has jurisdiction over the petitions of (a) Tecson, et al., (b) Velez, and (c) Fornier; and
(3) Whether respondent FPJ is a Filipino citizen, and if so, whether he is a natural-born Filipino citizen.
These consolidated petitions must be dismissed.
Both the petitions of Tecson and Velez invoke the jurisdiction of this Court as provided for in the last paragraph of Section 4 of Article VII of the Constitution, and raise the issue of the ineligibility of a candidate for President on the ground that he is not a natural-born citizen of the Philippines. The actions contemplated in the said provision of the Constitution are post-election remedies, namely, regular election contests and quo warranto. The petitioner should have, instead, resorted to pre-election remedies, such as those prescribed in Section 68 (Disqualifications), in relation to Section 72; Section 69 (Nuisance candidates); and Section 78 (Petition to deny course to or cancel a certificate of candidacy), in relation to Section 74, of the Omnibus Election Code, which are implemented in Rules 23, 24 and 25 of the COMELEC Rules of Procedure. These pre-election remedies or actions do not, however, fall within the original jurisdiction of this Court.
Under the Omnibus Election Code and the COMELEC Rules of Procedure, the COMELEC has the original jurisdiction to determine in an appropriate proceeding whether a candidate for an elective office is eligible for the office for which he filed his certificate of candidacy or is disqualified to be a candidate or to continue such candidacy because of any of the recognized grounds for disqualification. Its jurisdiction over COMELEC SPA No. 04-003 is, therefore, beyond question.
Upon the other hand, this Court has jurisdiction over Fornier’s petition (G.R. No. 161824) under Section 7 of Article IX-A of the Constitution, which provides:
Section 7. Each Commission shall decide by a majority vote of all its Members any case or matter brought before it within sixty days from the date of its submission for decision or resolution. A case or matter is deemed submitted for decision or resolution upon the filing of the last pleading, brief, or memorandum required by the rules of the Commission or by the Commission itself. Unless otherwise provided by this Constitution or by law, any decision, order, or ruling of each Commission may be brought to the Supreme Court on certiorari by the aggrieved party within thirty days from receipt of a copy thereof.
This Court can also take cognizance of the issue of whether the COMELEC committed grave abuse of discretion amounting to lack or excess of jurisdiction in issuing the challenged resolution in COMELEC SPA No. 04-003 by virtue of Section 1 of Article VIII of the Constitution, which reads as follows:
Section 1. The judicial power shall be vested in one Supreme Court and in such lower courts as may be established by law.
Judicial power includes the duty of the courts of justice to settle actual controversies involving rights which are legally demandable and enforceable, and to determine whether or not there has been a grave abuse of discretion amounting to lack or excess of jurisdiction on the part of nay branch or instrumentality of the Government.
On the issue of whether private respondent FPJ is a natural-born Filipino citizen, the following facts have been established by a weighty preponderance of evidence either in the pleadings and the documents attached thereto or from the admissions of the parties, through their counsels, during the oral arguments:
1. FPJ was born on 20 August 1939 in Manila, Philippines.
2. FPJ was born to Allan Poe and Bessie Kelley.
3. Bessie Kelley and Allan Poe were married on 16 September 1940.
4. Allan Poe was a Filipino because his father, Lorenzo Poe, albeit a Spanish subject, was not shown to have declared his allegiance to Spain by virtue of the Treaty of Paris and the Philippine Bill of 1902.
From the foregoing it is clear that respondent FPJ was born before the marriage of his parents. Thus, pursuant to the Civil Code then in force, he could either be (a) a natural child if both his parents had no legal impediments to marry each other; or (b) an illegitimate child if, indeed, Allan Poe was married to another woman who was still alive at the time FPJ was born.
Petitioner Fornier never alleged that Allan Poe was not the father of FPJ. By revolving his case around the illegitimacy of FPJ, Fornier effectively conceded paternity or filiation as a non-issue. For purposes of the citizenship of an illegitimate child whose father is a Filipino and whose mother is an alien, proof of paternity or filiation is enough for the child to follow the citizenship of his putative father, as advanced by Fr. Joaquin Bernas, one of the amici curiae. Since paternity or filiation is in fact admitted by petitioner Fornier, the COMELEC committed no grave abuse of discretion in holding that FPJ is a Filipino citizen, pursuant to paragraph 3 of Section 1 of Article IV of the 1935 Constitution, which reads:
Section 1. The following are citizens of the Philippines:
(3) Those whose fathers are citizens of the Philippines.
I agree with the amici curiae that this provision makes no distinction between legitimate and illegitimate children of Filipino fathers. It is enough that filiation is established or that the child is acknowledged or recognized by the father.
DISSENTING OPINION
CARPIO, J.:
I dissent from the majority opinion.
The Antecedent Proceedings
Petitioner Fornier filed before the Commission on Elections ("Comelec") a "Petition for Disqualification of Presidential Candidate Ronald Allan Kelley Poe a.k.a. Fernando Poe, Jr." on the ground that Fernando Poe, Jr. ("FPJ") is not a natural-born Philippine citizen. The Comelec First Division dismissed the petition, ruling that petitioner failed to present substantial evidence that FPJ committed "any material misrepresentation when he stated in his Certificate of Candidacy that he is a natural-born citizen." On motion for reconsideration, the Comelec En Banc affirmed the ruling of the First Division. Petitioner Fornier now assails the Comelec En Banc resolution under Rule 64 in relation to Rule 65 of the Rules of Court.
The Undisputed Facts
The undisputed facts are based on two documents and the admission of FPJ. The first document is the Birth Certificate of FPJ, showing he was born on 20 August 1939. The Birth Certificate is an evidence of FPJ.[1] The second document is the Marriage Certificate of Allan F. Poe and Bessie Kelley, showing that their marriage took place on 16 September 1940. The Marriage Certificate is also an evidence of FPJ.[2] Moreover, FPJ admits that his mother Bessie Kelley was an American citizen.[3]
Based on these two documents and admission, the undisputed facts are: (1) FPJ was born out of wedlock and therefore illegitimate,[4] and (2) the mother of FPJ was an American citizen.
The Issues
The issues raised in Fornier’s petition are:
(a) Whether the Court has jurisdiction over the petition to disqualify FPJ as a candidate for President on the ground that FPJ is not a natural-born Philippine citizen;
(b) Whether FPJ is a natural-born citizen of the Philippines.
Jurisdiction
The Comelec has jurisdiction to determine initially the qualifications of all candidates. Under Section 2(1), Article IX-C of the Constitution, the Comelec has the power and function to "[E]nforce and administer all laws and regulations relative to the conduct of an election." The initial determination of who are qualified to file certificates of candidacies with the Comelec clearly falls within this all-encompassing constitutional mandate of the Comelec. The conduct of an election necessarily includes the initial determination of who are qualified under existing laws to run for public office in an election. Otherwise, the Comelec’s certified list of candidates will be cluttered with unqualified candidates making the conduct of elections unmanageable. For this reason, the Comelec weeds out every presidential election dozens of candidates for president who are deemed nuisance candidates by the Comelec.[5]
Section 2(3), Article IX-C of the Constitution also empowers the Comelec to "[D]ecide, except those involving the right to vote, all questions affecting elections x x x." The power to decide "all questions affecting elections" necessarily includes the power to decide whether a candidate possesses the qualifications required by law for election to public office. This broad constitutional power and function vested in the Comelec is designed precisely to avoid any situation where a dispute affecting elections is left without any legal remedy. If one who is obviously not a natural-born Philippine citizen, like Arnold Schwarzenneger, runs for President, the Comelec is certainly not powerless to cancel the certificate of candidacy of such candidate. There is no need to wait until after the elections before such candidate may be disqualified.
Under Rule 25 on "Disqualification of Candidates" of the Comelec Rules of Procedure, a voter may question before the Comelec the qualifications of any candidate for public office. Thus, Rule 25 provides:
Section 1. Grounds for Disqualification. — Any candidate who does not possess all the qualifications of a candidate as provided for by the Constitution or by existing law or who commits any act declared by law to be grounds for disqualification may be disqualified from continuing as a candidate.
Section 2. Who May File Petition for Disqualification. — Any citizen of voting age, or duly registered political party, organization or coalition of political parties may file with the Law Department of the Commission a petition to disqualify a candidate on grounds provided by law. (Emphasis supplied)
The Comelec adopted its Rules of Procedure pursuant to its constitutional power to promulgate its own rules of procedure[6] to expedite the disposition of cases or controversies falling within its jurisdiction.
The Comelec has ruled upon the qualifications of candidates, even if the Constitution provides that some other body shall be the "sole judge" of the qualifications of the holders of the public offices involved. The Court has upheld the jurisdiction of Comelec to issue such rulings,[7] even when the issue is the citizenship of a candidate.[8] Thus, the Comelec has jurisdiction to determine initially if FPJ meets the citizenship qualification to run for President.
However, the Comelec En Banc, in its scanty resolution, failed to state the factual bases of its ruling. The Comelec En Banc also failed to rule conclusively on the issue presented – whether FPJ is a natural-born Philippine citizen. The Comelec En Banc affirmed the First Division ruling that "[W]e feel we are not at liberty to finally declare whether or not the respondent is a natural-born citizen." In short, the Comelec En Banc allowed a candidate for President to run in the coming elections without being convinced that the candidate is a natural-born Philippine citizen. Clearly, the Comelec En Banc acted with grave abuse of discretion. Under Section 1, Article VIII, as well as Section 5, Article VIII, of the Constitution, the Court has jurisdiction to hear and decide the issue in a petition for certiorari under Rule 64 in relation to Rule 65.
To hold that the Court acquires jurisdiction to determine the qualification of a candidate for President only after the elections would lead to an absurd situation. The Court would have to wait for an alien to be elected on election day before he could be disqualified to run for President. If the case is not decided immediately after the election, an alien who wins the election may even assume office as President before he is finally disqualified. Certainly, this is not what the Constitution says when it provides that "[N]o person may be elected President unless he is a natural-born citizen of the Philippines."[9] The clear and specific language of the Constitution prohibits the election of one who is not a natural-born citizen. Thus, the issue of whether a candidate for President is a natural-born Philippine citizen must be decided before the election.
Governing Laws
Since FPJ was born on 20 August 1939, his citizenship at the time of his birth depends on the Constitution and statutes in force at the time of his birth.[10] FPJ’s citizenship at the time of his birth in 1939, applying the laws in force in 1939, determines whether he is a natural-born Philippine citizen.
Natural-born Philippine citizens are "those who are citizens of the Philippines from birth without having to perform any act to acquire or perfect their Philippine citizenship."[11] If a person has to perform an act, such as proving in an administrative or judicial proceeding, that an event subsequent to his birth transpired thus entitling him to Philippine citizenship, such person is not a natural born citizen.[12]
The 1935 Constitution and the Spanish Civil Code, the laws in force in 1939, are the governing laws that determine whether a person born in 1939 is a Philippine citizen at the time of his birth in 1939. Any subsequent legislation cannot change the citizenship at birth of a person born in 1939 because such legislation would violate the constitutional definition of a natural-born citizen as one who is a Philippine citizen from birth. In short, one who is not a Philippine citizen at birth in 1939 cannot be declared by subsequent legislation a natural-born citizen.
General Principles
A legitimate child of a Filipino father follows the citizenship of the father. A child born within wedlock is presumed to be the son of the father[13] and thus carries the blood of the father. Under the doctrine of jus sanguinis, as provided for in Section 1(3), Article III of the 1935 Constitution, a legitimate child, by the fact of legitimacy, automatically follows the citizenship of the Filipino father.
An illegitimate child, however, enjoys no presumption at birth of blood relation to any father unless the father acknowledges the child at birth.[14] The law has always required that "in all cases of illegitimate children, their filiation must be duly proved."[15] The only legally known parent of an illegitimate child, by the fact of illegitimacy, is the mother of the child who conclusively carries the blood of the mother. Thus, unless the father acknowledges the illegitimate child at birth, the illegitimate child can only acquire the citizenship of the only legally known parent - the mother.
However, if the Filipino father is legally known because the filiation (blood relation of illegitimate child to the father) of the child to the Filipino father is established in accordance with law, the child follows the citizenship of the Filipino father. This gives effect, without discrimination between legitimate and illegitimate children, to the provision of the 1935 Constitution that "[T]hose whose fathers are citizens of the Philippines"[16] are Philippine citizens.
Nature of Citizenship
If the Filipino father acknowledges the illegitimate child at birth, the child is a natural-born Philippine citizen because no other act after his birth is required to acquire or perfect his Philippine citizenship. The child possesses all the qualifications to be a Philippine citizen at birth.
If the Filipino father acknowledges the child after birth, the child is a Philippine citizen as of the time of the acknowledgment. In this case, the child does not possess all the qualifications to be a Philippine citizen at birth because an act - the acknowledgement of the Filipino father - is required for the child to acquire or perfect his Philippine citizenship. Statutory provisions on retroactivity of acknowledgment cannot be given effect because they would be contrary to the constitutional definition of natural- born citizens as those who are Philippine citizens at birth without having to perform any act to acquire or perfect their Philippine citizenship.
If the illegitimacy of a child is established, there is no presumption that the child has the blood of any man who is supposed to be the father. There is only a conclusive presumption that the child has the blood of the mother. If an illegitimate child claims to have the blood of a man who is supposed to be the child’s father, such blood relation must be established in accordance with proof of filiation as required by law.
Where the illegitimate child of an alien mother claims to follow the citizenship of the putative father, the burden is on the illegitimate child to establish a blood relation to the putative Filipino father since there is no presumption that an illegitimate child has the blood of the putative father. Even if the putative father admits paternity after the birth of the illegitimate child, there must be an administrative or judicial approval that such blood relation exists upon proof of paternity as required by law.
Citizenship, being a matter of public and State interest, cannot be conferred on an illegitimate child of an alien mother on the mere say so of the putative Filipino father. The State has a right to examine the veracity of the claim of paternity. Otherwise, the grant of Philippine citizenship to an illegitimate child of an alien mother is left to the sole discretion of the putative Filipino father. For example, a Philippine citizen of Chinese descent can simply claim that he has several illegitimate children in China. The State cannot be required to grant Philippine passports to these supposed illegitimate children born in China of Chinese mothers just because the putative Filipino father acknowledges paternity of these illegitimate children. There must be either an administrative or judicial determination that the claim of the putative Filipino father is true.
The case of the illegitimate Vietnamese children, born in Vietnam of Vietnamese mothers and allegedly of Filipino fathers, is illustrative. These children grew up in Vietnam, many of them studying there until high school. These children grew up knowing they were Vietnamese citizens. In 1975, a Philippine Navy vessel brought them, together with their Vietnamese mothers, to the Philippines as Saigon fell to the communists. The mothers of these children became stateless when the Republic of (South) Vietnam ceased to exist in 1975. The Department of Justice rendered Opinion No. 49 dated 3 May 1995 that being children of Filipino fathers, these Vietnamese children, even if illegitimate, are Philippine citizens under Section 1(3), Article IV of the 1935 Constitution and Section 1(2), Article III of the 1973 Constitution. This Opinion is cited by FPJ as basis for his claim of being a natural-born Philippine citizen.[17] However, this Opinion categorically stated that before the illegitimate Vietnamese children may be considered Filipino citizens "it is necessary in every case referred to that such paternity be established by sufficient and convincing documentary evidence."[18]
In short, the illegitimate child must prove to the proper administrative or judicial authority the paternity of the alleged Filipino father by "sufficient and convincing documentary evidence." Clearly, an administrative or judicial act is necessary to confer on the illegitimate Vietnamese children Philippine citizenship. The mere claim of the illegitimate child of filiation to a Filipino father, or the mere acknowledgment of the alleged Filipino father, does not automatically confer Philippine citizenship on the child. The State must be convinced of the veracity of such claim and approve the same. Since the illegitimate Vietnamese children need to perform an act to acquire or perfect Philippine citizenship, they are not natural-born Philippine citizens. They become Philippine citizens only from the moment the proper administrative or judicial authority approve and recognize their filiation to their alleged Filipino fathers.
The rationale behind requiring that only natural-born citizens may hold certain high public offices[19] is to insure that the holders of these high public offices grew up knowing they were at birth citizens of the Philippines. In their formative years they knew they owed from birth their allegiance to the Philippines. In case any other country claims their allegiance, they would be faithful and loyal to the Philippines of which they were citizens from birth. This is particularly true to the President who is the commander-in-chief of the armed forces.[20] The President of the Philippines must owe, from birth, allegiance to the Philippines and must have grown up knowing that he was a citizen of the Philippines at birth. The constitutional definition of a natural-born Philippine citizen would lose its meaning and efficacy if one who was at birth recognized by law as an alien were declared forty years later[21] a natural-born Philippine citizen just because his alleged Filipino father subsequently admitted his paternity.
Proof of Filiation
Article 131[22] of the Spanish Civil Code, the law in force in 1939, recognized only the following as proof of filiation of a natural child:
a. acknowledgment in a record of birth;
b. acknowledgment in a will;
c. acknowledgment in some other public document.
To establish his Philippine citizenship at birth, FPJ must present either an acknowledgement in a record of birth, or an acknowledgment in some other public document executed at the time of his birth. An acknowledgment executed after birth does not make one a citizen at birth but a citizen from the time of such acknowledgment since the acknowledgment is an act done after birth to acquire or perfect Philippine citizenship.
After the birth of one who is not a natural-born Philippine citizen, a subsequent legislation liberalizing proof of filiation cannot apply to such person to make him a natural-born citizen. A natural-born Philippine citizen is expressly defined in the Constitution as one who is a citizen at birth. If a person is not a citizen at birth, no subsequent legislation can retroactively declare him a citizen at birth since it would violate the constitutional definition of a natural-born citizen.
Burden of Proof
Any person who claims to be a citizen of the Philippines has the burden of proving his Philippine citizenship. Any person who claims to be qualified to run for President because he is, among others, a natural-born Philippine citizen, has the burden of proving he is a natural-born citizen. Any doubt whether or not he is natural-born citizen is resolved against him. The constitutional requirement of a natural-born citizen, being an express qualification for election as President, must be complied with strictly as defined in the Constitution. As the Court ruled in Paa v. Chan: [23]
It is incumbent upon a person who claims Philippine citizenship to prove to the satisfaction of the Court that he is really a Filipino. No presumption can be indulged in favor of the claimant of Philippine citizenship, and any doubt regarding citizenship must be resolved in favor of the State.
Since the undisputed facts show that FPJ is an illegitimate child, having been born out of wedlock, the burden is on FPJ to prove his blood relation to his alleged Filipino father. An illegitimate child enjoys no presumption of blood relation to any father. Such blood relationship must be established in the appropriate proceedings in accordance with law.
Private party litigants cannot stipulate on the Philippine citizenship of a person because citizenship is not a private right or property, but a matter of public and State interest. Even if petitioner Fornier admits that FPJ, although illegitimate, is the son of Allan F. Poe, such admission cannot bind the State for the purpose of conferring on FPJ the status of a natural-born Philippine citizen or even of a naturalized citizen. Certainly, the Court will not recognize a person as a natural-born Philippine citizen just because the private party litigants have admitted or stipulated on such a status. In the present case, the Solicitor General, as representative of the Government, is strongly disputing the status of FPJ as a natural-born Philippine citizen.
Legitimation
Under Article 123[24] of the Spanish Civil Code, legitimation took effect as of the date of marriage. There was no retroactivity of the effects of legitimation on the rights of the legitimated child. Thus, a legitimated child acquired the rights of a legitimate child only as of the date of marriage of the natural parents. Allan F. Poe and Bessie Kelley were married on 16 September 1940 while FPJ was born more than one year earlier on 20 August 1939. Assuming that Allan F. Poe was FPJ’s natural father, the effects of legitimation did not retroact to the birth of FPJ on 20 August 1939.
Besides, legitimation vests only civil, not political rights, to the legitimated child. As the Court held in Ching Leng:[25]
The framers of the Civil Code had no intention whatsoever to regulate therein political questions. Hence, apart from reproducing the provisions of the Constitution on citizenship, the Code contains no precept thereon except that which refers all matters of "naturalization", as well as those related to the "loss and reacquisition of citizenship" to "special laws." Consistently with this policy, our Civil Code does not include therein any rule analogous to Articles 18 to 28 of the Civil Code of Spain, regulating citizenship. (Underscoring in the original)
Clearly, even assuming that the marriage of Allan F. Poe and Bessie Kelley legitimated FPJ, such legitimation did not vest retroactively any civil or political rights to FPJ.
Treaty of Paris of 1898 and Philippine Bill of 1902
FPJ admits that his grandfather, Lorenzo Pou, was a Spanish citizen who came to the Philippines from Spain.[26] To benefit from the mass naturalization under the Treaty of Paris of 1898 and the Philippine Bill of 1902, FPJ must prove that Lorenzo Pou was an inhabitant and resident of the Philippines on 11 April 1899. Once it is established that Lorenzo Pou was an inhabitant and resident of the Philippines on 11 April 1899, then he is presumed to have acquired Philippine citizenship under the Treaty of Paris of 1898 and the Philippine Bill of 1902.[27] Being an inhabitant and resident of the Philippines on 11 April 1899 is the determinative fact to fall under the coverage of the Treaty of Paris of 1898 and the Philippine Bill of 1902.[28]
There is, however, no evidence on record that Lorenzo Pou was a Philippine inhabitant and resident on 11 April 1899. The date of arrival of Lorenzo Pou in the Philippines is not known. If he arrived in the Philippines after 11 April 1899, then he could not benefit from the mass naturalization under the Treaty of Paris of 1898 and the Philippine Bill of 1902. There is also no evidence that Lorenzo Pou was naturalized as a Philippine citizen after 11 April 1899. Thus, there can be no presumption that Lorenzo Pou was a Philippine citizen.
There is also no evidence on record that Allan F. Poe, the son of Lorenzo Pou and the alleged father of FPJ, was naturalized as a Philippine citizen. Thus, based on the evidence adduced there is no legal basis for claiming that Allan F. Poe is a Philippine citizen. Nevertheless, there is no need to delve further into this issue since the Court can decide this case without determining the citizenship of Lorenzo Pou and Allan F. Poe. Whether or not Lorenzo Pou and Allan F. Poe were Philippine citizens is not material in resolving whether FPJ is a natural-born Philippine citizen.
Convention on the Rights of the Child
The Philippines signed the Convention on the Rights of the Child on 26 January 1990 and ratified the same on 21 August 1990. The Convention defines a child to mean "every human being below the age of eighteen years unless, under the law applicable to the child, majority is attained earlier." Obviously, FPJ cannot invoke the Convention since he is not a child as defined in the Convention, and he was born half a century before the Convention came into existence. FPJ’s citizenship at birth in 1939 could not in any way be affected by the Convention which entered into force only on 2 September 1990.
The Convention has the status of a municipal law[29] and its ratification by the Philippines could not have amended the express requirement in the Constitution that only natural-born citizens of Philippines are qualified to be President. While the Constitution apparently favors natural-born citizens over those who are not, that is the explicit requirement of the Constitution which neither the Executive Department nor the Legislature, in ratifying a treaty, could amend. In short, the Convention cannot amend the definition in the Constitution that natural-born citizens are "those who are citizens of the Philippines from birth without having to perform any act to acquire or perfect their Philippine citizenship."
In any event, the Convention guarantees a child "the right to acquire a nationality,"[30] and requires States Parties to "ensure the implementation" of this right, "in particular where the child would otherwise be stateless."[31] Thus, as far as nationality or citizenship is concerned, the Convention guarantees the right of the child to acquire a nationality so that he may not be stateless. The Convention does not guarantee a child a citizenship at birth, but merely "the right to acquire a nationality" in accordance with municipal law. When FPJ was born in 1939, he was apparently under United States law an American citizen at birth.[32] After his birth FPJ also had the right to acquire Philippine citizenship by proving his filiation to his alleged Filipino father in accordance with Philippine law. At no point in time was FPJ in danger of being stateless. Clearly, FPJ cannot invoke the Convention to claim he is a natural-born Philippine citizen.
The Doctrine in Ching Leng v. Galang
The prevailing doctrine today is that an illegitimate child of a Filipino father and an alien mother follows the citizenship of the alien mother as the only legally known parent. The illegitimate child, even if acknowledged and legally adopted by the Filipino father, cannot acquire the citizenship of the father. The Court made this definitive doctrinal ruling in Ching Leng v. Galang,[33] which involved the illegitimate minor children of a naturalized Filipino of Chinese descent with a Chinese woman, Sy An. The illegitimate children were later on jointly adopted by the naturalized Filipino and his legal wife, So Buan Ty.
The facts in Ching Leng as quoted by the Court from the trial court’s decision are as follows:
After the petitioner Ching Leng Alias Ching Ban Lee obtained judgment in this Court dated May 2, 1950 granting his petition for naturalization, he together with his wife So Buan Ty filed another petition also in this Court in Special Proc. No. 1216 for the adoption of Ching Tiong Seng, Ching Liong Ding, Victoria Ching Liong Yam, Sydney Ching and Ching Tiong An, all minors and admittedly the illegitimate children of petitioner Ching Leng with one Sy An, a Chinese citizen. Finding the petition for adoption proper, this Court granted the same in a decision dated September 12, 1950, declaring the said minors free from all legal obligations of obedience and maintenance with respect to their mother Sy An and to all legal intents and purposes the children of the adopter Ching Leng alias Ching Ban Lee and So Buan Ty with all the legal rights and obligations provided by law.
On September 29, 1955, Ching Leng took his oath of allegiance and became therefore a full pledge (sic) Filipino citizen. Believing now that his adopted illegitimate children became Filipino citizens by virtue of his naturalization, petitioner Ching Leng addressed a communication to the respondent Commissioner of Immigration requesting that the alien certificate of registration of the said minors be cancelled. (Bold underscoring supplied)
In Ching Leng, the Court made a definitive ruling on the meaning of "minor child or children" in Section 15 of the Naturalization Law,[34] as well as the meaning of children "whose parents are citizens of the Philippines" under the Constitution. The Court categorically ruled that these children refer to legitimate children only, and not to illegitimate children. Thus, the Court held:
It is claimed that the phrases "minor children" and "minor child", used in these provisions, include adopted children. The argument is predicated upon the theory that an adopted child is, for all intents and purposes, a legitimate child. Whenever, the word "children" or "child" is used in statutes, it is generally understood, however, to refer to legitimate children, unless the context of the law and its spirit indicate clearly the contrary. Thus, for instance, when the Constitution provides that "those whose parents are citizens of the Philippines, "and "those whose mothers are citizens of the Philippines," who shall elect Philippine citizenship "upon reaching the age of majority", are citizens of the Philippines (Article IV, Section 1, subdivisions 3 and 4), our fundamental law clearly refers to legitimate children (Chiong Bian vs. De Leon, 46 Off. Gaz., 3652-3654; Serra v. Republic, L-4223, May 12, 1952).
Similarly, the children alluded to in said section 15 are those begotten in lawful wedlock, when the adopter, at least is the father. In fact, illegitimate children are under the parental authority of the mother and follow her nationality, not that of the illegitimate father (U.S. vs. Ong Tianse, 29 Phil. 332, 335-336; Santos Co vs. Gov’t of the Philippines, 52 Phil. 543, 544; Serra v. Republic, supra; Gallofin v. Ordoñez, 70 Phil. 287; Quimsuan vs. Republic, L-4693, Feb. 16, 1953). Although, adoption gives "to the adopted person the same rights and duties as if he were a legitimate child of the adopter", pursuant to said Article 341 of our Civil Code, we have already seen that the rights therein alluded to are merely those enumerated in Article 264, and do not include the acquisition of the nationality of the adopter.
Moreover, as used in said section 15 of the Naturalization Law, the term "children" could not possibly refer to those whose relation to the naturalized person is one created by legal fiction, as, for instance, by adoption, for, otherwise, the place and time of birth of the child would be immaterial. The fact that the adopted persons involved in the case at bar are illegitimate children of appellant Ching Leng does not affect substantially the legal situation before us, for, by legal fiction, they are now being sought to be given the status of legitimate children of said appellant, despite the circumstance that the Civil Code of the Philippine does not permit their legitimation. (Bold underscoring supplied)
Ching Leng, penned by Justice Roberto Concepcion in October 1958, was a unanimous decision of the Court En Banc. Subsequent Court decisions, including Paa v. Chan[35] and Morano et al. v. Vivo,[36] have cited the doctrine laid down in Ching Leng that the provision in the 1935 Constitution stating "those whose fathers are citizens of the Philippines" refers only to legitimate children. When the 1973 and 1987 Constitutions were drafted, the framers did not attempt to change the intent of this provision, even as they were presumably aware of the Ching Leng doctrine.
Nevertheless, I believe that it is now time to abandon the Ching Leng doctrine. The inexorable direction of the law, both international and domestic in the last 100 years, is to eliminate all forms of discrimination between legitimate and illegitimate children. Where the Constitution does not distinguish between legitimate and illegitimate children, we should not also distinguish, especially when private rights are not involved as in questions of citizenship. Abandoning the Ching Leng doctrine upholds the equal protection clause of the Constitution. Abandoning the Ching Leng doctrine is also in compliance with our treaty obligation under the Covenant on the Rights of Children mandating States Parties to eliminate all forms of discrimination based on the status of children, save of course those distinctions prescribed in the Constitution itself like the reservation of certain high public offices to natural-born citizens.
Abandoning the Ching Leng doctrine does not mean, however, that an illegitimate child of a Filipino father and an alien mother automatically becomes a Philippine citizen at birth. We have repeatedly ruled that an illegitimate child does not enjoy any presumption of blood relation to the alleged father until filiation or blood relation is proved as provided by law.[37] Article 887 of the Civil Code expressly provides that "[I]n all cases of illegitimate children, their filiation must be duly proved." The illegitimate child becomes a Philippine citizen only from the time he establishes his blood relation to the Filipino father. If the blood relation is established after the birth of the illegitimate child, then the child is not a natural-born Philippine citizen since an act is required after birth to acquire or perfect his Philippine citizenship.
Conclusion
In conclusion, private respondent Fernando Poe, Jr. is not a natural-born Philippine citizen since there is no showing that his alleged Filipino father Allan F. Poe acknowledged him at birth. The Constitution defines a natural-born citizen as a Philippine citizen "from birth without having to perform any act to acquire or perfect" his Philippine citizenship. Private respondent Fernando Poe, Jr. does not meet this citizenship qualification.
Therefore, I vote to grant the petition of Victorino X. Fornier. However, I vote to dismiss the petitions of Maria Jeanette C. Tecson, Felix B. Desiderio, Jr. and Zoilo Antonio Velez on the ground that their direct petitions invoking the jurisdiction of the Court under Section 4, paragraph 7, Article VII of the Constitution are premature, there being no election contest in this case.

Footnote
1 Tan Chong vs. The Secretary of Labor, 45 O.G. No. 31, 1269.
2 Sec. 2. Mode of review. – A judgment or final order or resolution of the Commission on Elections and the Commission on Audit may be brought by the aggrieved party to the Supreme Court on certiorari under Rule 65, except as hereinafter provided. (Rule 64)
3 Sec. 1. Petition for certiorari. – When any tribunal, board or officer exercising judicial or quasi-judicial functions has acted without or in excess of its or his jurisdiction, or with grave abuse of discretion amounting to lack or excess of jurisdiction, and there is no appeal, or any plain, speedy, and adequate remedy in the ordinary course of law, a person aggrieved thereby may file a verified petition in the proper court, alleging the facts with certainty and praying that judgment be rendered annulling or modifying the proceedings of such tribunal, board or officer, and granting such incidental reliefs as law and justice may require.
The petition shall be accompanied by a certified true copy of the judgment, order or resolution subject thereof, copies of all pleadings and documents relevant and pertinent thereto, and a sworn certification of non-forum shopping as provided in the third paragraph of section 3, Rule 46. (Rule 65)
4 17 SCRA 761.
5 See Rule 66, Revised Rules of Civil Procedure.
6 The Politics of Aristotle, edited and translated by Ernest Barker, Oxford University Press, London, 1946. at p. 93.
7 Id., at 95.
8 Introduction, "The Conditions of Citizenship," edited by Bart Van Steenbergen, Sage Publications, London, Thousand Oaks, New Delhi (1994).
9 Ibid.
10 Ibid.
11 Ibid.
12 Ibid.
13 Under the codified Novisima Recopilacion promulgated in Spain in 1805, the following were considered denizens (vecinos) " all foreigners who obtained the privilege of naturalization, those who were born in these kingdoms, those who residing therein may be converted to the holy Catholic faith; those, being self-supporting, established their domicile therein; and in the case of a foreign woman who married a native man, she thereby becomes subject to the same laws and acquires the same domicile as her husband; those who establish themselves in the country by acquiring real property; those who have trade or profession and go there to practice the same; also those who practice some mechanical trade therein or keep a retail store;....those who reside for a period of ten years in a home of his own; and also those foreigners who, in accordance with the common law, royal orders and other laws of the kingdoms, may have become naturalized or acquired residence therein. (Leon T. Garcia, "The Problems of Citizenship in the Philippines," Rex Bookstore, 1949, at p. 4)
14 Garcia, supra., at p. 3.
15 Justices Malcolm, Recto and Florentino Torres believed that the law was effective in the Philippines. Those who entertained the contrary view were Justices Imperial and Villareal. (Garcia, supra., at 4.).
16 Garcia, supra., pp. 5-6.
17 Under the Royal Decree of August 23, 1868, the following were considered foreigners --- (1) The legitimate and recognized natural children of a father who belongs to another independent state, and the unrecognized and natural and other illegitimate children of a mother belonging to another State born outside of the Spanish dominions, (2) The children specified in the preceding paragraph, born in the Spanish dominions or on board Spanish vessels on the high seas if they do not, on attaining the age of majority fixed in the laws of the Kingdom, elect Spanish nationality, (3) Those being Spaniards, acquire another nationality, as well by renouncing the first as by accepting employment, from another government without the authority of the sovereign and (4) The woman who contracts marriage with a subject of another State. (Garcia, supra., pp. 6-7)
18 Under the law, the following were foreigners (a) All persons born of foreign parents outside of the Spanish territory; (b) Those born outside of the Spanish territory of foreign fathers and Spanish mothers while they do not claim Spanish nationality, (3) Those born in Spanish territory of foreign parents or foreign fathers and Spanish mothers while they do not make that claim, (4) Spaniards who may have lost their nationality, (5) Those born outside of the Spanish territory of parents who may have lost their Spanish nationality; and (6), the Spanish woman married to a foreigner. (Garcia, supra., p. 7)
19 Velayo, infra., p. 11.
20 Article 17, The Civil Code of Spain.
21 Garcia, supra, pp. 6-7.
22 Ramon M. Velayo, "Philippine Citizenship And Naturalization," Central Book Supply, Manila (1965), pp. 22-23.
23 Ibid., p. 30.
24 Garcia, supra, at pp. 31-32.
25 Garcia, supra, pp. 23-26.
26 Velayo, supra, p. 31
27 Section 2, Article IV, 1987 Constitution.
28 Per amicus curiae Joaquin G. Bernas, SJ.
29 23 Phil 315 (1912).
30 Supra., which held that jus soli was never applied in the Philippines.
31 Antillon vs. Barcelon, 37 Phil 148.
32 Article 131 Old Civil Code.
33 Dayrit vs. Piccio, 92 Phil 729.
34 17 SCRA 788.
35 95 Phil 167.
36 125 SCRA 835.
37 Vicente J. Fransisco, Civil Code of the Philippines, Bk I, 1953 at p. 5
38 29 Phil 606.
39 Article 16. Real property as well as personal property is subject to the law of the country where it is situated.
However, intestate and testamentary successions, both with respect to the order of succession and to the amount of successional rights and to the intrinsic validity of testamentary provisions, shall be regulated by the national law of the person whose succession is under consideration, whatever may be the nature of the property and regardless of the country wherein said property may be found.
Article 17. The forms and solemnities of contracts, wills, and other public instruments shall be governed by the laws of the country in which they are executed.
When the acts referred to are executed before the diplomatic or consular officials of the Republic of the Philippines in a foreign country, the solemnities established by Philippine laws shall be observed in their execution.
Prohibitive laws concerning persons, their acts or property, and those which have for their object public order, public policy and good customs, shall not be rendered ineffective by laws or judgments promulgated, or by determinations or conventions agreed upon in a foreign country.
Article 815. When a Filipino is in a foreign country, he is authorized to make a will in any of the forms established by the law of the country in which he may be. Such will may be probated in the Philippines.
Article 816. The will of an alien who is abroad produces effect in the Philippines if made with the formalities prescribed by the law of the place in which he resides, or according to the formalities observed in his country, or in conformity with those which this Code prescribes.
Article 817. A will made in the Philippines by a citizen or subject of another country, which is executed in accordance with the law of the country of which he is a citizen or subject, and which might be proved and allowed by the law of his own country, shall have the same effect as if executed according to the laws of the Philippines.
Article 819. Wills, prohibited by the preceding article, executed by Filipinos in a foreign country shall not be valid in the Philippines, even though authorized by the laws of the country where they may have been executed.
Article 1039. Capacity to succeed is governed by the law of the nation of the decedent.
40 Article 10. Marriages between Filipino citizens abroad may be solemnized by a consul general, consul or vice-consul of the Republic of the Philippines. The issuance of the marriage license and the duties of the local civil registrar and of the solemnizing officer with regard to the celebration of marriage shall be performed by said consular official.
Article 21. When either or both of the contracting parties are citizens of a foreign country, it shall be necessary for them before a marriage license can be obtained, to submit a certificate of legal capacity to contract marriage, issued by their respective diplomatic or consular officials.
Stateless persons or refugees from other countries shall, in lieu of the certificate of legal capacity herein required, submit an affidavit stating the circumstances showing such capacity to contract marriage.
Article 26. x x x
Where a marriage between a Filipino citizen and a foreigner is validly celebrated and a divorce is thereafter validly obtained abroad by the alien spouse capacitating him or her to remarry, the Filipino spouse shall have capacity to remarry under Philippine law.
Article 80. In the absence of a contrary stipulation in the marriage settlements, the property relations of the spouses shall be governed by Philippine laws, regardless of the place of the celebration of the marriage and their residence. This rule shall not apply:
(1) Where both spouses are aliens;
(2) With respect to the extrinsic validity of contracts affecting property not situated in the Philippines and executed in the country where the property is located; and
(3) With respect to the extrinsic validity of contracts entered into in the Philippines but affecting property situated in a foreign country whose laws require different formalities for their extrinsic validity.
41 See Ching Leng vs. Galang, L-11931, October 1958, unreported.
42 354 SCRA 17.
43 20 SCRA 562, Paa vs. Chan 21 SCRA 753.
44 82 Phil. 771.
45 91 Phil. 914, unreported.
46 21 SCRA 753.
47 68 Phil 12.
48 248 SCRA 300 (1995)
CARPIO J.:

1 FPJ’s Memorandum before the Comelec dated 4 February 2004, pp. 2-3.
2 Ibid., pp. 4-5.
3 FPJ’s Answer before the Comelec dated 16 January 2004, pp. 5 and 21.
4 Article 108, Spanish Civil Code; Article 255, New Civil Code; Article 165, Family Code.
5 Section 69 of Batas Pambansa Blg. 881 and Section 5 of Republic Act No. 6646. See Bautista v. Commission on Elections, 359 Phil. 1 (1998); Fernandez v. Fernandez, et al., 146 Phil. 605 (1970).
6 Section 6, Article IX-A and Section 3, Article IX-C of the Constitution.
7 Romualdez Marcos v. Comelec, G.R. No. 119976, 13 September 1995, 248 SCRA 300; Aquino v. Comelec, 130 Phil. 275 (1968).
8 Frivaldo v. Comelec, G.R. No. 8793, 23 June 1989, 174 SCRA 245.
9 Section 2, Article VII of the Constitution.
10 United States v. Lim Bin, 36 Phil. 924 (1917); Tan Chong v. Secretary of Labor, 79 Phil. 249 (1947).
11 Section 2, Article IV of the 1987 Constitution; Section 4, Article III of the 1973 Constitution.
12 The only exception is that specified in Section 1(3), Article IV of the 1987 Constitution, which means that there can be no other exception to this rule.
13 See note 4.
14 Sebbano v. Aragon, 22 Phil. 10 (1912).
15 Article 887, New Civil Code.
16 Section 1(3), Article III of the 1935 Constitution.
17 Supra, note 3 at pp. 8-9.
18 Department of Justice Opinion No. 49 dated 3 May 1995.
19 Section 2, Article VIII of the 1987 Constitution.
20 Under the United States Constitution, the President, who is the commander-in-chief of the armed forces, is required to be a natural-born citizen. The rationale for this is to insure that no foreigner or former foreigner becomes the commander-in-chief of the armed forces. This is culled from John Jay’s letter to George Washington when the qualifications for President of the United States were being discussed in the constitutional convention. See Jill A. Pryor, The Natural-Born Citizen Clause and Presidential Eligibility: An Approach for Resolving Two Hundred Years of Uncertainty, Yale Law Review, April 1988.
21 Under Section 2, Article VII of the 1987 Constitution, the minimum age requirement to run for President is forty years of age.
22 Article 131 of the Spanish Civil Code provides: "The acknowledgment of a natural child must be made in the record of birth, in a will, or in some other public document."
23 128 Phil. 815 (1967).
24 Article 123 of the Spanish Civil Code provides: "Legitimation shall produce its effects in any case from the date of the marriage."
25 No. L-11931, 27 October 1958, 104 Phil. 1058 (unreported).
26 Supra, note 3 at p. 14.
27 Article IX, Treaty of Paris, 10 December 1898; Section 4, Philippine Bill of 1902.
28 Ibid.
29 Emerald Garments Manufacturing Corp. v. Court of Appeals, G.R. No. 100098, 29 December 1995, 251 SCRA 600.
30 Paragraph 1, Article 7, Convention on the Rights of the Child.
31 Paragraph 2, ibid.
32 See Daniel Levy, U.S. Citizenship and Naturalization Handbook, December 2003, stating in Chapter 4:
4:29. OUT-OF-WEDLOCK CHILDREN
Out-of-wedlock children born to a U.S. citizen mother between May 24, 1934 and January 13, 1941, acquired U.S. citizenship at birth through the general provision of the 1934 act, which granted U.S. citizenship to children born abroad to a U.S. citizen parent. Since the natural father in such cases is not considered the legal father, the retention requirement when one parent is a non-citizen does not apply. The citizenship acquired under this provision is not affected by subsequent legitimation of the child.
33 Supra, note 25.
34 Section 15 of the Naturalization Law provided as follows:
Minor children of persons naturalized under this law who have been born in the Philippines shall be considered citizens thereof.
A foreign-born minor child, if dwelling in the Philippines at the time of the naturalization of the parent, shall automatically become a Philippine citizen, and a foreign-born minor child, who is not in the Philippines at the time the parent is naturalized, shall be deemed a Philippine citizen only during his minority, unless he begins to reside permanently in the Philippines when still a minor, in which case, he will continue to be a Philippine citizen even after becoming of age.
A child born outside of the Philippines after the naturalization of his parent, shall be considered a Philippine citizen, unless within one year after reaching the age of majority, he fails to register himself as a Philippine citizen at the American Consulate of the country where he resides, and to take the necessary oath of allegiance.
35 Supra, note 23.
36 128 Phil. 923 (1967).
37 Reyes, et al. v. CA, et. al., 220 Phil. 116 (1985); Colorado v. Court of Appeals, G.R. No. L-39948, 28 February 1985, 135 SCRA 47; Berciles, et al. v. GSIS, et al., 213 Phil. 48 (1984); Divinagracia v. Rovira, G.R. No. L-42615, 10 August 1976, 72 SCRA 307; Noble v. Noble, 125 Phil. 123 (1966); Rep. of the Phils. v. WCC and Espiritu, 121 Phil. 261 (1965); Paulino v. Paulino, G.R. No. L-15091, 28 December 1961, 3 SCRA 730.

GRACE POE V. COMELEC: How did a foundling who was grown in the U.S. qualify as a senator in the Philippines?

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EN BANC
March 8, 2016
G.R. No. 221697
MARY GRACE NATIVIDAD S. POE-LLAMANZARES, Petitioners,
vs.
COMELEC AND ESTRELLA C. ELAMPARO Respondents.
x - - - - - - - - - - - - - - - - - - - - - - - x
G.R. No. 221698-700
MARY GRACE NATIVIDAD S. POE-LLAMANZARES, Petitioners,
vs.
COMELEC, FRANCISCO S. TATAD, ANTONIO P. CONTRERAS AND AMADO D. VALDEZ Respondents.
D E C I S I O N
PEREZ, J.:
Before the Court are two consolidated petitions under Rule 64 in relation to Rule 65 of the Rules of Court with extremely urgent application for an ex parte issuance of temporary restraining order/status quo ante order and/or writ of preliminary injunction assailing the following: (1) 1 December 2015 Resolution of the Commission on Elections (COMELEC) Second Division; (2) 23 December 2015 Resolution of the COMELEC En Banc, in SPA No. 15-001 (DC); (3) 11 December 2015 Resolution of the COMELEC First Division; and ( 4) 23 December 2015 Resolution of the COMELEC En Banc, in SPA No. 15-002 (DC), SPA No. 15-007 (DC) and SPA No. 15-139 (DC) for having been issued without jurisdiction or with grave abuse of discretion amounting to lack or excess of jurisdiction.
The Facts
Mary Grace Natividad S. Poe-Llamanzares (petitioner) was found abandoned as a newborn infant in the Parish Church of Jaro, Iloilo by a certain Edgardo Militar (Edgardo) on 3 September 1968. Parental care and custody over petitioner was passed on by Edgardo to his relatives, Emiliano Militar (Emiliano) and his wife. Three days after, 6 September 1968, Emiliano reported and registered petitioner as a foundling with the Office of the Civil Registrar of Iloilo City (OCR-Iloilo). In her Foundling Certificate and Certificate of Live Birth, the petitioner was given the name "Mary Grace Natividad Contreras Militar." 1
When petitioner was five (5) years old, celebrity spouses Ronald Allan Kelley Poe (a.k.a. Fenando Poe, Jr.) and Jesusa Sonora Poe (a.k.a. Susan Roces) filed a petition for her adoption with the Municipal Trial Court (MTC) of San Juan City. On 13 May 1974, the trial court granted their petition and ordered that petitioner's name be changed from "Mary Grace Natividad Contreras Militar" to "Mary Grace Natividad Sonora Poe." Although necessary notations were made by OCR-Iloilo on petitioner's foundling certificate reflecting the court decreed adoption,2 the petitioner's adoptive mother discovered only sometime in the second half of 2005 that the lawyer who handled petitioner's adoption failed to secure from the OCR-Iloilo a new Certificate of Live Birth indicating petitioner's new name and the name of her adoptive parents. 3 Without delay, petitioner's mother executed an affidavit attesting to the lawyer's omission which she submitted to the OCR-Iloilo. On 4 May 2006, OCR-Iloilo issued a new Certificate of Live Birth in the name of Mary Grace Natividad Sonora Poe.4
Having reached the age of eighteen (18) years in 1986, petitioner registered as a voter with the local COMELEC Office in San Juan City. On 13 December 1986, she received her COMELEC Voter's Identification Card for Precinct No. 196 in Greenhills, San Juan, Metro Manila.5
On 4 April 1988, petitioner applied for and was issued Philippine Passport No. F9272876 by the Department of Foreign Affairs (DFA). Subsequently, on 5 April 1993 and 19 May 1998, she renewed her Philippine passport and respectively secured Philippine Passport Nos. L881511 and DD156616.7
Initially, the petitioner enrolled and pursued a degree in Development Studies at the University of the Philippines8 but she opted to continue her studies abroad and left for the United States of America (U.S.) in 1988. Petitioner graduated in 1991 from Boston College in Chestnuts Hill, Massachusetts where she earned her Bachelor of Arts degree in Political Studies.9
On 27 July 1991, petitioner married Teodoro Misael Daniel V. Llamanzares (Llamanzares), a citizen of both the Philippines and the U.S., at Sanctuario de San Jose Parish in San Juan City. 10 Desirous of being with her husband who was then based in the U.S., the couple flew back to the U.S. two days after the wedding ceremony or on 29 July 1991. 11
While in the U.S., the petitioner gave birth to her eldest child Brian Daniel (Brian) on 16 April 1992.12 Her two daughters Hanna MacKenzie (Hanna) and Jesusa Anika (Anika) were both born in the Philippines on 10 July 1998 and 5 June 2004, respectively. 13
On 18 October 2001, petitioner became a naturalized American citizen. 14 She obtained U.S. Passport No. 017037793 on 19 December 2001. 15
On 8 April 2004, the petitioner came back to the Philippines together with Hanna to support her father's candidacy for President in the May 2004 elections. It was during this time that she gave birth to her youngest daughter Anika. She returned to the U.S. with her two daughters on 8 July 2004. 16
After a few months, specifically on 13 December 2004, petitioner rushed back to the Philippines upon learning of her father's deteriorating medical condition. 17 Her father slipped into a coma and eventually expired. The petitioner stayed in the country until 3 February 2005 to take care of her father's funeral arrangements as well as to assist in the settlement of his estate.18
According to the petitioner, the untimely demise of her father was a severe blow to her entire family. In her earnest desire to be with her grieving mother, the petitioner and her husband decided to move and reside permanently in the Philippines sometime in the first quarter of 2005.19 The couple began preparing for their resettlement including notification of their children's schools that they will be transferring to Philippine schools for the next semester;20coordination with property movers for the relocation of their household goods, furniture and cars from the U.S. to the Philippines;21 and inquiry with Philippine authorities as to the proper procedure to be followed in bringing their pet dog into the country.22 As early as 2004, the petitioner already quit her job in the U.S.23
Finally, petitioner came home to the Philippines on 24 May 200524 and without delay, secured a Tax Identification Number from the Bureau of Internal Revenue. Her three (3) children immediately followed25 while her husband was forced to stay in the U.S. to complete pending projects as well as to arrange the sale of their family home there.26
The petitioner and her children briefly stayed at her mother's place until she and her husband purchased a condominium unit with a parking slot at One Wilson Place Condominium in San Juan City in the second half of 2005.27 The corresponding Condominium Certificates of Title covering the unit and parking slot were issued by the Register of Deeds of San Juan City to petitioner and her husband on 20 February 2006.28 Meanwhile, her children of school age began attending Philippine private schools.
On 14 February 2006, the petitioner made a quick trip to the U.S. to supervise the disposal of some of the family's remaining household belongings.29 She travelled back to the Philippines on 11 March 2006.30
In late March 2006, petitioner's husband officially informed the U.S. Postal Service of the family's change and abandonment of their address in the U.S.31 The family home was eventually sold on 27 April 2006.32 Petitioner's husband resigned from his job in the U.S. in April 2006, arrived in the country on 4 May 2006 and started working for a major Philippine company in July 2006.33
In early 2006, petitioner and her husband acquired a 509-square meter lot in Corinthian Hills, Quezon City where they built their family home34 and to this day, is where the couple and their children have been residing.35 A Transfer Certificate of Title covering said property was issued in the couple's name by the Register of Deeds of Quezon City on 1June 2006.
On 7 July 2006, petitioner took her Oath of Allegiance to the Republic of the Philippines pursuant to Republic Act (R.A.) No. 9225 or the Citizenship Retention and Re-acquisition Act of 2003.36 Under the same Act, she filed with the Bureau of Immigration (BI) a sworn petition to reacquire Philippine citizenship together with petitions for derivative citizenship on behalf of her three minor children on 10 July 2006.37 As can be gathered from its 18 July 2006 Order, the BI acted favorably on petitioner's petitions and declared that she is deemed to have reacquired her Philippine citizenship while her children are considered as citizens of the Philippines.38 Consequently, the BI issued Identification Certificates (ICs) in petitioner's name and in the names of her three (3) children. 39
Again, petitioner registered as a voter of Barangay Santa Lucia, San Juan City on 31 August 2006.40 She also secured from the DFA a new Philippine Passport bearing the No. XX4731999.41 This passport was renewed on 18 March 2014 and she was issued Philippine Passport No. EC0588861 by the DFA.42
On 6 October 2010, President Benigno S. Aquino III appointed petitioner as Chairperson of the Movie and Television Review and Classification Board (MTRCB).43 Before assuming her post, petitioner executed an "Affidavit of Renunciation of Allegiance to the United States of America and Renunciation of American Citizenship" before a notary public in Pasig City on 20 October 2010,44 in satisfaction of the legal requisites stated in Section 5 of R.A. No. 9225.45 The following day, 21 October 2010 petitioner submitted the said affidavit to the BI46 and took her oath of office as Chairperson of the MTRCB.47 From then on, petitioner stopped using her American passport.48
On 12 July 2011, the petitioner executed before the Vice Consul of the U.S. Embassy in Manila an "Oath/Affirmation of Renunciation of Nationality of the United States."49 On that day, she accomplished a sworn questionnaire before the U.S. Vice Consul wherein she stated that she had taken her oath as MTRCB Chairperson on 21 October 2010 with the intent, among others, of relinquishing her American citizenship.50 In the same questionnaire, the petitioner stated that she had resided outside of the U.S., specifically in the Philippines, from 3 September 1968 to 29 July 1991 and from May 2005 to present.51
On 9 December 2011, the U.S. Vice Consul issued to petitioner a "Certificate of Loss of Nationality of the United States" effective 21 October 2010.52
On 2 October 2012, the petitioner filed with the COMELEC her Certificate of Candidacy (COC) for Senator for the 2013 Elections wherein she answered "6 years and 6 months" to the question "Period of residence in the Philippines before May 13, 2013."53 Petitioner obtained the highest number of votes and was proclaimed Senator on 16 May 2013. 54
On 19 December 2013, petitioner obtained Philippine Diplomatic Passport No. DE0004530. 55
On 15 October 2015, petitioner filed her COC for the Presidency for the May 2016 Elections. 56 In her COC, the petitioner declared that she is a natural-born citizen and that her residence in the Philippines up to the day before 9 May 2016 would be ten (10) years and eleven (11) months counted from 24 May 2005.57 The petitioner attached to her COC an "Affidavit Affirming Renunciation of U.S.A. Citizenship" subscribed and sworn to before a notary public in Quezon City on 14 October 2015. 58
Petitioner's filing of her COC for President in the upcoming elections triggered the filing of several COMELEC cases against her which were the subject of these consolidated cases.
Origin of Petition for Certiorari in G.R. No. 221697
A day after petitioner filed her COC for President, Estrella Elamparo (Elamparo) filed a petition to deny due course or cancel said COC which was docketed as SPA No. 15-001 (DC) and raffled to the COMELEC Second Division.59She is convinced that the COMELEC has jurisdiction over her petition.60 Essentially, Elamparo's contention is that petitioner committed material misrepresentation when she stated in her COC that she is a natural-born Filipino citizen and that she is a resident of the Philippines for at least ten (10) years and eleven (11) months up to the day before the 9 May 2016 Elections.61
On the issue of citizenship, Elamparo argued that petitioner cannot be considered as a natural-born Filipino on account of the fact that she was a foundling.62 Elamparo claimed that international law does not confer natural-born status and Filipino citizenship on foundlings.63 Following this line of reasoning, petitioner is not qualified to apply for reacquisition of Filipino citizenship under R.A. No. 9225 for she is not a natural-born Filipino citizen to begin with.64Even assuming arguendo that petitioner was a natural-born Filipino, she is deemed to have lost that status when she became a naturalized American citizen.65 According to Elamparo, natural-born citizenship must be continuous from birth.66
On the matter of petitioner's residency, Elamparo pointed out that petitioner was bound by the sworn declaration she made in her 2012 COC for Senator wherein she indicated that she had resided in the country for only six ( 6) years and six ( 6) months as of May 2013 Elections. Elamparo likewise insisted that assuming arguendo that petitioner is qualified to regain her natural-born status under R.A. No. 9225, she still fell short of the ten-year residency requirement of the Constitution as her residence could only be counted at the earliest from July 2006, when she reacquired Philippine citizenship under the said Act. Also on the assumption that petitioner is qualified to reacquire lost Philippine Citizenship, Elamparo is of the belief that she failed to reestablish her domicile in the Philippines.67
Petitioner seasonably filed her Answer wherein she countered that:
(1) the COMELEC did not have jurisdiction over Elamparo's petition as it was actually a petition for quo warranto which could only be filed if Grace Poe wins in the Presidential elections, and that the Department of Justice (DOJ) has primary jurisdiction to revoke the BI's July 18, 2006 Order;
(2) the petition failed to state a cause of action because it did not contain allegations which, if hypothetically admitted, would make false the statement in her COC that she is a natural-born Filipino citizen nor was there any allegation that there was a willful or deliberate intent to misrepresent on her part;
(3) she did not make any material misrepresentation in the COC regarding her citizenship and residency qualifications for:
a. the 1934 Constitutional Convention deliberations show that foundlings were considered citizens;
b. foundlings are presumed under international law to have been born of citizens of the place where they are found;
c. she reacquired her natural-born Philippine citizenship under the provisions of R.A. No. 9225;
d. she executed a sworn renunciation of her American citizenship prior to the filing of her COC for President in the May 9, 2016 Elections and that the same is in full force and effect and has not been withdrawn or recanted;
e. the burden was on Elamparo in proving that she did not possess natural-born status;
f. residence is a matter of evidence and that she reestablished her domicile in the Philippines as early as May 24, 2005;
g. she could reestablish residence even before she reacquired natural-born citizenship under R.A. No. 9225;
h. statement regarding the period of residence in her 2012 COC for Senator was an honest mistake, not binding and should give way to evidence on her true date of reacquisition of domicile;
i. Elamparo's petition is merely an action to usurp the sovereign right of the Filipino people to decide a purely political question, that is, should she serve as the country's next leader.68
After the parties submitted their respective Memoranda, the petition was deemed submitted for resolution.
On 1 December 2015, the COMELEC Second Division promulgated a Resolution finding that petitioner's COC, filed for the purpose of running for the President of the Republic of the Philippines in the 9 May 2016 National and Local Elections, contained material representations which are false. The fallo of the aforesaid Resolution reads:
WHEREFORE, in view of all the foregoing considerations, the instant Petition to Deny Due Course to or Cancel Certificate of Candidacy is hereby GRANTED. Accordingly, the Certificate of Candidacy for President of the Republic of the Philippines in the May 9, 2016 National and Local Elections filed by respondent Mary Grace Natividad Sonora Poe Llamanzares is hereby CANCELLED.69
Motion for Reconsideration of the 1 December 2015 Resolution was filed by petitioner which the COMELEC En Banc resolved in its 23 December 2015 Resolution by denying the same.70
Origin of Petition for Certiorari in G.R. Nos. 221698-700
This case stemmed from three (3) separate petitions filed by Francisco S. Tatad (Tatad), Antonio P. Contreras (Contreras) and Amado D. Valdez (Valdez) against petitioner before the COMELEC which were consolidated and raffled to its First Division.
In his petition to disqualify petitioner under Rule 25 of the COMELEC Rules of Procedure,71 docketed as SPA No. 15-002 (DC), Tatad alleged that petitioner lacks the requisite residency and citizenship to qualify her for the Presidency.72
Tatad theorized that since the Philippines adheres to the principle of jus sanguinis, persons of unknown parentage, particularly foundlings, cannot be considered natural-born Filipino citizens since blood relationship is determinative of natural-born status.73 Tatad invoked the rule of statutory construction that what is not included is excluded. He averred that the fact that foundlings were not expressly included in the categories of citizens in the 193 5 Constitution is indicative of the framers' intent to exclude them.74 Therefore, the burden lies on petitioner to prove that she is a natural-born citizen.75
Neither can petitioner seek refuge under international conventions or treaties to support her claim that foundlings have a nationality.76 According to Tatad, international conventions and treaties are not self-executory and that local legislations are necessary in order to give effect to treaty obligations assumed by the Philippines.77 He also stressed that there is no standard state practice that automatically confers natural-born status to foundlings.78
Similar to Elamparo's argument, Tatad claimed that petitioner cannot avail of the option to reacquire Philippine citizenship under R.A. No. 9225 because it only applies to former natural-born citizens and petitioner was not as she was a foundling.79
Referring to petitioner's COC for Senator, Tatad concluded that she did not comply with the ten (10) year residency requirement.80 Tatad opined that petitioner acquired her domicile in Quezon City only from the time she renounced her American citizenship which was sometime in 2010 or 2011.81 Additionally, Tatad questioned petitioner's lack of intention to abandon her U.S. domicile as evinced by the fact that her husband stayed thereat and her frequent trips to the U.S.82
In support of his petition to deny due course or cancel the COC of petitioner, docketed as SPA No. 15-139 (DC), Valdez alleged that her repatriation under R.A. No. 9225 did not bestow upon her the status of a natural-born citizen.83 He advanced the view that former natural-born citizens who are repatriated under the said Act reacquires only their Philippine citizenship and will not revert to their original status as natural-born citizens.84
He further argued that petitioner's own admission in her COC for Senator that she had only been a resident of the Philippines for at least six (6) years and six (6) months prior to the 13 May 2013 Elections operates against her. Valdez rejected petitioner's claim that she could have validly reestablished her domicile in the Philippines prior to her reacquisition of Philippine citizenship. In effect, his position was that petitioner did not meet the ten (10) year residency requirement for President.
Unlike the previous COMELEC cases filed against petitioner, Contreras' petition,85 docketed as SPA No. 15-007 (DC), limited the attack to the residency issue. He claimed that petitioner's 2015 COC for President should be cancelled on the ground that she did not possess the ten-year period of residency required for said candidacy and that she made false entry in her COC when she stated that she is a legal resident of the Philippines for ten (10) years and eleven (11) months by 9 May 2016.86 Contreras contended that the reckoning period for computing petitioner's residency in the Philippines should be from 18 July 2006, the date when her petition to reacquire Philippine citizenship was approved by the BI.87 He asserted that petitioner's physical presence in the country before 18 July 2006 could not be valid evidence of reacquisition of her Philippine domicile since she was then living here as an American citizen and as such, she was governed by the Philippine immigration laws.88
In her defense, petitioner raised the following arguments:
First, Tatad's petition should be dismissed outright for failure to state a cause of action. His petition did not invoke grounds proper for a disqualification case as enumerated under Sections 12 and 68 of the Omnibus Election Code.89 Instead, Tatad completely relied on the alleged lack of residency and natural-born status of petitioner which are not among the recognized grounds for the disqualification of a candidate to an elective office.90
Second, the petitions filed against her are basically petitions for quo warranto as they focus on establishing her ineligibility for the Presidency.91 A petition for quo warranto falls within the exclusive jurisdiction of the Presidential Electoral Tribunal (PET) and not the COMELEC.92
Third, the burden to prove that she is not a natural-born Filipino citizen is on the respondents.93 Otherwise stated, she has a presumption in her favor that she is a natural-born citizen of this country.
Fourth, customary international law dictates that foundlings are entitled to a nationality and are presumed to be citizens of the country where they are found.94 Consequently, the petitioner is considered as a natural-born citizen of the Philippines.95
Fifth, she claimed that as a natural-born citizen, she has every right to be repatriated under R.A. No. 9225 or the right to reacquire her natural-born status.96 Moreover, the official acts of the Philippine Government enjoy the presumption of regularity, to wit: the issuance of the 18 July 2006 Order of the BI declaring her as natural-born citizen, her appointment as MTRCB Chair and the issuance of the decree of adoption of San Juan RTC.97 She believed that all these acts reinforced her position that she is a natural-born citizen of the Philippines.98
Sixth, she maintained that as early as the first quarter of 2005, she started reestablishing her domicile of choice in the Philippines as demonstrated by her children's resettlement and schooling in the country, purchase of a condominium unit in San Juan City and the construction of their family home in Corinthian Hills.99
Seventh, she insisted that she could legally reestablish her domicile of choice in the Philippines even before she renounced her American citizenship as long as the three determinants for a change of domicile are complied with.100She reasoned out that there was no requirement that renunciation of foreign citizenship is a prerequisite for the acquisition of a new domicile of choice.101
Eighth, she reiterated that the period appearing in the residency portion of her COC for Senator was a mistake made in good faith.102
In a Resolution103 promulgated on 11 December 2015, the COMELEC First Division ruled that petitioner is not a natural-born citizen, that she failed to complete the ten (10) year residency requirement, and that she committed material misrepresentation in her COC when she declared therein that she has been a resident of the Philippines for a period of ten (10) years and eleven (11) months as of the day of the elections on 9 May 2016. The COMELEC First Division concluded that she is not qualified for the elective position of President of the Republic of the Philippines. The dispositive portion of said Resolution reads:
WHEREFORE, premises considered, the Commission RESOLVED, as it hereby RESOLVES, to GRANT the Petitions and cancel the Certificate of Candidacy of MARY GRACE NATIVIDAD SONORA POE-LLAMANZARES for the elective position of President of the Republic of the Philippines in connection with the 9 May 2016 Synchronized Local and National Elections.
Petitioner filed a motion for reconsideration seeking a reversal of the COMELEC First Division's Resolution. On 23 December 2015, the COMELEC En Banc issued a Resolution denying petitioner's motion for reconsideration.
Alarmed by the adverse rulings of the COMELEC, petitioner instituted the present petitions for certiorari with urgent prayer for the issuance of an ex parte temporary restraining order/status quo ante order and/or writ of preliminary injunction. On 28 December 2015, temporary restraining orders were issued by the Court enjoining the COMELEC and its representatives from implementing the assailed COMELEC Resolutions until further orders from the Court. The Court also ordered the consolidation of the two petitions filed by petitioner in its Resolution of 12 January 2016. Thereafter, oral arguments were held in these cases.
The Court GRANTS the petition of Mary Grace Natividad S. Poe-Llamanzares and to ANNUL and SET ASIDE the:
1. Resolution dated 1 December 2015 rendered through its Second Division, in SPA No. 15-001 (DC), entitled Estrella C. Elamparo, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares.
2. Resolution dated 11 December 2015, rendered through its First Division, in the consolidated cases SPA No. 15-002 (DC) entitled Francisco S. Tatad, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares, respondent; SPA No. 15-007 (DC) entitled Antonio P. Contreras, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares, respondent; and SPA No. 15-139 (DC) entitled Amado D. Valdez, petitioner, v. Mary Grace Natividad Sonora Poe-Llamanzares, respondent.
3. Resolution dated 23 December 2015 of the Commission En Banc, upholding the 1 December 2015 Resolution of the Second Division.
4. Resolution dated 23 December 2015 of the Commission En Banc, upholding the 11 December 2015 Resolution of the First Division.
The procedure and the conclusions from which the questioned Resolutions emanated are tainted with grave abuse of discretion amounting to lack of jurisdiction. The petitioner is a QUALIFIED CANDIDATE for President in the 9 May 2016 National Elections.
The issue before the COMELEC is whether or not the COC of petitioner should be denied due course or cancelled "on the exclusive ground" that she made in the certificate a false material representation. The exclusivity of the ground should hedge in the discretion of the COMELEC and restrain it from going into the issue of the qualifications of the candidate for the position, if, as in this case, such issue is yet undecided or undetermined by the proper authority. The COMELEC cannot itself, in the same cancellation case, decide the qualification or lack thereof of the candidate.
We rely, first of all, on the Constitution of our Republic, particularly its provisions in Article IX, C, Section 2:
Section 2. The Commission on Elections shall exercise the following powers and functions:
(1) Enforce and administer all laws and regulations relative to the conduct of an election, plebiscite, initiative, referendum, and recall.
(2) Exercise exclusive original jurisdiction over all contests relating to the elections, returns, and qualifications of all elective regional, provincial, and city officials, and appellate jurisdiction over all contests involving elective municipal officials decided by trial courts of general jurisdiction, or involving elective barangay officials decided by trial courts of limited jurisdiction.
Decisions, final orders, or rulings of the Commission on election contests involving elective municipal and barangay offices shall be final, executory, and not appealable.
(3) Decide, except those involving the right to vote, all questions affecting elections, including determination of the number and location of polling places, appointment of election officials and inspectors, and registration of voters.
(4) Deputize, with the concurrence of the President, law enforcement agencies and instrumentalities of the Government, including the Armed Forces of the Philippines, for the exclusive purpose of ensuring free, orderly, honest, peaceful, and credible elections.
(5) Register, after sufficient publication, political parties, organizations, or coalitions which, in addition to other requirements, must present their platform or program of government; and accredit citizens' arms of the Commission on Elections. Religious denominations and sects shall not be registered. Those which seek to achieve their goals through violence or unlawful means, or refuse to uphold and adhere to this Constitution, or which are supported by any foreign government shall likewise be refused registration.
Financial contributions from foreign governments and their agencies to political parties, organizations, coalitions, or candidates related to elections constitute interference in national affairs, and, when accepted, shall be an additional ground for the cancellation of their registration with the Commission, in addition to other penalties that may be prescribed by law.
(6) File, upon a verified complaint, or on its own initiative, petitions in court for inclusion or exclusion of voters; investigate and, where appropriate, prosecute cases of violations of election laws, including acts or omissions constituting election frauds, offenses, and malpractices.
(7) Recommend to the Congress effective measures to minimize election spending, including limitation of places where propaganda materials shall be posted, and to prevent and penalize all forms of election frauds, offenses, malpractices, and nuisance candidacies.
(8) Recommend to the President the removal of any officer or employee it has deputized, or the imposition of any other disciplinary action, for violation or disregard of, or disobedience to its directive, order, or decision.
(9) Submit to the President and the Congress a comprehensive report on the conduct of each election, plebiscite, initiative, referendum, or recall.
Not any one of the enumerated powers approximate the exactitude of the provisions of Article VI, Section 17 of the same basic law stating that:
The Senate and the House of Representatives shall each have an Electoral Tribunal which shall be the sole judge of all contests relating to the election, returns, and qualifications of their respective Members. Each Electoral Tribunal shall be composed of nine Members, three of whom shall be Justices of the Supreme Court to be designated by the Chief Justice, and the remaining six shall be Members of the Senate or the House of Representatives, as the case may be, who shall be chosen on the basis of proportional representation from the political parties and the parties or organizations registered under the party-list system represented therein. The senior Justice in the Electoral Tribunal shall be its Chairman.
or of the last paragraph of Article VII, Section 4 which provides that:
The Supreme Court, sitting en banc, shall be the sole judge of all contests relating to the election, returns, and qualifications of the President or Vice-President, and may promulgate its rules for the purpose.
The tribunals which have jurisdiction over the question of the qualifications of the President, the Vice-President, Senators and the Members of the House of Representatives was made clear by the Constitution. There is no such provision for candidates for these positions.
Can the COMELEC be such judge?
The opinion of Justice Vicente V. Mendoza in Romualdez-Marcos v. Commission on Elections,104 which was affirmatively cited in the En Banc decision in Fermin v. COMELEC105 is our guide. The citation in Fermin reads:
Apparently realizing the lack of an authorized proceeding for declaring the ineligibility of candidates, the COMELEC amended its rules on February 15, 1993 so as to provide in Rule 25 § 1, the following:
Grounds for disqualification. - Any candidate who does not possess all the qualifications of a candidate as provided for by the Constitution or by existing law or who commits any act declared by law to be grounds for disqualification may be disqualified from continuing as a candidate.
The lack of provision for declaring the ineligibility of candidates, however, cannot be supplied by a mere rule. Such an act is equivalent to the creation of a cause of action which is a substantive matter which the COMELEC, in the exercise of its rule-making power under Art. IX, A, §6 of the Constitution, cannot do it. It is noteworthy that the Constitution withholds from the COMELEC even the power to decide cases involving the right to vote, which essentially involves an inquiry into qualifications based on age, residence and citizenship of voters. [Art. IX, C, §2(3)]
The assimilation in Rule 25 of the COMELEC rules of grounds for ineligibility into grounds for disqualification is contrary to the evident intention of the law. For not only in their grounds but also in their consequences are proceedings for "disqualification" different from those for a declaration of "ineligibility.""Disqualification" proceedings, as already stated, are based on grounds specified in § 12 and §68 of the Omnibus Election Code and in §40 of the Local Government Code and are for the purpose of barring an individual from becoming a candidate or from continuing as a candidate for public office. In a word, their purpose is to eliminate a candidate from the race either from the start or during its progress. "Ineligibility," on the other hand, refers to the lack of the qualifications prescribed in the Constitution or the statutes for holding public office and the purpose of the proceedings for declaration of ineligibility is to remove the incumbent from office.
Consequently, that an individual possesses the qualifications for a public office does not imply that he is not disqualified from becoming a candidate or continuing as a candidate for a public office and vice versa. We have this sort of dichotomy in our Naturalization Law. (C.A. No. 473) That an alien has the qualifications prescribed in §2 of the Law does not imply that he does not suffer from any of [the] disqualifications provided in §4.
Before we get derailed by the distinction as to grounds and the consequences of the respective proceedings, the importance of the opinion is in its statement that "the lack of provision for declaring the ineligibility of candidates, however, cannot be supplied by a mere rule". Justice Mendoza lectured in Romualdez-Marcos that:
Three reasons may be cited to explain the absence of an authorized proceeding for determining before election the qualifications of a candidate.
First is the fact that unless a candidate wins and is proclaimed elected, there is no necessity for determining his eligibility for the office. In contrast, whether an individual should be disqualified as a candidate for acts constituting election offenses (e.g., vote buying, over spending, commission of prohibited acts) is a prejudicial question which should be determined lest he wins because of the very acts for which his disqualification is being sought. That is why it is provided that if the grounds for disqualification are established, a candidate will not be voted for; if he has been voted for, the votes in his favor will not be counted; and if for some reason he has been voted for and he has won, either he will not be proclaimed or his proclamation will be set aside.
Second is the fact that the determination of a candidates' eligibility, e.g., his citizenship or, as in this case, his domicile, may take a long time to make, extending beyond the beginning of the term of the office. This is amply demonstrated in the companion case (G.R. No. 120265, Agapito A. Aquino v. COMELEC) where the determination of Aquino's residence was still pending in the COMELEC even after the elections of May 8, 1995. This is contrary to the summary character proceedings relating to certificates of candidacy. That is why the law makes the receipt of certificates of candidacy a ministerial duty of the COMELEC and its officers. The law is satisfied if candidates state in their certificates of candidacy that they are eligible for the position which they seek to fill, leaving the determination of their qualifications to be made after the election and only in the event they are elected. Only in cases involving charges of false representations made in certificates of candidacy is the COMELEC given jurisdiction.
Third is the policy underlying the prohibition against pre-proclamation cases in elections for President, Vice President, Senators and members of the House of Representatives. (R.A. No. 7166, § 15) The purpose is to preserve the prerogatives of the House of Representatives Electoral Tribunal and the other Tribunals as "sole judges" under the Constitution of the election, returns and qualifications of members of Congress of the President and Vice President, as the case may be.106
To be sure, the authoritativeness of the Romualdez pronouncements as reiterated in Fermin, led to the amendment through COMELEC Resolution No. 9523, on 25 September 2012 of its Rule 25. This, the 15 February1993 version of Rule 25, which states that:
Grounds for disqualification. -Any candidate who does not possess all the qualifications of a candidate as provided for by the Constitution or by existing law or who commits any act declared by law to be grounds for disqualification may be disqualified from continuing as a candidate.107
was in the 2012 rendition, drastically changed to:
Grounds. - Any candidate who, in action or protest in which he is a party, is declared by final decision of a competent court, guilty of, or found by the Commission to be suffering from any disqualification provided by law or the Constitution.
A Petition to Disqualify a Candidate invoking grounds for a Petition to Deny to or Cancel a Certificate of Candidacy or Petition to Declare a Candidate as a Nuisance Candidate, or a combination thereof, shall be summarily dismissed.
Clearly, the amendment done in 2012 is an acceptance of the reality of absence of an authorized proceeding for determining before election the qualifications of candidate. Such that, as presently required, to disqualify a candidate there must be a declaration by a final judgment of a competent court that the candidate sought to be disqualified "is guilty of or found by the Commission to be suffering from any disqualification provided by law or the Constitution."
Insofar as the qualification of a candidate is concerned, Rule 25 and Rule 23 are flipsides of one to the other. Both do not allow, are not authorizations, are not vestment of jurisdiction, for the COMELEC to determine the qualification of a candidate. The facts of qualification must beforehand be established in a prior proceeding before an authority properly vested with jurisdiction. The prior determination of qualification may be by statute, by executive order or by a judgment of a competent court or tribunal.
If a candidate cannot be disqualified without a prior finding that he or she is suffering from a disqualification "provided by law or the Constitution," neither can the certificate of candidacy be cancelled or denied due course on grounds of false representations regarding his or her qualifications, without a prior authoritative finding that he or she is not qualified, such prior authority being the necessary measure by which the falsity of the representation can be found. The only exception that can be conceded are self-evident facts of unquestioned or unquestionable veracity and judicial confessions. Such are, anyway, bases equivalent to prior decisions against which the falsity of representation can be determined.
The need for a predicate finding or final pronouncement in a proceeding under Rule 23 that deals with, as in this case, alleged false representations regarding the candidate's citizenship and residence, forced the COMELEC to rule essentially that since foundlings108 are not mentioned in the enumeration of citizens under the 1935 Constitution,109 they then cannot be citizens. As the COMELEC stated in oral arguments, when petitioner admitted that she is a foundling, she said it all. This borders on bigotry. Oddly, in an effort at tolerance, the COMELEC, after saying that it cannot rule that herein petitioner possesses blood relationship with a Filipino citizen when "it is certain that such relationship is indemonstrable," proceeded to say that "she now has the burden to present evidence to prove her natural filiation with a Filipino parent."
The fact is that petitioner's blood relationship with a Filipino citizen is DEMONSTRABLE.
At the outset, it must be noted that presumptions regarding paternity is neither unknown nor unaccepted in Philippine Law. The Family Code of the Philippines has a whole chapter on Paternity and Filiation.110 That said, there is more than sufficient evider1ce that petitioner has Filipino parents and is therefore a natural-born Filipino. Parenthetically, the burden of proof was on private respondents to show that petitioner is not a Filipino citizen. The private respondents should have shown that both of petitioner's parents were aliens. Her admission that she is a foundling did not shift the burden to her because such status did not exclude the possibility that her parents were Filipinos, especially as in this case where there is a high probability, if not certainty, that her parents are Filipinos.
The factual issue is not who the parents of petitioner are, as their identities are unknown, but whether such parents are Filipinos. Under Section 4, Rule 128:
Sect. 4. Relevancy, collateral matters - Evidence must have such a relation to the fact in issue as to induce belief in its existence or no-existence. Evidence on collateral matters shall not be allowed, except when it tends in any reasonable degree to establish the probability of improbability of the fact in issue.
The Solicitor General offered official statistics from the Philippine Statistics Authority (PSA)111 that from 1965 to 1975, the total number of foreigners born in the Philippines was 15,986 while the total number of Filipinos born in the country was 10,558,278. The statistical probability that any child born in the Philippines in that decade is natural-born Filipino was 99.83%. For her part, petitioner presented census statistics for Iloilo Province for 1960 and 1970, also from the PSA. In 1960, there were 962,532 Filipinos and 4,734 foreigners in the province; 99.62% of the population were Filipinos. In 1970, the figures were 1,162,669 Filipinos and 5,304 foreigners, or 99.55%. Also presented were figures for the child producing ages (15-49). In 1960, there were 230,528 female Filipinos as against 730 female foreigners or 99.68%. In the same year, there were 210,349 Filipino males and 886 male aliens, or 99.58%. In 1970, there were 270,299 Filipino females versus 1, 190 female aliens, or 99.56%. That same year, there were 245,740 Filipino males as against only 1,165 male aliens or 99.53%. COMELEC did not dispute these figures. Notably, Commissioner Arthur Lim admitted, during the oral arguments, that at the time petitioner was found in 1968, the majority of the population in Iloilo was Filipino.112
Other circumstantial evidence of the nationality of petitioner's parents are the fact that she was abandoned as an infant in a Roman Catholic Church in Iloilo City.1âwphi1 She also has typical Filipino features: height, flat nasal bridge, straight black hair, almond shaped eyes and an oval face.
There is a disputable presumption that things have happened according to the ordinary course of nature and the ordinary habits of life.113 All of the foregoing evidence, that a person with typical Filipino features is abandoned in Catholic Church in a municipality where the population of the Philippines is overwhelmingly Filipinos such that there would be more than a 99% chance that a child born in the province would be a Filipino, would indicate more than ample probability if not statistical certainty, that petitioner's parents are Filipinos. That probability and the evidence on which it is based are admissible under Rule 128, Section 4 of the Revised Rules on Evidence.
To assume otherwise is to accept the absurd, if not the virtually impossible, as the norm. In the words of the Solicitor General:
Second. It is contrary to common sense because foreigners do not come to the Philippines so they can get pregnant and leave their newborn babies behind. We do not face a situation where the probability is such that every foundling would have a 50% chance of being a Filipino and a 50% chance of being a foreigner. We need to frame our questions properly. What are the chances that the parents of anyone born in the Philippines would be foreigners? Almost zero. What are the chances that the parents of anyone born in the Philippines would be Filipinos? 99.9%.
According to the Philippine Statistics Authority, from 2010 to 2014, on a yearly average, there were 1,766,046 children born in the Philippines to Filipino parents, as opposed to 1,301 children in the Philippines of foreign parents. Thus, for that sample period, the ratio of non-Filipino children to natural born Filipino children is 1:1357. This means that the statistical probability that any child born in the Philippines would be a natural born Filipino is 99.93%.
From 1965 to 1975, the total number of foreigners born in the Philippines is 15,986 while the total number of Filipinos born in the Philippines is 15,558,278. For this period, the ratio of non-Filipino children is 1:661. This means that the statistical probability that any child born in the Philippines on that decade would be a natural born Filipino is 99.83%.
We can invite statisticians and social anthropologists to crunch the numbers for us, but I am confident that the statistical probability that a child born in the Philippines would be a natural born Filipino will not be affected by whether or not the parents are known. If at all, the likelihood that a foundling would have a Filipino parent might even be higher than 99.9%. Filipinos abandon their children out of poverty or perhaps, shame. We do not imagine foreigners abandoning their children here in the Philippines thinking those infants would have better economic opportunities or believing that this country is a tropical paradise suitable for raising abandoned children. I certainly doubt whether a foreign couple has ever considered their child excess baggage that is best left behind.
To deny full Filipino citizenship to all foundlings and render them stateless just because there may be a theoretical chance that one among the thousands of these foundlings might be the child of not just one, but two, foreigners is downright discriminatory, irrational, and unjust. It just doesn't make any sense. Given the statistical certainty - 99.9% - that any child born in the Philippines would be a natural born citizen, a decision denying foundlings such status is effectively a denial of their birthright. There is no reason why this Honorable Court should use an improbable hypothetical to sacrifice the fundamental political rights of an entire class of human beings. Your Honor, constitutional interpretation and the use of common sense are not separate disciplines.
As a matter of law, foundlings are as a class, natural-born citizens. While the 1935 Constitution's enumeration is silent as to foundlings, there is no restrictive language which would definitely exclude foundlings either. Because of silence and ambiguity in the enumeration with respect to foundlings, there is a need to examine the intent of the framers. In Nitafan v. Commissioner of Internal Revenue,114 this Court held that:
The ascertainment of that intent is but in keeping with the fundamental principle of constitutional construction that the intent of the framers of the organic law and of the people adopting it should be given effect. The primary task in constitutional construction is to ascertain and thereafter assure the realization of the purpose of the framers and of the people in the adoption of the Constitution. It may also be safely assumed that the people in ratifying the Constitution were guided mainly by the explanation offered by the framers.115
As pointed out by petitioner as well as the Solicitor General, the deliberations of the 1934 Constitutional Convention show that the framers intended foundlings to be covered by the enumeration. The following exchange is recorded:
Sr. Rafols: For an amendment. I propose that after subsection 2, the following is inserted: "The natural children of a foreign father and a Filipino mother not recognized by the father.
x x x x
President:
[We] would like to request a clarification from the proponent of the amendment. The gentleman refers to natural children or to any kind of illegitimate children?
Sr. Rafols:
To all kinds of illegitimate children. It also includes natural children of unknown parentage, natural or illegitimate children of unknown parents.
Sr. Montinola:
For clarification. The gentleman said "of unknown parents." Current codes consider them Filipino, that is, I refer to the Spanish Code wherein all children of unknown parentage born in Spanish territory are considered Spaniards, because the presumption is that a child of unknown parentage is the son of a Spaniard. This may be applied in the Philippines in that a child of unknown parentage born in the Philippines is deemed to be Filipino, and there is no need ...
Sr. Rafols:
There is a need, because we are relating the conditions that are [required] to be Filipino.
Sr. Montinola:
But that is the interpretation of the law, therefore, there is no [more] need for amendment.
Sr. Rafols:
The amendment should read thus:
"Natural or illegitimate of a foreign father and a Filipino mother recognized by one, or the children of unknown parentage."
Sr. Briones:
The amendment [should] mean children born in the Philippines of unknown parentage.
Sr. Rafols:
The son of a Filipina to a Foreigner, although this [person] does not recognize the child, is not unknown.
President:
Does the gentleman accept the amendment or not?
Sr. Rafols:
I do not accept the amendment because the amendment would exclude the children of a Filipina with a foreigner who does not recognize the child. Their parentage is not unknown and I think those of overseas Filipino mother and father [whom the latter] does not recognize, should also be considered as Filipinos.
President:
The question in order is the amendment to the amendment from the Gentleman from Cebu, Mr. Briones.
Sr. Busion:
Mr. President, don't you think it would be better to leave this matter in the hands of the Legislature?
Sr. Roxas:
Mr. President, my humble opinion is that these cases are few and far in between, that the constitution need [not] refer to them. By international law the principle that children or people born in a country of unknown parents are citizens in this nation is recognized, and it is not necessary to include a provision on the subject exhaustively.116
Though the Rafols amendment was not carried out, it was not because there was any objection to the notion that persons of "unknown parentage" are not citizens but only because their number was not enough to merit specific mention. Such was the account,117 cited by petitioner, of delegate and constitution law author Jose Aruego who said:
During the debates on this provision, Delegate Rafols presented an amendment to include as Filipino citizens the illegitimate children with a foreign father of a mother who was a citizen of the Philippines, and also foundlings; but this amendment was defeated primarily because the Convention believed that the cases, being too few to warrant the inclusion of a provision in the Constitution to apply to them, should be governed by statutory legislation. Moreover, it was believed that the rules of international law were already clear to the effect that illegitimate children followed the citizenship of the mother, and that foundlings followed the nationality of the place where they were found, thereby making unnecessary the inclusion in the Constitution of the proposed amendment.
This explanation was likewise the position of the Solicitor General during the 16 February 2016 Oral Arguments:
We all know that the Rafols proposal was rejected. But note that what was declined was the proposal for a textual and explicit recognition of foundlings as Filipinos. And so, the way to explain the constitutional silence is by saying that it was the view of Montinola and Roxas which prevailed that there is no more need to expressly declare foundlings as Filipinos.
Obviously, it doesn't matter whether Montinola's or Roxas' views were legally correct. Framers of a constitution can constitutionalize rules based on assumptions that are imperfect or even wrong. They can even overturn existing rules. This is basic. What matters here is that Montinola and Roxas were able to convince their colleagues in the convention that there is no more need to expressly declare foundlings as Filipinos because they are already impliedly so recognized.
In other words, the constitutional silence is fully explained in terms of linguistic efficiency and the avoidance of redundancy. The policy is clear: it is to recognize foundlings, as a class, as Filipinos under Art. IV, Section 1 (3) of the 1935 Constitution. This inclusive policy is carried over into the 1973 and 1987 Constitution. It is appropriate to invoke a famous scholar as he was paraphrased by Chief Justice Fernando: the constitution is not silently silent, it is silently vocal. 118
The Solicitor General makes the further point that the framers "worked to create a just and humane society," that "they were reasonable patriots and that it would be unfair to impute upon them a discriminatory intent against foundlings." He exhorts that, given the grave implications of the argument that foundlings are not natural-born Filipinos, the Court must search the records of the 1935, 1973 and 1987 Constitutions "for an express intention to deny foundlings the status of Filipinos. The burden is on those who wish to use the constitution to discriminate against foundlings to show that the constitution really intended to take this path to the dark side and inflict this across the board marginalization."
We find no such intent or language permitting discrimination against foundlings. On the contrary, all three Constitutions guarantee the basic right to equal protection of the laws. All exhort the State to render social justice. Of special consideration are several provisions in the present charter: Article II, Section 11 which provides that the "State values the dignity of every human person and guarantees full respect for human rights," Article XIII, Section 1 which mandates Congress to "give highest priority to the enactment of measures that protect and enhance the right of all the people to human dignity, reduce social, economic, and political inequalities x x x" and Article XV, Section 3 which requires the State to defend the "right of children to assistance, including proper care and nutrition, and special protection from all forms of neglect, abuse, cruelty, exploitation, and other conditions prejudicial to their development." Certainly, these provisions contradict an intent to discriminate against foundlings on account of their unfortunate status.
Domestic laws on adoption also support the principle that foundlings are Filipinos. These laws do not provide that adoption confers citizenship upon the adoptee. Rather, the adoptee must be a Filipino in the first place to be adopted. The most basic of such laws is Article 15 of the Civil Code which provides that "[l]aws relating to family rights, duties, status, conditions, legal capacity of persons are binding on citizens of the Philippines even though living abroad." Adoption deals with status, and a Philippine adoption court will have jurisdiction only if the adoptee is a Filipino. In Ellis and Ellis v. Republic,119 a child left by an unidentified mother was sought to be adopted by aliens. This Court said:
In this connection, it should be noted that this is a proceedings in rem, which no court may entertain unless it has jurisdiction, not only over the subject matter of the case and over the parties, but also over the res, which is the personal status of Baby Rose as well as that of petitioners herein. Our Civil Code (Art. 15) adheres to the theory that jurisdiction over the status of a natural person is determined by the latter's nationality. Pursuant to this theory, we have jurisdiction over the status of Baby Rose, she being a citizen of the Philippines, but not over the status of the petitioners, who are foreigners.120 (Underlining supplied)
Recent legislation is more direct. R.A. No. 8043 entitled "An Act Establishing the Rules to Govern the Inter-Country Adoption of Filipino Children and For Other Purposes" (otherwise known as the "Inter-Country Adoption Act of 1995"), R.A. No. 8552, entitled "An Act Establishing the Rules and Policies on the Adoption of Filipino Children and For Other Purposes" (otherwise known as the Domestic Adoption Act of 1998) and this Court's A.M. No. 02-6-02-SC or the "Rule on Adoption," all expressly refer to "Filipino children" and include foundlings as among Filipino children who may be adopted.
It has been argued that the process to determine that the child is a foundling leading to the issuance of a foundling certificate under these laws and the issuance of said certificate are acts to acquire or perfect Philippine citizenship which make the foundling a naturalized Filipino at best. This is erroneous. Under Article IV, Section 2 "Natural-born citizens are those who are citizens of the Philippines from birth without having to perform any act to acquire or perfect their Philippine citizenship." In the first place, "having to perform an act" means that the act must be personally done by the citizen. In this instance, the determination of foundling status is done not by the child but by the authorities.121 Secondly, the object of the process is the determination of the whereabouts of the parents, not the citizenship of the child. Lastly, the process is certainly not analogous to naturalization proceedings to acquire Philippine citizenship, or the election of such citizenship by one born of an alien father and a Filipino mother under the 1935 Constitution, which is an act to perfect it.
In this instance, such issue is moot because there is no dispute that petitioner is a foundling, as evidenced by a Foundling Certificate issued in her favor.122 The Decree of Adoption issued on 13 May 1974, which approved petitioner's adoption by Jesusa Sonora Poe and Ronald Allan Kelley Poe, expressly refers to Emiliano and his wife, Rosario Militar, as her "foundling parents," hence effectively affirming petitioner's status as a foundling.123
Foundlings are likewise citizens under international law. Under the 1987 Constitution, an international law can become part of the sphere of domestic law either by transformation or incorporation. The transformation method requires that an international law be transformed into a domestic law through a constitutional mechanism such as local legislation.124 On the other hand, generally accepted principles of international law, by virtue of the incorporation clause of the Constitution, form part of the laws of the land even if they do not derive from treaty obligations. Generally accepted principles of international law include international custom as evidence of a general practice accepted as law, and general principles of law recognized by civilized nations.125 International customary rules are accepted as binding as a result from the combination of two elements: the established, widespread, and consistent practice on the part of States; and a psychological element known as the opinionjuris sive necessitates (opinion as to law or necessity). Implicit in the latter element is a belief that the practice in question is rendered obligatory by the existence of a rule of law requiring it.126 "General principles of law recognized by civilized nations" are principles "established by a process of reasoning" or judicial logic, based on principles which are "basic to legal systems generally,"127 such as "general principles of equity, i.e., the general principles of fairness and justice," and the "general principle against discrimination" which is embodied in the "Universal Declaration of Human Rights, the International Covenant on Economic, Social and Cultural Rights, the International Convention on the Elimination of All Forms of Racial Discrimination, the Convention Against Discrimination in Education, the Convention (No. 111) Concerning Discrimination in Respect of Employment and Occupation."128 These are the same core principles which underlie the Philippine Constitution itself, as embodied in the due process and equal protection clauses of the Bill of Rights.129
Universal Declaration of Human Rights ("UDHR") has been interpreted by this Court as part of the generally accepted principles of international law and binding on the State.130 Article 15 thereof states:
1. Everyone has the right to a nationality.
2. No one shall be arbitrarily deprived of his nationality nor denied the right to change his nationality.
The Philippines has also ratified the UN Convention on the Rights of the Child (UNCRC). Article 7 of the UNCRC imposes the following obligations on our country:
Article 7
1. The child shall be registered immediately after birth and shall have the right from birth to a name, the right to acquire a nationality and as far as possible, the right to know and be cared for by his or her parents.
2. States Parties shall ensure the implementation of these rights in accordance with their national law and their obligations under the relevant international instruments in this field, in particular where the child would otherwise be stateless.
In 1986, the country also ratified the 1966 International Covenant on Civil and Political Rights (ICCPR). Article 24 thereof provide for the right of every child "to acquire a nationality:"
Article 24
1. Every child shall have, without any discrimination as to race, colour, sex, language, religion, national or social origin, property or birth, the right, to such measures of protection as are required by his status as a minor, on the part of his family, society and the State.
2. Every child shall be registered immediately after birth and shall have a name.
3. Every child has the right to acquire a nationality.
The common thread of the UDHR, UNCRC and ICCPR is to obligate the Philippines to grant nationality from birth and ensure that no child is stateless. This grant of nationality must be at the time of birth, and it cannot be accomplished by the application of our present naturalization laws, Commonwealth Act No. 473, as amended, and R.A. No. 9139, both of which require the applicant to be at least eighteen (18) years old.
The principles found in two conventions, while yet unratified by the Philippines, are generally accepted principles of international law. The first is Article 14 of the 1930 Hague Convention on Certain Questions Relating to the Conflict of Nationality Laws under which a foundling is presumed to have the "nationality of the country of birth," to wit:
Article 14
A child whose parents are both unknown shall have the nationality of the country of birth. If the child's parentage is established, its nationality shall be determined by the rules applicable in cases where the parentage is known.
A foundling is, until the contrary is proved, presumed to have been born on the territory of the State in which it was found. (Underlining supplied)
The second is the principle that a foundling is presumed born of citizens of the country where he is found, contained in Article 2 of the 1961 United Nations Convention on the Reduction of Statelessness:
Article 2
A foundling found in the territory of a Contracting State shall, in the absence of proof to the contrary, be considered to have been born within the territory of parents possessing the nationality of that State.
That the Philippines is not a party to the 1930 Hague Convention nor to the 1961 Convention on the Reduction of Statelessness does not mean that their principles are not binding. While the Philippines is not a party to the 1930 Hague Convention, it is a signatory to the Universal Declaration on Human Rights, Article 15(1) ofwhich131effectively affirms Article 14 of the 1930 Hague Convention. Article 2 of the 1961 "United Nations Convention on the Reduction of Statelessness" merely "gives effect" to Article 15(1) of the UDHR.132 In Razon v. Tagitis, 133 this Court noted that the Philippines had not signed or ratified the "International Convention for the Protection of All Persons from Enforced Disappearance." Yet, we ruled that the proscription against enforced disappearances in the said convention was nonetheless binding as a "generally accepted principle of international law." Razon v. Tagitis is likewise notable for declaring the ban as a generally accepted principle of international law although the convention had been ratified by only sixteen states and had not even come into force and which needed the ratification of a minimum of twenty states. Additionally, as petitioner points out, the Court was content with the practice of international and regional state organs, regional state practice in Latin America, and State Practice in the United States.
Another case where the number of ratifying countries was not determinative is Mijares v. Ranada, 134 where only four countries had "either ratified or acceded to"135 the 1966 "Convention on the Recognition and Enforcement of Foreign Judgments in Civil and Commercial Matters" when the case was decided in 2005. The Court also pointed out that that nine member countries of the European Common Market had acceded to the Judgments Convention. The Court also cited U.S. laws and jurisprudence on recognition of foreign judgments. In all, only the practices of fourteen countries were considered and yet, there was pronouncement that recognition of foreign judgments was widespread practice.
Our approach in Razon and Mijares effectively takes into account the fact that "generally accepted principles of international law" are based not only on international custom, but also on "general principles of law recognized by civilized nations," as the phrase is understood in Article 38.1 paragraph (c) of the ICJ Statute. Justice, fairness, equity and the policy against discrimination, which are fundamental principles underlying the Bill of Rights and which are "basic to legal systems generally,"136 support the notion that the right against enforced disappearances and the recognition of foreign judgments, were correctly considered as "generally accepted principles of international law" under the incorporation clause.
Petitioner's evidence137 shows that at least sixty countries in Asia, North and South America, and Europe have passed legislation recognizing foundlings as its citizen. Forty-two (42) of those countries follow the jus sanguinis regime. Of the sixty, only thirty-three (33) are parties to the 1961 Convention on Statelessness; twenty-six (26) are not signatories to the Convention. Also, the Chief Justice, at the 2 February 2016 Oral Arguments pointed out that in 166 out of 189 countries surveyed (or 87.83%), foundlings are recognized as citizens. These circumstances, including the practice of jus sanguinis countries, show that it is a generally accepted principle of international law to presume foundlings as having been born of nationals of the country in which the foundling is found.
Current legislation reveals the adherence of the Philippines to this generally accepted principle of international law. In particular, R.A. No. 8552, R.A. No. 8042 and this Court's Rules on Adoption, expressly refer to "Filipino children." In all of them, foundlings are among the Filipino children who could be adopted. Likewise, it has been pointed that the DFA issues passports to foundlings. Passports are by law, issued only to citizens. This shows that even the executive department, acting through the DFA, considers foundlings as Philippine citizens.
Adopting these legal principles from the 1930 Hague Convention and the 1961 Convention on Statelessness is rational and reasonable and consistent with the jus sanguinis regime in our Constitution. The presumption of natural-born citizenship of foundlings stems from the presumption that their parents are nationals of the Philippines. As the empirical data provided by the PSA show, that presumption is at more than 99% and is a virtual certainty.
In sum, all of the international law conventions and instruments on the matter of nationality of foundlings were designed to address the plight of a defenseless class which suffers from a misfortune not of their own making. We cannot be restrictive as to their application if we are a country which calls itself civilized and a member of the community of nations. The Solicitor General's warning in his opening statement is relevant:
.... the total effect of those documents is to signify to this Honorable Court that those treaties and conventions were drafted because the world community is concerned that the situation of foundlings renders them legally invisible. It would be tragically ironic if this Honorable Court ended up using the international instruments which seek to protect and uplift foundlings a tool to deny them political status or to accord them second-class citizenship.138
The COMELEC also ruled139 that petitioner's repatriation in July 2006 under the provisions of R.A. No. 9225 did not result in the reacquisition of natural-born citizenship. The COMELEC reasoned that since the applicant must perform an act, what is reacquired is not "natural-born" citizenship but only plain "Philippine citizenship."
The COMELEC's rule arrogantly disregards consistent jurisprudence on the matter of repatriation statutes in general and of R.A. No. 9225 in particular.
In the seminal case of Bengson Ill v. HRET, 140 repatriation was explained as follows:
Moreover, repatriation results in the recovery of the original nationality. This means that a naturalized Filipino who lost his citizenship will be restored to his prior status as a naturalized Filipino citizen. On the other hand, if he was originally a natural-born citizen before he lost his Philippine citizenship, he will be restored to his former status as a natural-born Filipino.
R.A. No. 9225 is a repatriation statute and has been described as such in several cases. They include Sobejana-Condon v. COMELEC141 where we described it as an "abbreviated repatriation process that restores one's Filipino citizenship x x x." Also included is Parreno v. Commission on Audit,142 which cited Tabasa v. Court of Appeals,143where we said that "[t]he repatriation of the former Filipino will allow him to recover his natural-born citizenship. Parreno v. Commission on Audit144 is categorical that "if petitioner reacquires his Filipino citizenship (under R.A. No. 9225), he will ... recover his natural-born citizenship."
The COMELEC construed the phrase "from birth" in the definition of natural citizens as implying "that natural-born citizenship must begin at birth and remain uninterrupted and continuous from birth." R.A. No. 9225 was obviously passed in line with Congress' sole prerogative to determine how citizenship may be lost or reacquired. Congress saw it fit to decree that natural-born citizenship may be reacquired even if it had been once lost. It is not for the COMELEC to disagree with the Congress' determination.
More importantly, COMELEC's position that natural-born status must be continuous was already rejected in Bengson III v. HRET145 where the phrase "from birth" was clarified to mean at the time of birth: "A person who at the time of his birth, is a citizen of a particular country, is a natural-born citizen thereof." Neither is "repatriation" an act to "acquire or perfect" one's citizenship. In Bengson III v. HRET, this Court pointed out that there are only two types of citizens under the 1987 Constitution: natural-born citizen and naturalized, and that there is no third category for repatriated citizens:
It is apparent from the enumeration of who are citizens under the present Constitution that there are only two classes of citizens: (1) those who are natural-born and (2) those who are naturalized in accordance with law. A citizen who is not a naturalized Filipino, ie., did not have to undergo the process of naturalization to obtain Philippine citizenship, necessarily is a natural-born Filipino. Noteworthy is the absence in said enumeration of a separate category for persons who, after losing Philippine citizenship, subsequently reacquire it. The reason therefor is clear: as to such persons, they would either be natural-born or naturalized depending on the reasons for the loss of their citizenship and the mode prescribed by the applicable law for the reacquisition thereof. As respondent Cruz was not required by law to go through naturalization proceedings in order to reacquire his citizenship, he is perforce a natural-born Filipino. As such, he possessed all the necessary qualifications to be elected as member of the House of Representatives.146
The COMELEC cannot reverse a judicial precedent. That is reserved to this Court. And while we may always revisit a doctrine, a new rule reversing standing doctrine cannot be retroactively applied. In Morales v. Court of Appeals and Jejomar Erwin S. Binay, Jr.,147 where we decreed reversed the condonation doctrine, we cautioned that it "should be prospective in application for the reason that judicial decisions applying or interpreting the laws of the Constitution, until reversed, shall form part of the legal system of the Philippines." This Court also said that "while the future may ultimately uncover a doctrine's error, it should be, as a general rule, recognized as good law prior to its abandonment. Consequently, the people's reliance thereupon should be respected."148
Lastly, it was repeatedly pointed out during the oral arguments that petitioner committed a falsehood when she put in the spaces for "born to" in her application for repatriation under R.A. No. 9225 the names of her adoptive parents, and this misled the BI to presume that she was a natural-born Filipino. It has been contended that the data required were the names of her biological parents which are precisely unknown.
This position disregards one important fact - petitioner was legally adopted. One of the effects of adoption is "to sever all legal ties between the biological parents and the adoptee, except when the biological parent is the spouse of the adoptee."149 Under R.A. No. 8552, petitioner was also entitled to an amended birth certificate "attesting to the fact that the adoptee is the child of the adopter(s)" and which certificate "shall not bear any notation that it is an amended issue."150 That law also requires that "[a]ll records, books, and papers relating to the adoption cases in the files of the court, the Department [of Social Welfare and Development], or any other agency or institution participating in the adoption proceedings shall be kept strictly confidential."151 The law therefore allows petitioner to state that her adoptive parents were her birth parents as that was what would be stated in her birth certificate anyway. And given the policy of strict confidentiality of adoption records, petitioner was not obligated to disclose that she was an adoptee.
Clearly, to avoid a direct ruling on the qualifications of petitioner, which it cannot make in the same case for cancellation of COC, it resorted to opinionatedness which is, moreover, erroneous. The whole process undertaken by COMELEC is wrapped in grave abuse of discretion.
On Residence
The tainted process was repeated in disposing of the issue of whether or not petitioner committed false material representation when she stated in her COC that she has before and until 9 May 2016 been a resident of the Philippines for ten (10) years and eleven (11) months.
Petitioner's claim that she will have been a resident for ten (10) years and eleven (11) months on the day before the 2016 elections, is true.
The Constitution requires presidential candidates to have ten (10) years' residence in the Philippines before the day of the elections. Since the forthcoming elections will be held on 9 May 2016, petitioner must have been a resident of the Philippines prior to 9 May 2016 for ten (10) years. In answer to the requested information of "Period of Residence in the Philippines up to the day before May 09, 2016," she put in "10 years 11 months" which according to her pleadings in these cases corresponds to a beginning date of 25 May 2005 when she returned for good from the U.S.
When petitioner immigrated to the U.S. in 1991, she lost her original domicile, which is the Philippines. There are three requisites to acquire a new domicile: 1. Residence or bodily presence in a new locality; 2. an intention to remain there; and 3. an intention to abandon the old domicile.152 To successfully effect a change of domicile, one must demonstrate an actual removal or an actual change of domicile; a bona fide intention of abandoning the former place of residence and establishing a new one and definite acts which correspond with the purpose. In other words, there must basically be animus manendi coupled with animus non revertendi. The purpose to remain in or at the domicile of choice must be for an indefinite period of time; the change of residence must be voluntary; and the residence at the place chosen for the new domicile must be actual.153
Petitioner presented voluminous evidence showing that she and her family abandoned their U.S. domicile and relocated to the Philippines for good. These evidence include petitioner's former U.S. passport showing her arrival on 24 May 2005 and her return to the Philippines every time she travelled abroad; e-mail correspondences starting in March 2005 to September 2006 with a freight company to arrange for the shipment of their household items weighing about 28,000 pounds to the Philippines; e-mail with the Philippine Bureau of Animal Industry inquiring how to ship their dog to the Philippines; school records of her children showing enrollment in Philippine schools starting June 2005 and for succeeding years; tax identification card for petitioner issued on July 2005; titles for condominium and parking slot issued in February 2006 and their corresponding tax declarations issued in April 2006; receipts dated 23 February 2005 from the Salvation Army in the U.S. acknowledging donation of items from petitioner's family; March 2006 e-mail to the U.S. Postal Service confirming request for change of address; final statement from the First American Title Insurance Company showing sale of their U.S. home on 27 April 2006; 12 July 2011 filled-up questionnaire submitted to the U.S. Embassy where petitioner indicated that she had been a Philippine resident since May 2005; affidavit from Jesusa Sonora Poe (attesting to the return of petitioner on 24 May 2005 and that she and her family stayed with affiant until the condominium was purchased); and Affidavit from petitioner's husband (confirming that the spouses jointly decided to relocate to the Philippines in 2005 and that he stayed behind in the U.S. only to finish some work and to sell the family home).
The foregoing evidence were undisputed and the facts were even listed by the COMELEC, particularly in its Resolution in the Tatad, Contreras and Valdez cases.
However, the COMELEC refused to consider that petitioner's domicile had been timely changed as of 24 May 2005. At the oral arguments, COMELEC Commissioner Arthur Lim conceded the presence of the first two requisites, namely, physical presence and animus manendi, but maintained there was no animus non-revertendi.154 The COMELEC disregarded the import of all the evidence presented by petitioner on the basis of the position that the earliest date that petitioner could have started residence in the Philippines was in July 2006 when her application under R.A. No. 9225 was approved by the BI. In this regard, COMELEC relied on Coquilla v. COMELEC,155 Japzon v. COMELEC156 and Caballero v. COMELEC. 157 During the oral arguments, the private respondents also added Reyes v. COMELEC.158 Respondents contend that these cases decree that the stay of an alien former Filipino cannot be counted until he/she obtains a permanent resident visa or reacquires Philippine citizenship, a visa-free entry under a balikbayan stamp being insufficient. Since petitioner was still an American (without any resident visa) until her reacquisition of citizenship under R.A. No. 9225, her stay from 24 May 2005 to 7 July 2006 cannot be counted.
But as the petitioner pointed out, the facts in these four cases are very different from her situation. In Coquilla v. COMELEC,159 the only evidence presented was a community tax certificate secured by the candidate and his declaration that he would be running in the elections. Japzon v. COMELEC160 did not involve a candidate who wanted to count residence prior to his reacquisition of Philippine citizenship. With the Court decreeing that residence is distinct from citizenship, the issue there was whether the candidate's acts after reacquisition sufficed to establish residence. In Caballero v. COMELEC, 161 the candidate admitted that his place of work was abroad and that he only visited during his frequent vacations. In Reyes v. COMELEC,162 the candidate was found to be an American citizen who had not even reacquired Philippine citizenship under R.A. No. 9225 or had renounced her U.S. citizenship. She was disqualified on the citizenship issue. On residence, the only proof she offered was a seven-month stint as provincial officer. The COMELEC, quoted with approval by this Court, said that "such fact alone is not sufficient to prove her one-year residency."
It is obvious that because of the sparse evidence on residence in the four cases cited by the respondents, the Court had no choice but to hold that residence could be counted only from acquisition of a permanent resident visa or from reacquisition of Philippine citizenship. In contrast, the evidence of petitioner is overwhelming and taken together leads to no other conclusion that she decided to permanently abandon her U.S. residence (selling the house, taking the children from U.S. schools, getting quotes from the freight company, notifying the U.S. Post Office of the abandonment of their address in the U.S., donating excess items to the Salvation Army, her husband resigning from U.S. employment right after selling the U.S. house) and permanently relocate to the Philippines and actually re-established her residence here on 24 May 2005 (securing T.I.N, enrolling her children in Philippine schools, buying property here, constructing a residence here, returning to the Philippines after all trips abroad, her husband getting employed here). Indeed, coupled with her eventual application to reacquire Philippine citizenship and her family's actual continuous stay in the Philippines over the years, it is clear that when petitioner returned on 24 May 2005 it was for good.
In this connection, the COMELEC also took it against petitioner that she had entered the Philippines visa-free as a balikbayan. A closer look at R.A. No. 6768 as amended, otherwise known as the "An Act Instituting a Balikbayan Program," shows that there is no overriding intent to treat balikbayans as temporary visitors who must leave after one year. Included in the law is a former Filipino who has been naturalized abroad and "comes or returns to the Philippines." 163 The law institutes a balikbayan program "providing the opportunity to avail of the necessary training to enable the balikbayan to become economically self-reliant members of society upon their return to the country"164in line with the government's "reintegration program."165 Obviously, balikbayans are not ordinary transients.
Given the law's express policy to facilitate the return of a balikbayan and help him reintegrate into society, it would be an unduly harsh conclusion to say in absolute terms that the balikbayan must leave after one year. That visa-free period is obviously granted him to allow him to re-establish his life and reintegrate himself into the community before he attends to the necessary formal and legal requirements of repatriation. And that is exactly what petitioner did - she reestablished life here by enrolling her children and buying property while awaiting the return of her husband and then applying for repatriation shortly thereafter.
No case similar to petitioner's, where the former Filipino's evidence of change in domicile is extensive and overwhelming, has as yet been decided by the Court. Petitioner's evidence of residence is unprecedented. There is no judicial precedent that comes close to the facts of residence of petitioner. There is no indication in Coquilla v. COMELEC,166 and the other cases cited by the respondents that the Court intended to have its rulings there apply to a situation where the facts are different. Surely, the issue of residence has been decided particularly on the facts-of-the case basis.
To avoid the logical conclusion pointed out by the evidence of residence of petitioner, the COMELEC ruled that petitioner's claim of residence of ten (10) years and eleven (11) months by 9 May 2016 in her 2015 COC was false because she put six ( 6) years and six ( 6) months as "period of residence before May 13, 2013" in her 2012 COC for Senator. Thus, according to the COMELEC, she started being a Philippine resident only in November 2006. In doing so, the COMELEC automatically assumed as true the statement in the 2012 COC and the 2015 COC as false.
As explained by petitioner in her verified pleadings, she misunderstood the date required in the 2013 COC as the period of residence as of the day she submitted that COC in 2012. She said that she reckoned residency from April-May 2006 which was the period when the U.S. house was sold and her husband returned to the Philippines. In that regard, she was advised by her lawyers in 2015 that residence could be counted from 25 May 2005.
Petitioner's explanation that she misunderstood the query in 2012 (period of residence before 13 May 2013) as inquiring about residence as of the time she submitted the COC, is bolstered by the change which the COMELEC itself introduced in the 2015 COC which is now "period of residence in the Philippines up to the day before May 09, 2016." The COMELEC would not have revised the query if it did not acknowledge that the first version was vague.
That petitioner could have reckoned residence from a date earlier than the sale of her U.S. house and the return of her husband is plausible given the evidence that she had returned a year before. Such evidence, to repeat, would include her passport and the school records of her children.
It was grave abuse of discretion for the COMELEC to treat the 2012 COC as a binding and conclusive admission against petitioner. It could be given in evidence against her, yes, but it was by no means conclusive. There is precedent after all where a candidate's mistake as to period of residence made in a COC was overcome by evidence. In Romualdez-Marcos v. COMELEC,167 the candidate mistakenly put seven (7) months as her period of residence where the required period was a minimum of one year. We said that "[i]t is the fact of residence, not a statement in a certificate of candidacy which ought to be decisive in determining whether or not an individual has satisfied the constitutions residency qualification requirement." The COMELEC ought to have looked at the evidence presented and see if petitioner was telling the truth that she was in the Philippines from 24 May 2005. Had the COMELEC done its duty, it would have seen that the 2012 COC and the 2015 COC both correctly stated the pertinent period of residency.
The COMELEC, by its own admission, disregarded the evidence that petitioner actually and physically returned here on 24 May 2005 not because it was false, but only because COMELEC took the position that domicile could be established only from petitioner's repatriation under R.A. No. 9225 in July 2006. However, it does not take away the fact that in reality, petitioner had returned from the U.S. and was here to stay permanently, on 24 May 2005. When she claimed to have been a resident for ten (10) years and eleven (11) months, she could do so in good faith.
For another, it could not be said that petitioner was attempting to hide anything. As already stated, a petition for quo warranto had been filed against her with the SET as early as August 2015. The event from which the COMELEC pegged the commencement of residence, petitioner's repatriation in July 2006 under R.A. No. 9225, was an established fact to repeat, for purposes of her senatorial candidacy.
Notably, on the statement of residence of six (6) years and six (6) months in the 2012 COC, petitioner recounted that this was first brought up in the media on 2 June 2015 by Rep. Tobias Tiangco of the United Nationalist Alliance. Petitioner appears to have answered the issue immediately, also in the press. Respondents have not disputed petitioner's evidence on this point. From that time therefore when Rep. Tiangco discussed it in the media, the stated period of residence in the 2012 COC and the circumstances that surrounded the statement were already matters of public record and were not hidden.
Petitioner likewise proved that the 2012 COC was also brought up in the SET petition for quo warranto. Her Verified Answer, which was filed on 1 September 2015, admitted that she made a mistake in the 2012 COC when she put in six ( 6) years and six ( 6) months as she misunderstood the question and could have truthfully indicated a longer period. Her answer in the SET case was a matter of public record. Therefore, when petitioner accomplished her COC for President on 15 October 2015, she could not be said to have been attempting to hide her erroneous statement in her 2012 COC for Senator which was expressly mentioned in her Verified Answer.
The facts now, if not stretched to distortion, do not show or even hint at an intention to hide the 2012 statement and have it covered by the 2015 representation. Petitioner, moreover, has on her side this Court's pronouncement that:
Concededly, a candidate's disqualification to run for public office does not necessarily constitute material misrepresentation which is the sole ground for denying due course to, and for the cancellation of, a COC. Further, as already discussed, the candidate's misrepresentation in his COC must not only refer to a material fact (eligibility and qualifications for elective office), but should evince a deliberate intent to mislead, misinform or hide a fact which would otherwise render a candidate ineligible. It must be made with an intention to deceive the electorate as to one's qualifications to run for public office.168
In sum, the COMELEC, with the same posture of infallibilism, virtually ignored a good number of evidenced dates all of which can evince animus manendi to the Philippines and animus non revertedi to the United States of America. The veracity of the events of coming and staying home was as much as dismissed as inconsequential, the focus having been fixed at the petitioner's "sworn declaration in her COC for Senator" which the COMELEC said "amounts to a declaration and therefore an admission that her residence in the Philippines only commence sometime in November 2006"; such that "based on this declaration, [petitioner] fails to meet the residency requirement for President." This conclusion, as already shown, ignores the standing jurisprudence that it is the fact of residence, not the statement of the person that determines residence for purposes of compliance with the constitutional requirement of residency for election as President. It ignores the easily researched matter that cases on questions of residency have been decided favorably for the candidate on the basis of facts of residence far less in number, weight and substance than that presented by petitioner.169 It ignores, above all else, what we consider as a primary reason why petitioner cannot be bound by her declaration in her COC for Senator which declaration was not even considered by the SET as an issue against her eligibility for Senator. When petitioner made the declaration in her COC for Senator that she has been a resident for a period of six (6) years and six (6) months counted up to the 13 May 2013 Elections, she naturally had as reference the residency requirements for election as Senator which was satisfied by her declared years of residence. It was uncontested during the oral arguments before us that at the time the declaration for Senator was made, petitioner did not have as yet any intention to vie for the Presidency in 2016 and that the general public was never made aware by petitioner, by word or action, that she would run for President in 2016. Presidential candidacy has a length-of-residence different from that of a senatorial candidacy. There are facts of residence other than that which was mentioned in the COC for Senator. Such other facts of residence have never been proven to be false, and these, to repeat include:
[Petitioner] returned to the Philippines on 24 May 2005. (petitioner's] husband however stayed in the USA to finish pending projects and arrange the sale of their family home.
Meanwhile [petitioner] and her children lived with her mother in San Juan City. [Petitioner] enrolled Brian in Beacon School in Taguig City in 2005 and Hanna in Assumption College in Makati City in 2005. Anika was enrolled in Learning Connection in San Juan in 2007, when she was already old enough to go to school.
In the second half of 2005, [petitioner] and her husband acquired Unit 7F of One Wilson Place Condominium in San Juan. [Petitioner] and her family lived in Unit 7F until the construction of their family home in Corinthian Hills was completed.
Sometime in the second half of 2005, [petitioner's] mother discovered that her former lawyer who handled [petitioner's] adoption in 1974 failed to secure from the Office of the Civil Registrar of Iloilo a new Certificate of Live Birth indicating [petitioner's] new name and stating that her parents are "Ronald Allan K. Poe" and "Jesusa L. Sonora."
In February 2006, [petitioner] travelled briefly to the US in order to supervise the disposal of some of the family's remaining household belongings.1a\^/phi1 [Petitioner] returned to the Philippines on 11 March 2006.
In late March 2006, [petitioner's] husband informed the United States Postal Service of the family's abandonment of their address in the US.
The family home in the US was sole on 27 April 2006.
In April 2006, [petitioner's] husband resigned from his work in the US. He returned to the Philippines on 4 May 2006 and began working for a Philippine company in July 2006.
In early 2006, [petitioner] and her husband acquired a vacant lot in Corinthian Hills, where they eventually built their family home.170
In light of all these, it was arbitrary for the COMELEC to satisfy its intention to let the case fall under the exclusive ground of false representation, to consider no other date than that mentioned by petitioner in her COC for Senator.
All put together, in the matter of the citizenship and residence of petitioner for her candidacy as President of the Republic, the questioned Resolutions of the COMELEC in Division and En Banc are, one and all, deadly diseased with grave abuse of discretion from root to fruits.
WHEREFORE, the petition is GRANTED. The Resolutions, to wit:
1. dated 1 December 2015 rendered through the COMELEC Second Division, in SPA No. 15-001 (DC), entitled Estrella C. Elamparo, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares, respondent, stating that:
[T]he Certificate of Candidacy for President of the Republic of the Philippines in the May 9, 2016 National and Local Elections filed by respondent Mary Grace Natividad Sonora Poe-Llamanzares is hereby GRANTED.
2. dated 11 December 2015, rendered through the COMELEC First Division, in the consolidated cases SPA No. 15-002 (DC) entitled Francisco S. Tatad, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares, respondent; SPA No. 15-007 (DC) entitled Antonio P. Contreras, petitioner, vs. Mary Grace Natividad Sonora Poe-Llamanzares, respondent; and SPA No. 15-139 (DC) entitled Amado D. Valdez, petitioner, v. Mary Grace Natividad Sonora Poe-Llamanzares, respondent; stating that:
WHEREFORE, premises considered, the Commission RESOLVED, as it hereby RESOLVES, to GRANT the petitions and cancel the Certificate of Candidacy of MARY GRACE NATIVIDAD SONORA POE-LLAMANZARES for the elective position of President of the Republic of the Philippines in connection with the 9 May 2016 Synchronized Local and National Elections.
3. dated 23 December 2015 of the COMELEC En Banc, upholding the 1 December 2015 Resolution of the Second Division stating that:
WHEREFORE, premises considered, the Commission RESOLVED, as it hereby RESOLVES, to DENY the Verified Motion for Reconsideration of SENATOR MARY GRACE NATIVIDAD SONORA POE-LLAMANZARES. The Resolution dated 11 December 2015 of the Commission First Division is AFFIRMED.
4. dated 23 December 2015 of the COMELEC En Banc, upholding the 11 December 2015 Resolution of the First Division.
are hereby ANNULED and SET ASIDE. Petitioner MARY GRACE NATIVIDAD SONORA POE-LLAMANZARES is DECLARED QUALIFIED to be a candidate for President in the National and Local Elections of 9 May 2016.
SO ORDERED.
JOSE PORTUGAL PEREZ
Associate Justice
WE CONCUR:
See Concurring Opinion
MARIA LOURDES P.A. SERENO
Chief Justice
See Dissenting Opinion
ANTONIO T. CARPIO
Associate Justice
Please see Concurring Opinion
PRESBITERO J. VELASCO, JR.
Associate Justice
Please see Separate Dissenting Opinion
TERESITA J. LEONARDO-DE CASTRO
Associate Justice
See Dissenting opinion
ARTURO D. BRION
Associate Justice
I join J. Caguioa's Opinion
DIOSDADO M. PERALTA
Associate Justice
LUCAS P. BERSAMIN
Associate Justice
Pls. see Dissenting Opinion
MARIANO C. DEL CASTILLO
Associate Justice
JOSE CATRAL MENDOZA
Associate Justice
(I concur with the Dissenting Opinion of Justice Perlas-Bernabe)
BIENVENIDO L. REYES
Associate Justice
See Dissenting Opinion
ESTELA M. PERLAS-BERNABE
Associate Justice
See Separate Concurring Opinion
MARVIC M.V.F. LEONEN
Associate Justice
See Concurring Opinion
FRANCIS H. JARDELEZA
Associate Justice
See Concurring Opinion
ALFREDO BENJAMIN S. CAGUIOA
Associate Justice
C E R T I F I C A T I O N
Pursuant to Section 13, Article VIII of the Constitution, it is hereby certified that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court.
MARIA LOURDES P.A. SERENO
Chief Justice

Footnotes
1 Petition for Certiorari in G.R. Nos. 221698-700, pp. 15-16; COMELEC First Division Resolution dated 11 December 2015 in SPA No. 15-002 (DC), SPA No. 15-007 (DC) and SPA No. 15-139 (DC), p. 2.
2 Petition for Certiorari, id. at 16-17;
3 COMELEC First Division Resolution, supra note 1 at 4.
4 Petition for Certiorari, supra note 1 at 22.
5 Id. at 17; Comment (on the Petition for Certiorari in G.R. No. 221697) filed by respondent COMELEC dated 11January 2016, p. 6.
6 Petition for Certiorari, id.; id. at 7.
7 Id. at 18.
8 Supra note 6.
9 Id.
10 COMELEC First Division Resolution, supra note 1 at 3.
11 Petition for Certiorari, supra note 1 at 17.
12 Id. at 18.
13 Id.
14 COMELEC First Division Resolution, supra note 10.
15 Id.
16 Supra note 1 at 17-18.
17 COMELEC First Division Resolution, supra note 10.
18 Id.
19 Id.
20 Petition for Certiorari, supra note 1 at 20.
21 Id.
22 Supra note 3.
23 Supra note 20.
24 Supra note 3.
25 Supra note 20.
26 Supra note 3.
27 Petition for Certiorari, supra note 4.
28 Id.
29 Id. at 23; COMELEC First Division Resolution, supra note 3.
30 Id.; id.
31 Id.; id.
32 Id.; id.
33 Id. at 23-24; COMELEC First Division Resolution, supra note 1 at 5.
34 Id. at 24; id.
35 Id.
36 Supra note 34.
37 Petition for Certiorari, supra note 1 at 25; COMELEC First Division Resolution, supra note 1 at 5.
38 Id. at 25-26; id.
39 Id. at 26; id.
40 Id.; id.
41 Id.; id.
42 Id. at 32; id. at 6.
43 Supra note 39.
44 Petition for Certiorari, supra note 1 at 26-27; COMELEC First Division Resolution, supra note 1 at 5.
45 Section 5, R.A. No. 9225 states:
SEC. 5. Civil and Political Rights and Liabilities. - Those who retain or re-acquire Philippine citizenship under this Act shall enjoy full civil and political rights and be subject to all attendant liabilities and responsibilities under existing laws of the Philippines and the following conditions:
xx xx
3. Those appointed to any public office shall subscribe and swear to an oath of allegiance to the Republic of the Philippines and its duly constituted authorities prior to their assumption of office: Provided, That they renounce their oath of allegiance to the country where they took that oath;
xx xx
46 Petition for Certiorari, supra note 1 at 27.
47 Id. at 29.
48 Supra note 46; supra note 1 at 6.
49 Petition for Certiorari, supra note 1 at 30; id.
50 Id.
51 Supra note 48.
52 Petition for Certiorari, supra note 1 at 31; COMELEC First Division Resolution, supra note 1 at 6.
53 Comment, supra note 5 at 9.
54 Petition for Certiorari, supra note 1 at 31.
55 Id. at 32; Comment, supra note 53 at 10.
56 Id.; COMELEC First Division Resolution, supra note 1 at 6.
57 Id.; id. at 7.
58 Id.; id.
59 Comment (on the Petition in G.R. No. 221697) filed by respondent Elamparo, dated January 6, 2016, p. 7.
60 COMELEC Second Division Resolution dated December 1, 2015 in SPA No. 15-001 (DC), p. 7.
61 Id. at 7-8.
62 Supra note 60.
63 Id.
64 Id. at 8.
65 Id.
66 Petition for Certiorari in GR. No. 221697, p. 7.
67 Supra note 64.
68 Petition for Certiorari, supra note 65 at 8; COMELEC Second Division Resolution, supra note 60 at 8-11.
69 COMELEC Second Division Resolution, supra note 60 at 34.
70 Comment, supra note 59 at 10.
71 Section 1 of Rule 25 of the COMELEC Rules of Procedure, as amended, states:
Rule 25 - Disqualification of Candidates
Section 1. Grounds. - Any candidate who, in an action or protest in which he is a party, is declared by final decision of a competent court, guilty of, or found by the Commission to be suffering from any disqualification provided by law or the Constitution.
A Petition to Disqualify a Candidate invoking grounds for a Petition to Deny to or Cancel a Certificate of Candidacy or Petition to Declare a Candidate as a Nuisance Candidate, or a combination thereof, shall be summarily dismissed.
72 Petition to Disqualify dated 19 October 2015 filed by Tatad in SPA No. 15-002 (DC), p. 9.
73 Id., at 9 and 14.
74 Id. at 10.
75 Id. at 12.
76 Id. at 11.
77 COMELEC First Division Resolution, supra note 1 at 8.
78 Id.
79 Petition to Disqualify, supra note 72 at 11.
80 Id. at 21.
81 Id.
82 Id.
83 Supra note I at 8.
84 Id.
85 Contreras' petition is a petition for cancellation of Grace Poe's COC under Section 78 of the Omnibus Election Code which states that:
Sec. 78. Petition to deny due course to or cancel a certificate of candidacy. - A verified petition seeking to deny due course or to cancel a certificate of candidacy may be filed by the person exclusively on the ground that any material representation contained therein as required under Section 74 hereof is false. The petition may be filed at any time not later than twenty-five days from the time of the filing of the certificate of candidacy and shall be decided, after due notice and hearing, not later than fifteen days before the election.
86 Petition for Cancellation of Grace Poe's COC dated 17 October 2015 filed by Contreras in SPA No. 15-007 (DC), pp. 2-4.
87 Id. at 3; Petition for Certiorari, supra note l at 13.
88 Id. at 3-4.
89 Sections 12 and 68 of the Omnibus Election Code provide:
Sec. 12. Disqualifications. -Any person who has been declared by competent authority insane or incompetent, or has been sentenced by final judgment for subversion, insurrection, rebellion or for any offense for which he has been sentenced to a penalty of more than eighteen months or for a crime involving moral turpitude, shall be disqualified to be a candidate and to hold any office, unless he has been given plenary pardon or granted amnesty.
This disqualifications to be a candidate herein provided shall be deemed removed upon the declaration by competent authority that said insanity or incompetence had been removed or after the expiration of a period of five years from his service of sentence, unless within the same period he again becomes disqualified.
Sec. 68. Disqualifications. - Any candidate who, in an action or protest in which he is a party is declared by final decision of a competent court guilty of, or found by the Commission of having (a) given money or other material consideration to influence, induce or corrupt the voters or public officials performing electoral functions; (b) committed acts of terrorism to enhance his candidacy; (c) spent in his election campaign an amount in excess of that allowed by this Code; (d) solicited, received or made any contribution prohibited under Sections 89, 95, 96, 97 and 104; or (e) violated any of Sections 80, 83, 85, 86 and 261, paragraphs d, e, k, v, and cc, sub-paragraph 6, shall be disqualified from continuing as a candidate, or if he has been elected, from holding the office. Any person who is a permanent resident of or an immigrant to a foreign country shall not be qualified to run for any elective office under this Code, unless said person has waived his status as permanent resident or immigrant of a foreign country in accordance with the residence requirement provided for in the election laws.
90 COMELEC First Division Resolution, supra note 1 at 12.
91 Id. at 10.
92 Id.
93 Id. at 9.
94 Id.
95 Id.
96 Id.
97 Id.
98 Id.
99 Id.at 9-10.
100 Id.at 10.
101 Id.
102 Id.
103 The 11 December 2015 Resolution of the COMELEC First Division was concurred in by Commissioners Louie Tito F. Guia and Ma. Rowena Amelia V. Guanzon. Presiding Commissioner Christian Robert S. Lim issued a Separate Dissenting Opinion.
104 318 Phil. 329 (1995).
105 595 Phil. 449 (2008).
106 Romualdez-Marcos v. COMELEC, supra note 104 at 396-397.
107 Id. at 397-398; Fermin v. COMELEC, supra note 105 at 471-472.
108 In A.M. No. 02-6-02-SC, Resolution Approving The Proposed Rule on Adoption (Domestic and Inter-Country), effective 22 August 2002, "foundling" is defined as "a deserted or abandoned infant or child whose parents, guardian or relatives are unknown; or a child committed to an orphanage or charitable or similar institution with unknown facts of birth and parentage and registered in the Civil Register as a "foundling."
109 Article IV-Citizenship.
Sec. I. The following are citizens of the Philippines:
(1) Those who are citizens of the Philippine Islands at the time of the adoption of this Constitution,
(2) Those born in the Philippine Islands of foreign parents who, before the adoption of this Constitution, had been elected to public office in the Philippine Islands.
(3) Those whose fathers are citizens of the Philippines.
(4) Those whose mothers are citizens of the Philippines and, upon reaching the age of majority, elect Philippine citizenship.
(5) Those who are naturalized in accordance with law.
Section 2. Philippine citizenship may be lost or reacquired in the manner provided by law.
110 Article 163 to 182, Title VI of Executive Order No. 209, otherwise known as The Family Code of the Philippines, which took effect on 4 August 1988.
111 Statistics from the PSA or its predecessor agencies are admissible evidence. See Herrera v. COMELEC, 376 Phil. 443 (I 999) and Bagabuyo v. COMELEC, 593 Phil. 678 (2008). In the latter case, the Court even took judicial notice of the figures.
112 Transcipt of Stenographic Notes, 9 February 2016, p. 40.
113 Section 3 (y), Rule 131.
114 236 Phil. 307 (1987).
115 Id. at314-315.
116 English translation of the Spanish original presented in the petitioner's pleadings before the COMELEC and this Court. The COMELEC and private respondents have not disputed the accuracy and correctness of the translation.
117 I Jose M. Aruego, The Framing of the Philippine Constitution 209 (1949).
118 TSN, 16 February 2016, pp. 20-21.
119 117 Phil. 976 (1963).
120 Id. at 978-979.
121 See Section 5 of the RA No. 8552: "Location of Unknown Parent(s). - It shall be the duty of the Department or the child-caring agency which has custody of the child to exert all efforts to locate his/her unknown biological parent(s). If such efforts fail, the child shall be registered as a foundling and subsequently be the subject of legal proceedings where he/she shall be declared abandoned." (Underlining supplied)
122 See Exhibit "l" in SPA No. 15-001 (DC) and SPA No. 15-00 (DC).
123 See Exhibit "2" in SPA No. 15-001 (DC) and SPA No. 15-00 (DC).
124 Razon, Jr. v. Tagitis, 621 Phil. 536, 600 (2009) citing Pharmaceutical and Health Care Assoc. of the Philippines v. Duque III, 561 Phil. 386, 398 (2007).
125 Article 38.1, paragraphs (b) and (c) of the Statute of the International Court of Justice.
126 Mijares v. Ranada, 495 Phil. 372, 395 (2005).
127 Pharmaceutical and Health Care Assoc. of the Philippines v. Duque III, 561 Phil. 386, 400 (2007).
128 International School Alliance of Educators v. Quisumbing, 388 Phil. 661, 672-673 (2000).
129 CONSTITUTION, Art. III, Sec. 1.
130 Rep. of the Philippines v. Sandiganbayan, 454 Phil. 504, 545 (2003).
131 "Everyone has the right to a nationality."
132 See Introductory Note to the United Nations Convention on the Reduction of Statelessness issued by the United Nations High Commissioner on Refugees.
133 Supra note 124.
134 Supra note 126.
135 Id. at 392; See footnote No. 55 of said case.
136 Pharmaceutical and Health Care Assoc. of the Philippines v. Duque III, supra note 127.
137 See Exhibits 38 and 39-series.
138 Opening Statement of the Solicitor General, p. 6.
139 First Division resolution dated 11 December 2015, upheld in toto by the COMELEC En Banc.
140 409 Phil. 633, 649 (2001).
141 692 Phil. 407, 420 (2012).
142 551 Phil. 368, 381 (2007).
143 53 I Phil. 407, 417 (2006).
144 Supra note 142.
145 Supra note 140 at 646.
146 Id. at 651.
147 G.R. No. 217126-27, 10 November 2015.
148 Id.
149 Implementing Rules and Regulations of Republic Act No. 8552, Art. VI, Sec. 33.
150 Republic Act No. 8552 (1998), Sec. 14.
151 Republic Act No. 8552 (1998), Sec. 15.
152 Fernandez v. House of Representatives Electoral Tribunal, 623 Phil. 628, 660 (2009) citing Japzon v. COMELEC, 596 Phil. 354, 370-372 (2009) further citing Papandayan, Jr. v. COMELEC, 430 Phil. 754, 768-770 (2002) further further citing Romualdez v. RTC, Br. 7, Tacloban City, G.R. No. 104960, 14 September 1993, 226 SCRA408, 415.
153 Domino v. COMELEC, 369 Phil. 798, 819 (1999).
154 TSN, 16 February 2016, p. 120.
155 434 Phil. 861 (2002).
156 596 Phil. 354 (2009).
157 G.R. No. 209835, 22 September 2015.
158 G.R. No. 207264, 25 June 2013, 699 SCRA 522.
159 Supra note 155.
160 Supra note 156.
161 Supra note 157.
162 Supra note 158.
163 Republic Act No. 6768 (1989), as amended, Sec. 2(a).
164 Republic Act No. 6768 (1989), as amended, Sec. I.
165 Republic Act No. 6768 (1989), as amended, Sec. 6.
166 Supra note 155.
167 Supra note 104 at 326. (Emphasis supplied)
168 Ugdoracion, Jr. v. COMELEC, 575 Phil. 253, 265-266 (2008).
169 In Mitra v. COMELEC, et al., [636 Phil. 753 (2010)], It was ruled that the residence requirement can be complied with through an incremental process including acquisition of business interest in the pertinent place and lease of feedmill building as residence.
170 COMELEC Resolution dated 11 December2015 in SPA No. 15-002 (DC), pp. 4-5.

SPARK v. QUEZON CITY: Is an ordinance setting curfew hours on minors VALID?

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EN BANC  
August 8, 2017
G.R. No. 225442
SAMAHAN NG MGA PROGRESIBONG KABATAAN (SPARK),* JOANNE ROSE SACE LIM, JOHN ARVIN NAVARRO BUENAAGUA, RONEL BACCUTAN, MARK LEO DELOS REYES, and CLARISSA JOYCE VILLEGAS, minor, for herself and as represented by her father, JULIAN VILLEGAS, JR., Petitioners,
vs.
QUEZON CITY, as represented by MAYOR HERBERT BAUTISTA, CITY OF MANILA, as represented by MAYOR JOSEPH ESTRADA, and NAVOTAS CITY, as represented by MAYOR JOHN REY TIANGCO,, Respondents,
D E C I S I O N
PERLAS-BERNABE, J.:
This petition for certiorari and prohibition1 assails the constitutionality of the curfew ordinances issued by the local governments of Quezon City, Manila, and Navotas. The petition prays that a temporary restraining order (TRO) be issued ordering respondents Herbert Bautista, Joseph Estrada, and John Rey Tiangco, as Mayors of their respective local governments, to prohibit, refrain, and desist from implementing and enforcing these issuances, pending resolution of this case, and eventually, declare the City of Manila's ordinance as ultra vires for being contrary to Republic Act No. (RA) 9344,2 or the "Juvenile Justice and Welfare Act," as amended, and all curfew ordinances as unconstitutional for violating the constitutional right of minors to travel, as well as the right of parents to rear their children.
The Facts
Following the campaign of President Rodrigo Roa Duterte to implement a nationwide curfew for minors, several local governments in Metro Manila started to strictly implement their curfew ordinances on minors through police operations which were publicly known as part of "Oplan Rody."3
Among those local governments that implemented curfew ordinances were respondents: (a) Navotas City, through Pambayang Ordinansa Blg. 99- 02,4 dated August 26, 1999, entitled "Nagtatakdang 'Curfew' ng mga Kabataan na Wala Pang Labing Walong (18) Taong Gulang sa Bayan ng Navotas, Kalakhang Maynila," as amended by Pambayang Ordinansa Blg. 2002-13,5 dated June 6, 2002 (Navotas Ordinance); (b) City of Manila, through Ordinance No. 80466 entitled "An Ordinance Declaring the Hours from 10:00 P.M. to 4:00 A.M. of the Following Day as 'Barangay Curfew Hours' for Children and Youths Below Eighteen (18) Years of Age; Prescribing Penalties Therefor; and for Other Purposes" dated October 14, 2002 (Manila Ordinance); and (c) Quezon City, through Ordinance No. SP- 2301,7 Series of 2014, entitled "An Ordinance Setting for a [sic] Disciplinary Hours in Quezon City for Minors from 10:00 P.M. to 5:00 A.M., Providing Penalties for Parent/Guardian, for Violation Thereof and for Other Purposes" dated July 31, 2014 (Quezon City Ordinance; collectively, Curfew Ordinances).8
Petitioners,9 spearheaded by the Samahan ng mga Progresibong Kabataan (SPARK) - an association of young adults and minors that aims to forward a free and just society, in particular the protection of the rights and welfare of the youth and minors10 - filed this present petition, arguing that the Curfew Ordinances are unconstitutional because they: (a) result in arbitrary and discriminatory enforcement, and thus, fall under the void for vagueness doctrine; (b)suffer from overbreadth by proscribing or impairing legitimate activities of minors during curfew hours; (c) deprive minors of the right to liberty and the right to travel without substantive due process; and (d) deprive parents of their natural and primary right in rearing the youth without substantive due process.11 In addition, petitioners assert that the Manila Ordinance contravenes RA 9344, as amended by RA 10630.12
More specifically, petitioners posit that the Curfew Ordinances encourage arbitrary and discriminatory enforcement as there are no clear provisions or detailed standards on how law enforcers should apprehend and properly determine the age of the alleged curfew violators.13 They further argue that the law enforcer's apprehension depends only on his physical assessment, and, thus, subjective and based only on the law enforcer's visual assessment of the alleged curfew violator.14
While petitioners recognize that the Curfew Ordinances contain provisions indicating the activities exempted from the operation of the imposed curfews, i.e., exemption of working students or students with evening class, they contend that the lists of exemptions do not cover the range and breadth of legitimate activities or reasons as to why minors would be out at night, and, hence, proscribe or impair the legitimate activities of minors during curfew hours.15
Petitioners likewise proffer that the Curfew Ordinances: (a) are unconstitutional as they deprive minors of the right to liberty and the right to travel without substantive due process;16 and (b) fail to pass the strict scrutiny test, for not being narrowly tailored and for employing means that bear no reasonable relation to their purpose.17 They argue that the prohibition of minors on streets during curfew hours will not per se protect and promote the social and moral welfare of children of the community.18
Furthermore, petitioners claim that the Manila Ordinance, particularly Section 419 thereof, contravenes Section 57-A20 of RA 9344, as amended, given that the cited curfew provision imposes on minors the penalties of imprisonment, reprimand, and admonition. They contend that the imposition of penalties contravenes RA 9344's express command that no penalty shall be imposed on minors for curfew violations.21
Lastly, petitioners submit that there is no compelling State interest to impose curfews contrary to the parents' prerogative to impose them in the exercise of their natural and primary right in the rearing of the youth, and that even if a compelling interest exists, less restrictive means are available to achieve the same. In this regard, they suggest massive street lighting programs, installation of CCTV s (closed-circuit televisions) in public streets, and regular visible patrols by law enforcers as other viable means of protecting children and preventing crimes at night. They further opine that the government can impose more reasonable sanctions, i.e., mandatory parental counseling and education seminars informing the parents of the reasons behind the curfew, and that imprisonment is too harsh a penalty for parents who allowed their children to be out during curfew hours.22
The Issue Before the Court
The primordial issue for the Court's resolution in this case is whether or not the Curfew Ordinances are unconstitutional.
The Court's Ruling
The petition is partly granted.
I.
At the onset, the Court addresses the procedural issues raised in this case. Respondents seek the dismissal of the petition, questioning: (a) the propriety of certiorari and prohibition under Rule 65 of the Rules of Court to assail the constitutionality of the Curfew Ordinances; (b) petitioners' direct resort to the Court, contrary to the hierarchy of courts doctrine; and (c) the lack of actual controversy and standing to warrant judicial review.23
A. Propriety of the Petition for
Certiorari and Prohibition.
Under the 1987 Constitution, judicial power includes the duty of the courts of justice not only "to settle actual controversies involving rights which are legally demandable and enforceable," but also "to determine whether or not there has been a grave abuse of discretion amounting to lack or excess of jurisdiction on the part of any branch or instrumentality of the Government."24 Section 1, Article VIII of the 1987 Constitution reads:
ARTICLE VIII
JUDICIAL DEPARTMENT
Section 1. The judicial power shall be vested in one Supreme Court and in such lower courts as may be established by law.
Judicial power includes the duty of the courts of justice to settle actual controversies involving rights which are legally demandable and enforceable, and to determine whether or not there has been a grave abuse of discretion amounting to lack or excess of jurisdiction on the part of any branch or instrumentality of the Government. (Emphasis and underscoring supplied)
Case law explains that the present Constitution has "expanded the concept of judicial power, which up to then was confined to its traditional ambit of settling actual controversies involving rights that were legally demandable and enforceable."25
In Araullo v. Aquino III,26 it was held that petitions for certiorari and prohibition filed before the Court "are the remedies by which the grave abuse of discretion amounting to lack or excess of jurisdiction on the part of any branch or instrumentality of the Government may be determined under the Constitution."27 It was explained that "[w]ith respect to the Court, x x x the remedies of certiorari and prohibition are necessarily broader in scope and reach, and the writ of certiorari or prohibition may be issued to correct errors of jurisdiction committed not only by a tribunal, corporation, board or officer exercising judicial, quasi-judicial or ministerial functions, but also to set right, undo[,] and restrain any act of grave abuse of discretion amounting to lack or excess of jurisdiction by any branch or instrumentality of the Government, even if the latter does not exercise judicial, quasi-judicial or ministerial functions. This application is expressly authorized by the text of the second paragraph of Section 1, [Article VIII of the 1987 Constitution cited above]."28
In Association of Medical Clinics for Overseas Workers, Inc. v. GCC Approved Medical Centers Association, Inc.,29 it was expounded that "[ m ]eanwhile that no specific procedural rule has been promulgated to enforce [the] 'expanded' constitutional definition of judicial power and because of the commonality of 'grave abuse of discretion' as a ground for review under Rule 65 and the courts' expanded jurisdiction, the Supreme Court - based on its power to relax its rules - allowed Rule 65 to be used as the medium for petitions invoking the courts' expanded jurisdiction[. ]"30
In this case, petitioners question the issuance of the Curfew Ordinances by the legislative councils of Quezon City, Manila, and Navotas in the exercise of their delegated legislative powers on the ground that these ordinances violate the Constitution, specifically, the provisions pertaining to the right to travel of minors, and the right of parents to rear their children. They also claim that the Manila Ordinance, by imposing penalties against minors, conflicts with RA 9344, as amended, which prohibits the imposition of penalties on minors for status offenses. It has been held that "[t]here is grave abuse of discretion when an act is (1) done contrary to the Constitution, the law or jurisprudence or (2) executed whimsically, capriciously or arbitrarily, out of malice, ill will or personal bias. "31 In light of the foregoing, petitioners correctly availed of the remedies of certiorari and prohibition, although these governmental actions were not made pursuant to any judicial or quasi-judicial function.
B. Direct Resort to the Court.
Since petitions for certiorari and prohibition are allowed as remedies to assail the constitutionality of legislative and executive enactments, the next question to be resolved is whether or not petitioners' direct resort to this Court is justified.
The doctrine of hierarchy of courts "[r]equires that recourse must first be made to the lower-ranked court exercising concurrent jurisdiction with a higher court. The Supreme Court has original jurisdiction over petitions for certiorari, prohibition, mandamusquo warranto, and habeas corpus. While this jurisdiction is shared with the Court of Appeals [(CA)] and the [Regional Trial Courts], a direct invocation of this Court's jurisdiction is allowed when there are special and important reasons therefor, clearly and especially set out in the petition[.]"32 This Court is tasked to resolve "the issue of constitutionality of a law or regulation at the first instance [if it] is of paramount importance and immediately affects the social, economic, and moral well-being of the people,"33 as in this case. Hence, petitioners' direct resort to the Court is justified.
C. Requisites of Judicial Review.
"The prevailing rule in constitutional litigation is that no question involving the constitutionality or validity of a law or governmental act may be heard and decided by the Court unless there is compliance with the legal requisites for judicial inquiry, namely: (a) there must be an actual case or controversy calling for the exercise of judicial power; (b) the person challenging the act must have the standing to question the validity of the subject act or issuance; (c)the question of constitutionality must be raised at the earliest opportunity; and (d) the issue of constitutionality must be the very lis mota of the case."34 In this case, respondents assail the existence of the first two (2) requisites.
1. Actual Case or Controversy.
"Basic in the exercise of judicial power - whether under the traditional or in the expanded setting - is the presence of an actual case or controversy."35 "[A]n actual case or controversy is one which 'involves a conflict of legal rights, an assertion of opposite legal claims, susceptible of judicial resolution as distinguished from a hypothetical or abstract difference or dispute.' In other words, 'there must be a contrariety of legal rights that can be interpreted and enforced on the basis of existing law and jurisprudence."36 According to recent jurisprudence, in the Court's exercise of its expanded jurisdiction under the 1987 Constitution, this requirement is simplified "by merely requiring a prima facie showing of grave abuse of discretion in the assailed governmental act."37
"Corollary to the requirement of an actual case or controversy is the requirement of ripeness. A question is ripe for adjudication when the act being challenged has had a direct adverse effect on the individual challenging it. For a case to be considered ripe for adjudication, it is a prerequisite that something has then been accomplished or performed by either branch before a court may come into the picture, and the petitioner must allege the existence of an immediate or threatened injury to himself as a result of the challenged action. He must show that he has sustained or is immediately in danger of sustaining some direct injury as a result of the act complained of."38
Applying these precepts, this Court finds that there exists an actual justiciable controversy in this case given the evident clash of the parties' legal claims, particularly on whether the Curfew Ordinances impair the minors' and parents' constitutional rights, and whether the Manila Ordinance goes against the provisions of RA 9344. Based on their asseverations, petitioners have - as will be gleaned from the substantive discussions below - conveyed a prima facie case of grave abuse of discretion, which perforce impels this Court to exercise its expanded jurisdiction. The case is likewise ripe for adjudication, considering that the Curfew Ordinances were being implemented until the Court issued the TRO39 enjoining their enforcement. The purported threat or incidence of injury is, therefore, not merely speculative or hypothetical but rather, real and apparent.
2. Legal Standing.
"The question of locus standi or legal standing focuses on the determination of whether those assailing the governmental act have the right of appearance to bring the matter to the court for adjudication. [Petitioners] must show that they have a personal and substantial interest in the case, such that they have sustained or are in immediate danger of sustaining, some direct injury as a consequence of the enforcement of the challenged governmental act."40 "' [I]nterest' in the question involved must be material - an interest that is in issue and will be affected by the official act- as distinguished from being merely incidental or general."41
"The gist of the question of [legal] standing is whether a party alleges such personal stake in the outcome of the controversy as to assure that concrete adverseness which sharpens the presentation of issues upon which the court depends for illumination of difficult constitutional questions. Unless a person is injuriously affected in any of his constitutional rights by the operation of statute or ordinance, he has no standing."42
As abovementioned, the petition is anchored on the alleged breach of two (2) constitutional rights, namely: (1) the right of minors to freely travel within their respective localities; and (2) the primary right of parents to rear their children. Related to the first is the purported conflict between RA 9344, as amended, and the penal provisions of the Manila Ordinance.
Among the five (5) individual petitioners, only Clarissa Joyce Villegas (Clarissa) has legal standing to raise the issue affecting the minor's right to travel,43 because: (a) she was still a minor at the time the petition was filed before this Court,44 and, hence, a proper subject of the Curfew Ordinances; and (b) as alleged, she travels from Manila to Quezon City at night after school and is, thus, in imminent danger of apprehension by virtue of the Curfew Ordinances. On the other hand, petitioners Joanne Rose Sace Lim, John Arvin Navarro Buenaagua, Ronel Baccutan (Ronel), and Mark Leo Delos Reyes (Mark Leo) admitted in the petition that they are all of legal age, and therefore, beyond the ordinances' coverage. Thus, they are not proper subjects of the Curfew Ordinances, for which they could base any direct injury as a consequence thereof.
None of them, however, has standing to raise the issue of whether the Curfew Ordinances violate the parents' right to rear their children as they have not shown that they stand before this Court as parent/s and/or guardian/s whose constitutional parental right has been infringed. It should be noted that Clarissa is represented by her father, Julian Villegas, Jr. (Mr. Villegas), who could have properly filed the petition for himself for the alleged violation of his parental right. But Mr. Villegas did not question the Curfew Ordinances based on his primary right as a parent as he only stands as the representative of his minor child, Clarissa, whose right to travel was supposedly infringed.
As for SPARK, it is an unincorporated association and, consequently, has no legal personality to bring an action in court.45 Even assuming that it has the capacity to sue, SPARK still has no standing as it failed to allege that it was authorized by its members who were affected by the Curfew Ordinances, i.e., the minors, to file this case on their behalf.
Hence, save for Clarissa, petitioners do not have the required personal interest in the controversy. More particularly, Clarissa has standing only on the issue of the alleged violation of the minors' right to travel, but not on the alleged violation of the parents' right.
These notwithstanding, this Court finds it proper to relax the standing requirement insofar as all the petitioners are concerned, in view of the transcendental importance of the issues involved in this case. "In a number of cases, this Court has taken a liberal stance towards the requirement of legal standing, especially when paramount interest is involved. Indeed, when those who challenge the official act are able to craft an issue of transcendental significance to the people, the Court may exercise its sound discretion and take cognizance of the suit. It may do so in spite of the inability of the petitioners to show that they have been personally injured by the operation of a law or any other government act."46
This is a case of first impression in which the constitutionality of juvenile curfew ordinances is placed under judicial review. Not only is this Court asked to determine the impact of these issuances on the right of parents to rear their children and the right of minors to travel, it is also requested to determine the extent of the State's authority to regulate these rights in the interest of general welfare. Accordingly, this case is of overarching significance to the public, which, therefore, impels a relaxation of procedural rules, including, among others, the standing requirement.
That being said, this Court now proceeds to the substantive aspect of this case.
II.
A. Void for Vagueness.
Before resolving the issues pertaining to the rights of minors to travel and of parents to rear their children, this Court must first tackle petitioners' contention that the Curfew Ordinances are void for vagueness.
In particular, petitioners submit that the Curfew Ordinances are void for not containing sufficient enforcement parameters, which leaves the enforcing authorities with unbridled discretion to carry out their provisions. They claim that the lack of procedural guidelines in these issuances led to the questioning of petitioners Ronel and Mark Leo, even though they were already of legal age. They maintain that the enforcing authorities apprehended the suspected curfew offenders based only on their physical appearances and, thus, acted arbitrarily. Meanwhile, although they conceded that the Quezon City Ordinance requires enforcers to determine the age of the child, they submit that nowhere does the said ordinance require the law enforcers to ask for proof or identification of the child to show his age.47
The arguments are untenable.
"A statute or act suffers from the defect of vagueness when it lacks comprehensible standards that men of common intelligence must necessarily guess at its meaning and differ as to its application. It is repugnant to the Constitution in two (2) respects: (1) it violates due process for failure to accord persons, especially the parties targeted by it, fair notice of the conduct to avoid; and (2) it leaves law enforcers unbridled discretion in carrying out its provisions and becomes an arbitrary flexing of the Government muscle."48
In this case, petitioners' invocation of the void for vagueness doctrine is improper, considering that they do not properly identify any provision in any of the Curfew Ordinances, which, because of its vague terminology, fails to provide fair warning and notice to the public of what is prohibited or required so that one may act accordingly.49 The void for vagueness doctrine is premised on due process considerations, which are absent from this particular claim. In one case, it was opined that:
[T]he vagueness doctrine is a specie of "unconstitutional uncertainty," which may involve "procedural due process uncertainty cases" and "substantive due process uncertainty cases.""Procedural due process uncertainty" involves cases where the statutory language was so obscure that it failed to give adequate warning to those subject to its prohibitions as well as to provide proper standards for adjudication. Such a definition encompasses the vagueness doctrine. This perspective rightly integrates the vagueness doctrine with the due process clause, a necessary interrelation since there is no constitutional provision that explicitly bars statutes that are "void-for-vagueness."50
Essentially, petitioners only bewail the lack of enforcement parameters to guide the local authorities in the proper apprehension of suspected curfew offenders. They do not assert any confusion as to what conduct the subject ordinances prohibit or not prohibit but only point to the ordinances' lack of enforcement guidelines. The mechanisms related to the implementation of the Curfew Ordinances are, however, matters of policy that are best left for the political branches of government to resolve. Verily, the objective of curbing unbridled enforcement is not the sole consideration in a void for vagueness analysis; rather, petitioners must show that this perceived danger of unbridled enforcement stems from an ambiguous provision in the law that allows enforcement authorities to second-guess if a particular conduct is prohibited or not prohibited. In this regard, that ambiguous provision of law contravenes due process because agents of the government cannot reasonably decipher what conduct the law permits and/or forbids. In Bykofsky v. Borough of Middletown, 51 it was ratiocinated that:
A vague law impermissibly delegates basic policy matters to policemen, judges, and juries for resolution on ad hoc and subjective basis, and vague standards result in erratic and arbitrary application based on individual impressions and personal predilections.52
As above-mentioned, petitioners fail to point out any ambiguous standard in any of the provisions of the Curfew Ordinances, but rather, lament the lack of detail on how the age of a suspected minor would be determined. Thus, without any correlation to any vague legal provision, the Curfew Ordinances cannot be stricken down under the void for vagueness doctrine.
Besides, petitioners are mistaken in claiming that there are no sufficient standards to identify suspected curfew violators. While it is true that the Curfew Ordinances do not explicitly state these parameters, law enforcement agents are still bound to follow the prescribed measures found in statutory law when implementing ordinances. Specifically, RA 9344, as amended, provides:
Section 7. Determination of Age. - x x x The age of a child may be determined from the child's birth certificate, baptismal certificate or any other pertinent documents. In the absence of these documents, age may be based on information from the child himself/herself, testimonies of other persons, the physical appearance of the child and other relevant evidence. (Emphases supplied)
This provision should be read in conjunction with · the Curfew Ordinances because RA 10630 (the law that amended RA 9344) repeals all ordinances inconsistent with statutory law.53 Pursuant to Section 57-A of RA 9344, as amended by RA 10630,54 minors caught in violation of curfew ordinances are children at risk and, therefore, covered by its provisions.55 It is a long-standing principle that "[c]onformity with law is one of the essential requisites for the validity of a municipal ordinance."56 Hence, by necessary implication, ordinances should be read and implemented in conjunction with related statutory law.
Applying the foregoing, any person, such as petitioners Ronel and Mark Leo, who was perceived to be a minor violating the curfew, may therefore prove that he is beyond the application of the Curfew Ordinances by simply presenting any competent proof of identification establishing their majority age. In the absence of such proof, the law authorizes enforcement authorities to conduct a visual assessment of the suspect, which - needless to state - should be done ethically and judiciously under the circumstances. Should law enforcers disregard these rules, the remedy is to pursue the appropriate action against the erring enforcing authority, and not to have the ordinances invalidated.
All told, petitioners' prayer to declare the Curfew Ordinances as void for vagueness is denied.
B. Right of Parents to Rear their
Children.
Petitioners submit that the Curfew Ordinances are unconstitutional because they deprive parents of their natural and primary right in the rearing of the youth without substantive due process. In this regard, they assert that this right includes the right to determine whether minors will be required to go home at a certain time or will be allowed to stay late outdoors. Given that the right to impose curfews is primarily with parents and not with the State, the latter's interest in imposing curfews cannot logically be compelling.57
Petitioners' stance cannot be sustained.
Section 12, Article II of the 1987 Constitution articulates the State's policy relative to the rights of parents in the rearing of their children:
Section 12. The State recognizes the sanctity of family life and shall protect and strengthen the family as a basic autonomous social institution. It shall equally protect the life of the mother and the life of the unborn from conception. The natural and primary right and duty of parents in the rearing of the youth for civic efficiency and the development of moral character shall receive the support of the Government. (Emphasis and underscoring supplied.)
As may be gleaned from this provision, the rearing of children (i.e., referred to as the "youth") for civic efficiency and the development of their moral character are characterized not only as parental rights, but also as parental duties. This means that parents are not only given the privilege of exercising their authority over their children; they are equally obliged to exercise this authority conscientiously. The duty aspect of this provision is a reflection of the State's independent interest to ensure that the youth would eventually grow into free, independent, and well-developed citizens of this nation. For indeed, it is during childhood that minors are prepared for additional obligations to society. "[T]he duty to prepare the child for these [obligations] must be read to include the inculcation of moral standards, religious beliefs, and elements of good citizenship."58 "This affirmative process of teaching, guiding, and inspiring by precept and example is essential to the growth of young people into mature, socially responsible citizens."59
By history and tradition, "the parental role implies a substantial measure of authority over one's children."60 In Ginsberg v. New York,61 the Supreme Court of the United States (US) remarked that "constitutional interpretation has consistently recognized that the parents' claim to authority in their own household to direct the rearing of their children is basic in the structure of our society."62 As in our Constitution, the right and duty of parents to rear their children is not only described as "natural," but also as "primary." The qualifier "primary" connotes the parents' superior right over the State in the upbringing of their children.63 The rationale for the State's deference to parental control over their children was explained by the US Supreme Court in Bellotti v. Baird (Bellotti),64 as follows:
[T]he guiding role of parents in their upbringing of their children justifies limitations on the freedoms of minors. The State commonly protects its youth from adverse governmental action and from their own immaturity by requiring parental consent to or involvement in important decisions by minors. But an additional and more important justification for state deference to parental control over children is that "the child is not [a) mere creature of the State; those who nurture him and direct his destiny have the right, coupled with the high duty, to recognize and prepare him for additional obligations."65 (Emphasis and underscoring supplied)
While parents have the primary role in child-rearing, it should be stressed that "when actions concerning the child have a relation to the public welfare or the well-being of the child, the [Sltate may act to promote these legitimate interests."66 Thus, "[i]n cases in which harm to the physical or mental health of the child or to public safety, peace, order, or welfare is demonstrated, these legitimate state interests may override the parents' qualified right to control the upbringing of their children."67
As our Constitution itself provides, the State is mandated to support parents in the exercise of these rights and duties. State authority is therefore, not exclusive of, but rather, complementary to parental supervision. In Nery v. Lorenzo,68 this Court acknowledged the State's role as parens patriae in protecting minors, viz. :
[Where minors are involved, the State acts as parens patriae. To it is cast the duty of protecting the rights of persons or individual who because of age or incapacity are in an unfavorable position, vis-a-vis other parties. Unable as they are to take due care of what concerns them, they have the political community to look after their welfare. This obligation the state must live up to. It cannot be recreant to such a trust. As was set forth in an opinion of the United States Supreme Court: "This prerogative of parens patriae is inherent in the supreme power of every State, x x x."69(Emphases and underscoring supplied)
As parens patriae, the State has the inherent right and duty to aid parents in the moral development of their children,70 and, thus, assumes a supporting role for parents to fulfill their parental obligations. In Bellotti, it was held that "[I]egal restriction on minors, especially those supportive of the parental role, may be important to the child's chances for the full growth and maturity that make eventual participation in a free society meaningful and rewarding. Under the Constitution, the State can properly conclude that parents and others, teachers for example, who have the primary responsibility for children's well-being are entitled to the support of the laws designed to aid discharge of that responsibility."71
The Curfew Ordinances are but examples of legal restrictions designed to aid parents in their role of promoting their children's well-being. As will be later discussed at greater length, these ordinances further compelling State interests (particularly, the promotion of juvenile safety and the prevention of juvenile crime), which necessarily entail limitations on the primary right of parents to rear their children. Minors, because of their peculiar vulnerability and lack of experience, are not only more exposed to potential physical harm by criminal elements that operate during the night; their moral well-being is likewise imperiled as minor children are prone to making detrimental decisions during this time.72
At this juncture, it should be emphasized that the Curfew Ordinances apply only when the minors are not - whether actually or constructively (as will be later discussed) - accompanied by their parents. This serves as an explicit recognition of the State's deference to the primary nature of parental authority and the importance of parents' role in child-rearing. Parents are effectively given unfettered authority over their children's conduct during curfew hours when they are able to supervise them. Thus, in all actuality, the only aspect of parenting that the Curfew Ordinances affects is the parents' prerogative to allow minors to remain in public places without parental accompaniment during the curfew hours. 73 In this respect, the ordinances neither dictate an over-all plan of discipline for the parents to apply to their minors nor force parents to abdicate their authority to influence or control their minors' activities.74 As such, the Curfew Ordinances only amount to a minimal - albeit reasonable - infringement upon a parent's right to bring up his or her child.
Finally, it may be well to point out that the Curfew Ordinances positively influence children to spend more time at home. Consequently, this situation provides parents with better opportunities to take a more active role in their children's upbringing. In Schleifer v. City of Charlottesvillle (Schleifer),75 the US court observed that the city government "was entitled to believe x x x that a nocturnal curfew would promote parental involvement in a child's upbringing. A curfew aids the efforts of parents who desire to protect their children from the perils of the street but are unable to control the nocturnal behavior of those children."76 Curfews may also aid the "efforts of parents who prefer their children to spend time on their studies than on the streets."77 Reason dictates that these realities observed in Schleifer are no less applicable to our local context. Hence, these are additional reasons which justify the impact of the nocturnal curfews on parental rights.
In fine, the Curfew Ordinances should not be declared unconstitutional for violating the parents' right to rear their children.
C. Right to Travel.
Petitioners further assail the constitutionality of the Curfew Ordinances based on the minors' right to travel. They claim that the liberty to travel is a fundamental right, which, therefore, necessitates the application of the strict scrutiny test. Further, they submit that even if there exists a compelling State interest, such as the prevention of juvenile crime and the protection of minors from crime, there are other less restrictive means for achieving the government's interest.78 In addition, they posit that the Curfew Ordinances suffer from overbreadth by proscribing or impairing legitimate activities of minors during curfew hours.79
Petitioner's submissions are partly meritorious.
At the outset, the Court rejects petitioners' invocation of the overbreadth doctrine, considering that petitioners have not claimed any transgression of their rights to free speech or any inhibition of speech-related conduct. In Southern Hemisphere Engagement Network, Inc. v. AntiTerrorism Council(Southern Hemisphere),80 this Court explained that "the application of the overbreadth doctrine is limited to a facial kind of challenge and, owing to the given rationale of a facial challenge, applicable only to free speech cases,"81 viz.:
By its nature, the overbreadth doctrine has to necessarily apply a facial type of invalidation in order to plot areas of protected speech, inevitably almost always under situations not before the court, that are impermissibly swept by the substantially overbroad regulation. Otherwise stated, a statute cannot be properly analyzed for being substantially overbroad if the court confines itself only to facts as applied to the litigants.
The most distinctive feature of the overbreadth technique is that it marks an exception to some of the usual rules of constitutional litigation. Ordinarily, a particular litigant claims that a statute is unconstitutional as applied to him or her; if the litigant prevails, the courts carve away the unconstitutional aspects of the law by invalidating its improper applications on a case to case basis. Moreover, challengers to a law are not permitted to raise the rights of third parties and can only assert their own interests. In overbreadth analysis, those rules give way; challenges are permitted to raise the rights of third parties; and the court invalidates the entire statute "on its face," not merely "as applied for" so that the overbroad law becomes unenforceable until a properly authorized court construes it more narrowly. The factor that motivates courts to depart from the normal adjudicatory rules is the concern with the "chilling;" deterrent effect of the overbroad statute on third parties not courageous enough to bring suit. The Court assumes that an overbroad law's "very existence may cause others not before the court to refrain from constitutionally protected speech or expression." An overbreadth ruling is designed to remove that deterrent effect on the speech of those third parties.82 (Emphases and underscoring supplied)
In the same case, it was further pointed out that "[i]n restricting the overbreadth doctrine to free speech claims, the Court, in at least two [(2)] cases, observed that the US Supreme Court has not recognized an overbreadth doctrine outside the limited context of the First Amendment,83 and that claims of facial overbreadth have been entertained in cases involving statutes which, by their terms, seek to regulate only spoken words. In Virginia v. Hicks,84 it was held that rarely, if ever, will an overbreadth challenge succeed against a law or regulation that is not specifically addressed to speech or speech-related conduct. Attacks on overly broad statutes are justified by the 'transcendent value to all society of constitutionally protected expression. "'85
In the more recent case of SpousesImbong v. Ochoa, Jr.,86 it was opined that "[f]acial challenges can only be raised on the basis of overbreadth and not on vagueness. Southern Hemisphere demonstrated how vagueness relates to violations of due process rights, whereas facial challenges are raised on the basis of overbreadth and limited to the realm of freedom of expression."87
That being said, this Court finds it improper to undertake an overbreadth analysis in this case, there being no claimed curtailment of free speech. On the contrary, however, this Court finds proper to examine the assailed regulations under the strict scrutiny test.
The right to travel is recognized and guaranteed as a fundamental right88 under Section 6, Article III of the 1987 Constitution, to wit:
Section 6. The liberty of abode and of changing the same within the limits prescribed by law shall not be impaired except upon lawful order of the court. Neither shall the right to travel be impaired except in the interest of national security, public safety, or public health, as may be provided by law. (Emphases and underscoring supplied)
Jurisprudence provides that this right refers to the right to move freely from the Philippines to other countries or within the Philippines.89 It is a right embraced within the general concept of liberty.90 Liberty - a birthright of every person - includes the power of locomotion91 and the right of citizens to be free to use their faculties in lawful ways and to live and work where they desire or where they can best pursue the ends of life.92
The right to travel is essential as it enables individuals to access and exercise their other rights, such as the rights to education, free expression, assembly, association, and religion.93 The inter-relation of the right to travel with other fundamental rights was briefly rationalized in City of Maquoketa v. Russell,94 as follows:
Whenever the First Amendment rights of freedom of religion, speech, assembly, and association require one to move about, such movement must necessarily be protected under the First Amendment.
Restricting movement in those circumstances to the extent that First Amendment Rights cannot be exercised without violating the law is equivalent to a denial of those rights. One court has eloquently pointed this out:
We would not deny the relatedness of the rights guaranteed by the First Amendment to freedom of travel and movement. If, for any reason, people cannot walk or drive to their church, their freedom to worship is impaired. If, for any reason, people cannot walk or drive to the meeting hall, freedom of assembly is effectively blocked. If, for any reason, people cannot safely walk the sidewalks or drive the streets of a community, opportunities for freedom of speech are sharply limited. Freedom of movement is inextricably involved with freedoms set forth in the First Amendment. (Emphases supplied)
Nevertheless, grave and overriding considerations of public interest justify restrictions even if made against fundamental rights. Specifically on the freedom to move from one place to another, jurisprudence provides that this right is not absolute.95 As the 1987 Constitution itself reads, the State96 may impose limitations on the exercise of this right, provided that they: (1) serve the interest of national security, public safety, or public health; and (2) are provided by law.97
The stated purposes of the Curfew Ordinances, specifically the promotion of juvenile safety and prevention of juvenile crime, inarguably serve the interest of public safety. The restriction on the minor's movement and activities within the confines of their residences and their immediate vicinity during the curfew period is perceived to reduce the probability of the minor becoming victims of or getting involved in crimes and criminal activities. As to the second requirement, i.e., that the limitation "be provided by law," our legal system is replete with laws emphasizing the State's duty to afford special protection to children, i.e., RA 7610,98 as amended, RA 977599 RA 9262100 RA 9851101RA 9344102 RA 10364103 RA 9211104 RA8980,105 RA9288,106 and Presidential Decree (PD) 603,107 as amended.
Particularly relevant to this case is Article 139 of PD 603, which explicitly authorizes local government units, through their city or municipal councils, to set curfew hours for children. It reads:
Article 139. Curfew Hours for Children. - City or municipal councils may prescribe such curfew hours for children as may be warranted by local conditions. The duty to enforce curfew ordinances shall devolve upon the parents or guardians and the local authorities.
x x x x (Emphasis and underscoring supplied)
As explicitly worded, city councils are authorized to enact curfew ordinances (as what respondents have done in this case) and enforce the same through their local officials. In other words, PD 603 provides sufficient statutory basis - as required by the Constitution - to restrict the minors' exercise of the right to travel.
The restrictions set by the Curfew Ordinances that apply solely to minors are likewise constitutionally permissible. In this relation, this Court recognizes that minors do possess and enjoy constitutional rights,108 but the exercise of these rights is not co-extensive as those of adults.109 They are always subject to the authority or custody of another, such as their parent/s and/or guardian/s, and the State.110 As parens patriae, the State regulates and, to a certain extent, restricts the minors' exercise of their rights, such as in their affairs concerning the right to vote,111 the right to execute contracts,112 and the right to engage in gainful employment.113 With respect to the right to travel, minors are required by law to obtain a clearance from the Department of Social Welfare and Development before they can travel to a foreign country by themselves or with a person other than their parents.114 These limitations demonstrate that the State has broader authority over the minors' activities than over similar actions of adults,115 and overall, reflect the State's general interest in the well-being of minors.116 Thus, the State may impose limitations on the minors' exercise of rights even though these limitations do not generally apply to adults.
In Bellotti,117the US Supreme Court identified three (3) justifications for the differential treatment of the minors' constitutional rights. These are: first, the peculiar vulnerability of children; second, their inability to make critical decisions in an informed and mature manner; and third, the importance of the parental role in child rearing:118
[On the first reason,] our cases show that although children generally are protected by the same constitutional guarantees against governmental deprivations as are adults, the State is entitled to adjust its legal system to account for children's vulnerability and their needs for 'concern, ... sympathy, and ... paternal attention.x x x.
[On the second reason, this Court's rulings are] grounded [on] the recognition that, during the formative years of childhood and adolescence, minors often lack the experience, perspective, and judgment to recognize and avoid choices that could be detrimental to them. x x x.
x x x x
[On the third reason,] the guiding role of parents in the upbringing of their children justifies limitations on the freedoms of minors. The State commonly protects its youth from adverse governmental action and from their own immaturity by requiring parental consent to or involvement in important decisions by minors. x x x.
x x x x
x x x Legal restrictions on minors, especially those supportive of the parental role, may be important to the child's chances for the full growth and maturity that make eventual participation in a free society meaningful and rewarding.119 (Emphases and underscoring supplied)
Moreover, in Prince v. Massachusetts,120 the US Supreme Court acknowledged the heightened dangers on the streets to minors, as compared to adults:
A democratic society rests, for its continuance, upon the healthy, well-rounded growth of young people into full maturity as citizens, with all that implies. It may secure this against impeding restraints and dangers within a broad range of selection. Among evils most appropriate for such action are the crippling effects of child employment, more especially in public places, and the possible harms arising from other activities subject to all the diverse influences of the [streets]. It is too late now to doubt that legislation appropriately designed to reach such evils is within the state's police power, whether against the parent's claim to control of the child or one that religious scruples dictate contrary action.
It is true children have rights, in common with older people, in the primary use of highways. But even in such use streets afford dangers for them not affecting adults. And in other uses, whether in work or in other things, this difference may be magnified.121 (Emphases and underscoring supplied)
For these reasons, the State is justified in setting restrictions on the minors' exercise of their travel rights, provided, they are singled out on reasonable grounds.
Philippine jurisprudence has developed three (3) tests of judicial scrutiny to determine the reasonableness of classifications.122 The strict scrutiny test applies when a classification either (i) interferes with the exercise of fundamental rights, including the basic liberties guaranteed under the Constitution, or (ii) burdens suspect classes.123 The intermediate scrutiny test applies when a classification does not involve suspect classes or fundamental rights, but requires heightened scrutiny, such as in classifications based on gender and legitimacy.124Lastly, the rational basis test applies to all other subjects not covered by the first two tests.125
Considering that the right to travel is a fundamental right in our legal system guaranteed no less by our Constitution, the strict scrutiny test126 is the applicable test.127 At this juncture, it should be emphasized that minors enjoy the same constitutional rights as adults; the fact that the State has broader authority over minors than over adults does not trigger the application of a lower level of scrutiny.128 In Nunez v. City of San Diego (Nunez),129 the US court illumined that:
Although many federal courts have recognized that juvenile curfews implicate the fundamental rights of minors, the parties dispute whether strict scrutiny review is necessary. The Supreme Court teaches that rights are no less "fundamental" for minors than adults, but that the analysis of those rights may differ:
Constitutional rights do not mature and come into being magically only when one attains the state-defined age of majority.1âwphi1 Minors, as well as adults, are protected by the Constitution and possess constitutional rights. The Court[,] indeed, however, [has long] recognized that the State has somewhat broader authority to regulate the activities of children than of adults. xxx. Thus, minors' rights are not coextensive with the rights of adults because the state has a greater range of interests that justify the infringement of minors' rights.
The Supreme Court has articulated three specific factors that, when applicable, warrant differential analysis of the constitutional rights of minors and adults: x x x. The Bellotti test [however] does not establish a lower level of scrutiny for the constitutional rights of minors in the context of a juvenile curfew. Rather, the Bellottiframework enables courts to determine whether the state has a compelling state interest justifying greater restrictions on minors than on adults. x x x.
x x x Although the state may have a compelling interest in regulating minors differently than adults, we do not believe that [a] lesser degree of scrutiny is appropriate to review burdens on minors' fundamental rights. x x x.
According, we apply strict scrutiny to our review of the ordinance. x x x.130 (Emphases supplied)
The strict scrutiny test as applied to minors entails a consideration of the peculiar circumstances of minors as enumerated in Bellotti vis-a-vis the State's duty as parenspatriae to protect and preserve their well-being with the compelling State interests justifying the assailed government act. Under the strict scrutiny test, a legislative classification that interferes with the exercise of a fundamental right or operates to the disadvantage of a suspect class is presumed unconstitutional.131 Thus, the government has the burden of proving that the classification (1) is necessary to achieve a compelling State interest, and (i1) is the least restrictive means to protect such interest or the means chosen is narrowly tailored to accomplish the interest.132
a. Compelling State Interest.
Jurisprudence holds that compelling State interests include constitutionally declared policies.133 This Court has ruled that children's welfare and the State's mandate to protect and care for them as parenspatriaeconstitute compelling interests to justify regulations by the State.134 It is akin to the paramount interest of the state for which some individual liberties must give way.135 As explained in Nunez, the Bellotti framework shows that the State has a compelling interest in imposing greater restrictions on minors than on adults. The limitations on minors under Philippine laws also highlight this compelling interest of the State to protect and care for their welfare.
In this case, respondents have sufficiently established that the ultimate objective of the Curfew Ordinances is to keep unsupervised minors during the late hours of night time off of public areas, so as to reduce - if not totally eliminate - their exposure to potential harm, and to insulate them against criminal pressure and influences which may even include themselves. As denoted in the "whereas clauses" of the Quezon City Ordinance, the State, in imposing nocturnal curfews on minors, recognizes that:
[b] x x x children, particularly the minors, appear to be neglected of their proper care and guidance, education, and moral development, which [lead] them into exploitation, drug addiction, and become vulnerable to and at the risk of committing criminal offenses;
x x x x
[d] as a consequence, most of minor children become out-of-school youth, unproductive by-standers, street children, and member of notorious gangs who stay, roam around or meander in public or private roads, streets or other public places, whether singly or in groups without lawful purpose or justification;
x x x x
[f] reports of barangay officials and law enforcement agencies reveal that minor children roaming around, loitering or wandering in the evening are the frequent personalities involved in various infractions of city ordinances and national laws;
[g] it is necessary in the interest of public order and safety to regulate the movement of minor children during night time by setting disciplinary hours, protect them from neglect, abuse or cruelty and exploitation, and other conditions prejudicial or detrimental to their development;
[h] to strengthen and support parental control on these minor children, there is a need to put a restraint on the tendency of growing number of youth spending their nocturnal activities wastefully, especially in the face of the unabated rise of criminality and to ensure that the dissident elements of society are not provided with potent avenues for furthering their nefarious activities[.]136
The US court's judicial demeanor in Schleifer,137 as regards the information gathered by the City Council to support its passage of the curfew ordinance subject of that case, may serve as a guidepost to our own eatment of the present case. Significantly, in Schleifer, the US court recognized the entitlement of elected bodies to implement policies for a safer community, in relation to the proclivity of children to make dangerous and potentially life-shaping decisions when left unsupervised during the late hours of night:
Charlottesville was constitutionally justified in believing that its curfew would materially assist its first stated interest-that of reducing juvenile violence and crime. The City Council acted on the basis of information from many sources, including records from Charlottesville's police department, a survey of public opinion, news reports, data from the United States Department of Justice, national crime reports, and police reports from other localities. On the basis of such evidence, elected bodies are entitled to conclude that keeping unsupervised juveniles off the streets late at night will make for a safer community. The same streets may have a more volatile and less wholesome character at night than during the day. Alone on the streets at night children face a series of dangerous and potentially life-shaping decisions. Drug dealers may lure them to use narcotics or aid in their sale. Gangs may pressure them into membership or participation in violence. "[D]uring the formative years of childhood and adolescence, minors often lack the experience, perspective, and judgment to recognize and avoid choices that could be detrimental to them." Those who succumb to these criminal influences at an early age may persist in their criminal conduct as adults. Whether we as judges subscribe to these theories is beside the point. Those elected officials with their finger on the pulse of their home community clearly did. In attempting to reduce through its curfew the opportunities for children to come into contact with criminal influences, the City was directly advancing its first objective of reducing juvenile violence and crime.138 (Emphases and underscoring supplied; citations omitted)
Similar to the City of Charlottesville in Schleifer, the local governments of Quezon City and Manila presented statistical data in their respective pleadings showing the alarming prevalence of crimes involving juveniles, either as victims or perpetrators, in their respective localities.139
Based on these findings, their city councils found it necessary to enact curfew ordinances pursuant to their police power under the general welfare clause.140 In this light, the Court thus finds that the local governments have not only conveyed but, in fact, attempted to substantiate legitimate concerns on public welfare, especially with respect to minors. As such, a compelling State interest exists for the enactment and enforcement of the Curfew Ordinances.
With the first requirement of the strict scrutiny test satisfied, the Court now proceeds to determine if the restrictions set forth in· the Curfew Ordinances are narrowly tailored or provide the least restrictive means to address the cited compelling State interest - the second requirement of the strict scrutiny test.
b. Least Restrictive Means/ Narrowly Drawn.
The second requirement of the strict scrutiny test stems from the fundamental premise that citizens should not be hampered from pursuing legitimate activities in the exercise of their constitutional rights. While rights may be restricted, the restrictions must be minimal or only to the extent necessary to achieve the purpose or to address the State's compelling interest. When it is possible for governmental regulations to be more narrowly drawn to avoid conflicts with constitutional rights, then they must be so narrowly drawn. 141
Although treated differently from adults, the foregoing standard applies to regulations on minors as they are still accorded the freedom to participate in any legitimate activity, whether it be social, religious, or civic.142 Thus, in the present case, each of the ordinances must be narrowly tailored as to ensure minimal constraint not only on the minors' right to travel but also on their other constitutional rights.143
In In Re Mosier,144 a US court declared a curfew ordinance unconstitutional impliedly for not being narrowly drawn, resulting in unnecessary curtailment of minors' rights to freely exercise their religion and to free speech.145 It observed that:
The ordinance prohibits the older minor from attending alone Christmas Eve Midnight Mass at the local Roman Catholic Church or Christmas Eve services at the various local Protestant Churches. It would likewise prohibit them from attending the New [Year's] Eve watch services at the various churches. Likewise it would prohibit grandparents, uncles, aunts or adult brothers and sisters from taking their minor relatives of any age to the above mentioned services. x x x.
x x x x
Under the ordinance, during nine months of the year a minor could not even attend the city council meetings if they ran past 10:30 (which they frequently do) to express his views on the necessity to repeal the curfew ordinance, clearly a deprivation of his First Amendment right to freedom of speech.
x x x x
[In contrast, the ordinance in Bykofsky v. Borough of Middletown (supra note 52)] was [a] very narrowly drawn ordinance of many pages with eleven exceptions and was very carefully drafted in an attempt to pass constitutional muster. It specifically excepted [the] exercise of First Amendment rights, travel in a motor vehicle and returning home by a direct route from religious, school, or voluntary association activities. (Emphases supplied)
After a thorough evaluation of the ordinances' respective provisions, this Court finds that only the Quezon City Ordinance meets the above-discussed requirement, while the Manila and Navotas Ordinances do not.
The Manila Ordinance cites only four (4) exemptions from the coverage of the curfew, namely: (a) minors accompanied by their parents, family members of legal age, or guardian; (b) those running lawful errands such as buying of medicines, using of telecommunication facilities for emergency purposes and the like; (c) night school students and those who, by virtue of their employment, are required in the streets or outside their residence after 10:00 p.m.; and (d) those working at night.146
For its part, the Navotas Ordinance provides more exceptions, to wit: (a) minors with night classes; (b) those working at night; (c) those who attended a school or church activity, in coordination with a specific barangay office; (d) those traveling towards home during the curfew hours; (e) those running errands under the supervision of their parents, guardians, or persons of legal age having authority over them; (j) those involved in accidents, calamities, and the like. It also exempts minors from the curfew during these specific occasions: Christmas eve, Christmas day, New Year's eve, New Year's day, the night before the barangay fiesta, the day of the fiesta, All Saints' and All Souls' Day, Holy Thursday, Good Friday, Black Saturday, and Easter Sunday.147
This Court observes that these two ordinances are not narrowly drawn in that their exceptions are inadequate and therefore, run the risk of overly restricting the minors' fundamental freedoms. To be fair, both ordinances protect the rights to education, to gainful employment, and to travel at night from school or work.148 However, even with those safeguards, the Navotas Ordinance and, to a greater extent, the Manila Ordinance still do not account for the reasonable exercise of the minors' rights of association, free exercise of religion, rights to peaceably assemble, and of free expression, among others.
The exceptions under the Manila Ordinance are too limited, and thus, unduly trample upon protected liberties. The Navotas Ordinance is apparently more protective of constitutional rights than the Manila Ordinance; nonetheless, it still provides insufficient safeguards as discussed in detail below:
First, although it allows minors to engage in school or church activities, it hinders them from engaging in legitimate non-school or nonchurch activities in the streets or going to and from such activities; thus, their freedom of association is effectively curtailed. It bears stressing that participation in legitimate activities of organizations, other than school or church, also contributes to the minors' social, emotional, and intellectual development, yet, such participation is not exempted under the Navotas Ordinance.
Second, although the Navotas Ordinance does not impose the curfew during Christmas Eve and Christmas day, it effectively prohibits minors from attending traditional religious activities (such as simbang gabi) at night without accompanying adults, similar to the scenario depicted in Mosier.149 This legitimate activity done pursuant to the minors' right to freely exercise their religion is therefore effectively curtailed.
Third, the Navotas Ordinance does not accommodate avenues for minors to engage in political rallies or attend city council meetings to voice out their concerns in line with their right to peaceably assemble and to free expression.
Certainly, minors are allowed under the Navotas Ordinance to engage in these activities outside curfew hours, but the Court finds no reason to prohibit them from participating in these legitimate activities during curfew hours. Such proscription does not advance the State's compelling interest to protect minors from the dangers of the streets at night, such as becoming prey or instruments of criminal activity. These legitimate activities are merely hindered without any reasonable relation to the State's interest; hence, the Navotas Ordinance is not narrowly drawn. More so, the Manila Ordinance, with its limited exceptions, is also not narrowly drawn.
In sum, the Manila and Navotas Ordinances should be completely stricken down since their exceptions, which are essentially determinative of the scope and breadth of the curfew regulations, are inadequate to ensure protection of the above-mentioned fundamental rights. While some provisions may be valid, the same are merely ancillary thereto; as such, they cannot subsist independently despite the presence150 of any separability clause.151
The Quezon City Ordinance stands in stark contrast to the first two (2) ordinances as it sufficiently safeguards the minors' constitutional rights. It provides the following exceptions:
Section 4. EXEMPTIONS - Minor children under the following circumstances shall not be covered by the provisions of this ordinance;
(a) Those accompanied by their parents or guardian;
(b) Those on their way to or from a party, graduation ceremony, religious mass, and/or other extra-curricular activities of their school or organization wherein their attendance are required or otherwise indispensable, or when such minors are out and unable to go home early due to circumstances beyond their control as verified by the proper authorities concerned; and
(c) Those attending to, or in experience of, an emergency situation such as conflagration, earthquake, hospitalization, road accident, law enforcers encounter, and similar incidents[;]
(d) When the minor is engaged in an authorized employment activity, or going to or returning home from the same place of employment activity without any detour or stop;
(e) When the minor is in [a] motor vehicle or other travel accompanied by an adult in no violation of this Ordinance;
(f) When the minor is involved in an emergency;
(g) When the minor is out of his/her residence attending an official school, religious, recreational, educational, social, community or other similar private activity sponsored by the city, barangay, school, or other similar private civic/religious organization/group (recognized by the community) that supervises the activity or when the minor is going to or returning home from such activity, without any detour or stop; and
(h) When the minor can present papers certifying that he/she is a student and was dismissed from his/her class/es in the evening or that he/she is a working student.152 (Emphases and underscoring supplied)
As compared to the first two (2) ordinances, the list of exceptions under the Quezon City Ordinance is more narrowly drawn to sufficiently protect the minors' rights of association, free exercise of religion, travel, to peaceably assemble, and of free expression.
Specifically, the inclusion of items (b) and (g) in the list of exceptions guarantees the protection of these aforementioned rights. These items uphold the right of association by enabling minors to attend both official and extra-curricular activities not only of their school or church but also of other legitimate organizations. The rights to peaceably assemble and of free expression are also covered by these items given that the minors' attendance in the official activities of civic or religious organizations are allowed during the curfew hours. Unlike in the Navotas Ordinance, the right to the free exercise of religion is sufficiently safeguarded in the Quezon City Ordinance by exempting attendance at religious masses even during curfew hours. In relation to their right to ravel, the ordinance allows the minor-participants to move to and from the places where these activities are held. Thus, with these numerous exceptions, the Quezon City Ordinance, in truth, only prohibits unsupervised activities that hardly contribute to the well-being of minors who publicly loaf and loiter within the locality at a time where danger is perceivably more prominent.
To note, there is no lack of supervision when a parent duly authorizes his/her minor child to run lawful errands or engage in legitimate activities during the night, notwithstanding curfew hours. As astutely observed by Senior Associate Justice Antonio T. Carpio and Associate Justice Marvic M.V.F. Leonen during the deliberations on this case, parental permission is implicitly considered as an exception found in Section 4, item (a) of the Quezon City Ordinance, i.e., "[t]hose accompanied by their parents or guardian", as accompaniment should be understood not only in its actual but also in its constructive sense. As the Court sees it, this should be the reasonable construction of this exception so as to reconcile the juvenile curfew measure with the basic premise that State interference is not superior but only complementary to parental supervision. After all, as the Constitution itself prescribes, the parents' right to rear their children is not only natural but primary.
Ultimately, it is important to highlight that this Court, in passing judgment on these ordinances, is dealing with the welfare of minors who are presumed by law to be incapable of giving proper consent due to their incapability to fully understand the import and consequences of their actions. In one case it was observed that:
A child cannot give consent to a contract under our civil laws. This is on the rationale that she can easily be the victim of fraud as she is not capable of fully understanding or knowing the nature or import of her actions. The State, as parenspatriae, is under the obligation to minimize the risk of harm to those who, because of their minority, are as yet unable to take care of themselves fully. Those of tender years deserve its protection.153
Under our legal system's own recognition of a minor's inherent lack of full rational capacity, and balancing the same against the State's compelling interest to promote juvenile safety and prevent juvenile crime, this Court finds that the curfew imposed under the Quezon City Ordinance is reasonably justified with its narrowly drawn exceptions and hence, constitutional. Needless to say, these exceptions are in no way limited or restricted, as the State, in accordance with the lawful exercise of its police power, is not precluded from crafting, adding, or modifying exceptions in similar laws/ordinances for as long as the regulation, overall, passes the parameters of scrutiny as applied in this case.
D. Penal Provisions of the Manila Ordinance.
Going back to the Manila Ordinance, this Court deems it proper - as it was raised - to further discuss the validity of its penal provisions in relation to RA 9344, as amended.
To recount, the Quezon City Ordinance, while penalizing the parent/s or guardian under Section 8 thereof,154 does not impose any penalty on the minors. For its part, the Navotas Ordinance requires the minor, along with his or her parent/s or guardian/s, to render social civic duty and community service either in lieu of - should the parent/s or guardian/s of the minor be unable to pay the fine imposed - or in addition to the fine imposed therein.155 Meanwhile, the Manila Ordinance imposed various sanctions to the minor based on the age and frequency of violations, to wit:
SEC. 4. Sanctions and Penalties for Violation. Any child or youth violating this ordinance shall be sanctioned/punished as follows:
(a) If the offender is Fifteen (15) years of age and below, the sanction shall consist of a REPRIMAND for the youth offender and ADMONITION to the offender's parent, guardian or person exercising parental authority.
(b) If the offender is Fifteen (15) years of age and under Eighteen (18) years of age, the sanction/penalty shall be:
1. For the FIRST OFFENSE, Reprimand and Admonition;
2. For the SECOND OFFENSE, Reprimand and Admonition, and a warning about the legal impostitions in case of a third and subsequent violation; and
3. For the THIRD AND SUBSEQUENT OFFENSES, Imprisonment of one (1) day to ten (10) days, or a Fine of TWO THOUSAND PESOS (Php2,000.00), or both at the discretion of the Court, PROVIDED, That the complaint shall be filed by the PunongBarangay with the office of the City Prosecutor.156 (Emphases and underscoring supplied).
Thus springs the question of whether local governments could validly impose on minors these sanctions - i.e., (a) community . service; (b) reprimand and admonition; (c) fine; and (d) imprisonment. Pertinently, Sections 57 and 57-A of RA 9344, as amended, prohibit the imposition of penalties on minors for status offenses such as curfew violations, viz.:
SEC. 57. Status Offenses. - Any conduct not considered an offense or not penalized if committed by an adult shall not be considered an offense and shall not be punished if committed by a child.
SEC. 57-A. Violations of Local Ordinances. - Ordinances enacted by local governments concerning juvenile status offenses such as but not limited to, curfew violations, truancy, parental disobedience, anti-smoking and anti-drinking laws, as well as light offenses and misdemeanors against public order or safety such as, but not limited to, disorderly conduct, public scandal, harassment, drunkenness, public intoxication, criminal nuisance, vandalism, gambling, mendicancy, littering, public urination, and trespassing, shall be for the protection of children. No penalty shall be imposed on children for said violations, and they shall instead be brought to their residence or to any barangay official at the barangay hall to be released to the custody of their parents. Appropriate intervention programs shall be provided for in such ordinances. The child shall also be recorded as a "child at risk" and not as a "child in conflict with the law." The ordinance shall also provide for intervention programs, such as counseling, attendance in group activities for children, and for the parents, attendance in parenting education seminars. (Emphases and underscoring supplied.)
To clarify, these provisions do not prohibit the enactment of regulations that curtail the conduct of minors, when the similar conduct of adults are not considered as an offense or penalized (i.e., status offenses). Instead, what they prohibit is the imposition of penalties on minors for violations of these regulations. Consequently, the enactment of curfew ordinances on minors, without penalizing them for violations thereof, is not violative of Section 57-A.
"Penalty"157 is defined as "[p]unishment imposed on a wrongdoer usually in the form of imprisonment or fine";158 "[p ]unishment imposed by lawful authority upon a person who commits a deliberate or negligent act."159 Punishment, in tum, is defined as "[a] sanction - such as fine, penalty, confinement, or loss of property, right, or privilege - assessed against a person who has violated the law."160
The provisions of RA 9344, as amended, should not be read to mean that all the actions of the minor in violation of the regulations are without legal consequences. Section 57-A thereof empowers local governments to adopt appropriate intervention programs, such as community-based programs161 recognized under Section 54162 of the same law.
In this regard, requiring the minor to perform community service is a valid form of intervention program that a local government (such as Navotas City in this case) could appropriately adopt in an ordinance to promote the welfare of minors. For one, the community service programs provide minors an alternative mode of rehabilitation as they promote accountability for their delinquent acts without the moral and social stigma caused by jail detention.
In the same light, these programs help inculcate discipline and compliance with the law and legal orders. More importantly, they give them the opportunity to become productive members of society and thereby promote their integration to and solidarity with their community.
The sanction of admonition imposed by the City of Manila is likewise consistent with Sections 57 and 57-A of RA 9344 as it is merely a formal way of giving warnings and expressing disapproval to the minor's misdemeanor. Admonition is generally defined as a "gentle or friendly reproof' or "counsel or warning against fault or oversight."163The Black's Law Dictionary defines admonition as "[a]n authoritatively issued warning or censure";164 while the Philippine Law Dictionary defines it as a "gentle or friendly reproof, a mild rebuke, warning or reminder, [counseling], on a fault, error or oversight, an expression of authoritative advice or warning."165 Notably, the Revised Rules on Administrative Cases in the Civil Service (RRACCS) and our jurisprudence in administrative cases explicitly declare that "a warning or admonition shall not be considered a penalty."166
In other words, the disciplinary measures of community-based programs and admonition are clearly not penalties - as they are not punitive in nature - and are generally less intrusive on the rights and conduct of the minor. To be clear, their objectives are to formally inform and educate the minor, and for the latter to understand, what actions must be avoided so as to aid him in his future conduct.
A different conclusion, however, is reached with regard to reprimand and fines and/or imprisonment imposed by the City of Manila on the minor. Reprimand is generally defined as "a severe or formal reproof."167 The Black's Law Dictionary defines it as "a mild form of lawyer discipline that does not restrict the lawyer's ability to practice law";168while the Philippine Law Dictionary defines it as a "public and formal censure or severe reproof, administered to a person in fault by his superior officer or body to which he belongs. It is more than just a warning or admonition."169 In other words, reprimand is a formal and public pronouncement made to denounce the error or violation committed, to sharply criticize and rebuke the erring individual, and to sternly warn the erring individual including the public against repeating or committing the same, and thus, may unwittingly subject the erring individual or violator to unwarranted censure or sharp disapproval from others. In fact, the RRACCS and our jurisprudence explicitly indicate that reprimand is a penalty,170 hence, prohibited by Section 57-A of RA 9344, as amended.
Fines and/or imprisonment, on the other hand, undeniably constitute penalties - as provided in our various criminal and administrative laws and jurisprudence - that Section 57-A of RA 9344, as amended, evidently prohibits.
As worded, the prohibition in Section 57-A is clear, categorical, and unambiguous. It states that "[n]o penalty shall be imposed on children for x x x violations [of] juvenile status offenses]." Thus, for imposing the sanctions of reprimand, fine, and/or imprisonment on minors for curfew violations, portions of Section 4 of the Manila Ordinance directly and irreconcilably conflict with the clear language of Section 57-A of RA 9344, as amended, and hence, invalid. On the other hand, the impositions of community service programs and admonition on the minors are allowed as they do not constitute penalties.
CONCLUSION
In sum, while the Court finds that all three Curfew Ordinances have passed the first prong of the strict scrutiny test - that is, that the State has sufficiently shown a compelling interest to promote juvenile safety and prevent juvenile crime in the concerned localities, only the Quezon City Ordinance has passed the second prong of the strict scrutiny test, as it is the only issuance out of the three which provides for the least restrictive means to achieve this interest. In particular, the Quezon City Ordinance provides for adequate exceptions that enable minors to freely exercise their fundamental rights during the prescribed curfew hours, and therefore, narrowly drawn to achieve the State's purpose. Section 4 (a) of the said ordinance, i.e., "[t]hose accompanied by their parents or guardian", has also been construed to include parental permission as a constructive form of accompaniment and hence, an allowable exception to the curfew measure; the manner of enforcement, however, is left to the discretion of the local government unit.
In fine, the Manila and Navotas Ordinances are declared unconstitutional and thus, null and void, while the Quezon City Ordinance is declared as constitutional and thus, valid in accordance with this Decision.
For another, the Court has determined that the Manila Ordinance's penal provisions imposing reprimand and fines/imprisonment on minors conflict with Section 57-A of RA 9344, as amended. Hence, following the rule that ordinances should always conform with the law, these provisions must be struck down as invalid.
WHEREFORE, the petition is PARTLYGRANTED. The Court hereby declares Ordinance No. 8046, issued by the local government of the City of Manila, and Pambayang Ordinansa Blg. No. 99-02, as amended by Pambayang Ordinansa Blg. 2002-13 issued by the local government of Navotas City, UNCONSTITUTIONAL and, thus, NULLand VOID; while Ordinance No. SP-2301, Series of 2014, issued by the local government of the Quezon City is declared CONSTITUTIONAL and, thus, VALID in accordance with this Decision.
SO ORDERED.
ESTELA M. PERLAS-BERNABE
Associate Justice
WE CONCUR:
MARIA LOURDES P.A. SERENO
Chief Justice
Chairperson
ANTONIO T. CARPIO
Associate Justice
PRESBITERO J. VELASCO, JR.
Associate Justice
TERESITA J. LEONARDO-DE CASTRO
Associate Justice
DIOSDADO M. PERALTA
Associate Justice
LUCAS P. BERSAMIN
Associate Justice
MARIANO C DEL CASTILLO
Associate Justice
JOSE CATRAL MENDOZA
Associate Justice
See separate opinion
MARVIC M.V.F. LEONEN
Associate Justice
FRANCIS H. JARDELEZA
Associate Justice
ALFREDO BENJAMIN S. CAGUIOA
Associate Justice
SAMUEL R. MARTIRES
Associate Justice
NOEL G. TIJAM
Associate Justice
ANDRES B. REYES, JR.
Associate Justice
C E R T I F I C A T I O N
Pursuant to the Section 13, Article VIII of the Constitution and the Division Chairperson’s Attestation, I certify that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court’s Division.
MARIA LOURDES P.A. SERENO
Chief Justice

Footnotes
* Or "Samahan ng Progresibong Kabataan," rollo, p. 4.
1 Id. at 3-36.
2 Entitled "AN ACT ESTABLISHING A COMPREHENSIVE JUVENILE JUSTICE AND WELFARE SYSTEM, CREATING THE JUVENILE JUSTICE AND WELFARE COUNCIL UNDER TI-IE DEPARTMENT OF JUSTICE, APPROPRIATING FUNDS THEREFOR AND FOR OTHER PURPOSES," approved on April 28, 2006.
3 Rollo, p. 6.
4 Id. at 37-40.
5 Id. at 41-43. Entitled "Ordinansa na Nag-aamyenda sa Jiang Bahagi ng Tuntunin 1, 2 at Tuntunin 4 ng Pambayang Ordinansa Big. 99-02, Ki/ala Bilang Ordinansang Nagtatakda ng 'Curfew' ng mga Kabataan na Wala Pang Labing Walong (18) Taong Gulang sa Bayan ng Navotas, Kalakhang Maynila."
6 Id. at 44-47.
7 Id. at 48-60
8 See id. at 5-6.
9 Namely, herein petitioners Joanne Rose Sace Lim and John Arvin Navarro Buenaagua, and Ronel Baccutan, Mark Leo Delos Reyes, and Clarissa Joyce Villegas, minor, for herself and as represented by her father, Julian Villegas, Jr, as leaders and members of the SPARK, respectively. Id. at 4-5.
10 Id. at 4.
11 See id. at 16.
12 Entitled "AN ACT STRENGTHENING THE JUVENILE JUSTICE SYSTEM IN THE PHILIPPINES, AMENDING FOR THE PURPOSE REPUBLIC ACT NO. 9344, OTHERWISE KNOWN AS THE 'JUVENILE JUSTICE AND WELFARE ACT OF 2006' AND APPROPRIATING FUNDS THEREFOR," approved on October 3, 2013.
13 See rollo, pp. 20-21.
14 See id.
15 See id. at 21-22.
16 Id. at 23.
17 Id. at 23-25.
18 Id. at 25.
19 Sec. 4. Sanctions and Penalties for Violation. Any child or youth violating this ordinance shall be sanctioned/punished as follows:
(a) If the offender is fifteen (15) years of age and below, the sanction shall consist of a REPRIMAND for the youth offender and ADMONITION to the offender's parent, guardian or person exercising parental authority.
(b) If offender is Fifteen (15) years and under Eighteen (18) years of age, the sanction/penalty shall be:
1. for the FIRST OFFENSE, Reprimand and Admonition;
2. for the SECOND OFFENSE, Reprimand and Admonition, and a warning about the legal impositions in case of a third and subsequent violation; and
3. for the THIRD OFFENSE AND SUBSEQUENT OFFENSES, Imprisonment of one (1) day to ten (10) days, or a Fine of TWO THOUSAND PESOS (Php2,000.00), or both at the discretion of the Court: PROVIDED, That the complaint shall be filed by the Punong Barangay with the office of the City Prosecutor. (See id. at 45.)
20 Section 57-A. Violations of Local Ordinances. - Ordinances enacted by local governments concerning juvenile status offenses such as, but not limited to, curfew violations, truancy, parental disobedience, anti-smoking and anti-drinking laws, as well as light offenses and misdemeanors against public order or safety such as, but not limited to, disorderly conduct, public scandal, harassment, drunkenness, public intoxication, criminal nuisance, vandalism, gambling, mendicancy, littering, public urination, and trespassing, shall be for the protection of children. No penalty shall be imposed on children for said violations, and they shall instead be brought to their residence or to any barangay official at the barangay hall to be released to the custody of their parents. Appropriate intervention programs shall be provided for in such ordinances. The child shall also be recorded as a "child at risk" and not as a "child in conflict with the law." The ordinance shall also provide for intervention programs, such as counseling, attendance in group activities for children, and for the parents, attendance in parenting education seminars.
21 See rollo,pp.18-19.
22 Id. at 26-28.
23 See id. at 243-248.
24 Araullo v. Aquino III, 737 Phil. 457, 525 (2014).
25 Id.
26 Id.
27 Id. at 528.
28 Id. at 531; emphasis and underscoring supplied.
29 See G.R. Nos. 207132 and 207205, December 6, 2016.
30 See id.
31 See Ocampo v. Enriquez, G.R. Nos. 225973, 225984, 226097, 226116, 226117, 226120, and 226294, November 8, 2016.
32 Arroyo v. Department of Justice, 695 Phil. 302, 334 (2012); emphasis and underscoring supplied.
33 Id. at 335; emphasis and underscoring supplied.
34 Belgica v. Ochoa, Jr., 721 Phil. 416, 518-519 (2013).
35 See Association of Medical Clinics for Overseas Workers, Inc. v. GCC Approved Medical Centers Association, Inc., supra note 29.
36 Belgica v. Ochoa, Jr., supra note 34, at 519; emphasis and underscoring supplied.
37 See Association of Medical Clinics for Overseas Workers, Inc. v. GCC Approved Medical Centers Association, Inc., supra note 29; emphasis and underscoring supplied.
38 Spouses Imbong v. Ochoa, Jr., 732 Phil. 1, 123-124 (2014); emphasis and underscoring supplied.
39 See TRO dated July 26, 2016 issued by Clerk of Court Felipa B. Anama; rollo, pp. 67-70.
40 Saguisag v. Ochoa, Jr., G.R. Nos. 212426 and 212444, January 12, 2016, 779 SCRA 241, 327-328; emphasis and underscoring supplied.
41 Id. at 328.
42 Belgica v. Ochoa, Jr., supra note 34, at 527; emphasis and underscoring supplied.
43 Rollo, p. 5.
44 Clarissa was seventeen (17) years old (see Certificate of Live Birth; id. at 63) at the time the petition was filed on July 22, 2016 (see id. at 3).
45 Association of Flood Victims v. Commission on Elections (COMELEC), G.R. No. 203775, August 5, 2014, 732 SCRA 100, 106.
46 Saguisag v. Ochoa, Jr., supra note 40, at 335-336; emphasis and underscoring supplied.
47 See rollo, pp. 19-21.
48 Southern Hemisphere Engagement Network, Inc. v. Anti-Terrorism Council, 646 Phil. 452, 488 (2010); emphases and underscoring supplied.
49 See Smith v. Goguen, 415 U.S. 566; 94 S. Ct. 1242; 39 L. Ed. 2d 605 (1974) U.S. LEXIS 113.
50 Dissenting Opinion of Retired Associate Justice Dante O. Tinga in Spouses. Romualdez v. COMELEC, 576 Phil. 357, 432 (2008).
51 401 F. Supp. 1242 (1975) U.S. Dist. LEXIS 16477.
52 Id., citation omitted.
53 Section 16 of RA 10630 provides:
Section. 16. Repealing Clause. -All laws, decrees, ordinances and rules inconsistent with the provisions of this Act are hereby modified or repealed accordingly.
54 Section 11 of RA 10630 provides:
Section. 57-A. Violations of Local Ordinances. - Ordinances enacted by local governments concerning juvenile status offenses such as, but not limited to, curfew violations, truancy, parental disobedience, anti-smoking and anti-drinking laws, as well as light offenses and misdemeanors against public order or safety such as, but not limited to, disorderly conduct, public scandal, harassment, drunkenness, public intoxication, criminal nuisance, vandalism, gambling, mendicancy, littering, public urination, and trespassing, shall be for the protection of children. x xx The child shall also be recorded as a 'child at risk' and not as a 'child in conflict with the law.' x x x. (Emphasis and underscoring supplied)
55 Section 1. Short Title and Scope. - This Act shall be known as the "Juvenile Justice and Welfare Act of 2006." It shall cover the different stages involving children at risk and children in conflict with the law from prevention to rehabilitation and reintegration.
56 People v. Chong Hong, 65 Phil. 625, 628 (1938); emphasis and underscoring supplied.
57 See rollo, pp. 26-28.
58 Wisconsin v. Yoder, 406 U.S. 205; 92 S. Ct. 1526; 32 L. Ed. 2d 15 (1972) U.S. LEXIS 144; emphasis and underscoring supplied.
59 Bellotti v. Baird, 443 U.S. 622; 99 S. Ct. 3035; 61 L. Ed. 2d 797 (1979) U.S. LEXIS 17.
60 Id.
61 390 U.S. 629; 88 S. Ct. 1274; 20 L. Ed. 2d 195 (1968) U.S. LEXIS 1880; 1 Media L. Rep. 1424; 44 Ohio Op. 2d 339.
62 Id; emphasis and underscoring supplied.
63 See Spouses Imbong v. Ochoa, Jr., supra note 38, at 192 and 195.
64 Bellotti v. Baird, supra note 59.
65 See id.
66 Bykofsky v. Borough of Middletown, supra note 51; emphasis supplied.
67 Id.; emphasis and underscoring supplied.
68 150-A Phil. 241 (1972).
69 Id. at 248, citing Mormon Church v. US, 136 U.S. 1 (1890).
70 See Spouses lmbong v. Ochoa, Jr., supra note 38, at 195-196.
71 Bellotti, supra note 59, citing See Hafen, Children's Liberation and the New Egalitarianism: Some Reservations About Abandoning Children to Their "Rights," 1976 B. Y. U. L. Rev. 605 and Ginsberg v. New York, supra note 61; emphasis and underscoring supplied.
72 See Schleifer v. City of Charlottesville, 159 F.3d 843 (1998) U.S. App. LEXIS 26597.
73 See Qutb v. Strauss, 11 F.3d 488 (1993) U.S. App. LEXIS 29974.
74 See Bykofsky v. Borough of Middletown, supra note 51; and City of Panora v. Simmons, 445 N.W.2d 363; 1989 Iowa Sup. LEXIS 254; 83 A.LR. 4th 1035.
75 Supra note 72.
76 Id.
77 Id.
78 See rollo, pp. 23-25.
79 See id. at 21-23.
80 Supra note 48.
81 Id. at 490; emphasis in the original omitted, citation omitted.
82 Id. at 490-491.
83 First Amendment (US Constitution). Congress shall make no law respecting an establishment of religion, or prohibiting the free exercise thereof; or abridging the freedom of speech, or of the press; or the right of the people peaceably to assemble, and to petition the Government for a redress of grievances.
84 539 U.S. 113; 123 S. Ct. 2191; 156 L. Ed. 2d 148 (2003) U.S. LEXIS 4782; 71 U.S.L.W. 4441; 2003 Cal. Daily Op. Service 5136; 16 Fla. L. Weekly Fed. S347.
85 Southern Hemisphere Engagement Network, Inc. v. Anti-Terrorism Council, supra note 48, at 491.
86 Supra note 38.
87 See Associate Justice Marvic M.V. F. Leonen's Dissenting Opinion; id. at 583-584; emphases and underscoring supplied.
88 See In the Matter of the Petition for Habeas Corpus of Benigno S. Aquino, Jr. v. Enrile, 158-A Phil. 1 (1974); Kwong v. Presidential Commission on Good Government, 240 Phil. 219 (1987).
89 In Marcos v. Manglapus, 258 Phil. 479, 497-498 (1989), the Court ruled that the right to travel under our Constitution refer to right to move within the country, or to another country, but not the right to return to one's country. The latter right, however, is provided under the Universal Declaration of Human Rights to which the Philippines is a signatory.
90 UP Law Center Constitutional Revision Project 61 (1970). See Kent v. Dulles, 357 U.S. 116; 78 S. Ct. 1113; 2 L. Ed. 2d 1204 (1958) U.S. LEXIS 814. See also Rubi v. Provincial Board of Mindoro, 39 Phil. 660 705-706 (1919), where the Court stated that the right of locomotion is one of the chief elements of the guaranty of liberty.
91 See Duran v. Abad Santos, 75 Phil. 410, 431-432 (1945).
92 See Salvador H Laurel. Proceedings of the Philippine Constitutional Convention. As Faithfully Reproduced from the Personal Record of Jose P. Laurel, Vol. III, 652 (1966). See also Rubi v. Provincial Board of Mindoro,supra note 90, at 705.
93 See City of Maquoketa v. Russell, 484 N.W.2d 179 (1992) Iowa Sup. LEXIS 91.
94 Id.
95 See Leave Division, Office of Administrative Services-Office of the Court Administrator (OAS-OCA) v. Heusdens, 678 Phil. 328, 399 (2011) and Mirasol v. Department of Public Works and Highways, 523 Phil. 713, 752 (2006). See also Marcos v. Manglapus, supra note 89, at 504. In Silverio v. CA (273 Phil. 128, 133 [1991 ]), the Court held that "the [State is] not armed with arbitrary discretion to impose limitations [on this right]," and in Rubi v. Provincial Board of Mindoro (supra note 90, at 716), it was held that "citizens [do] not possess an absolute freedom of locomotion."
96 The State under Section 6, Article III of the 1987 Constitution pertains to executive officers or administrative authorities (see Santiago v. Vasquez, G .R. Nos. 99289-90, January 27, 1993, 217 SCRA 633, 651 ).
97 Silverio v. CA, supra note 95, at 133.
98 See Section 2 of RA 7610, entitled "AN ACT PROVIDING FOR STRONGER DETERRENCE AND SPECIAL PROTECTION AGAINST CHILD ABUSE, EXPLOITATION AND DISCRIMINATION, PROVIDING PENALTIES FOR ITS VIOLATION, AND FOR OTHER PURPOSES," otherwise known as "SPECIAL PROTECTION OF CHILDREN AGAINST CHILD ABUSE, EXPLOITATION AND DISCRIMINATION ACT" (July 27, 1992).
99 See Section 2 of RA 9775, entitled "AN ACT DEFINING AND PENALIZING THE CRIME OF CHILD PORNOGRAPHY, PRESCRIBING PENALTIES THEREFOR AND FOR OTHER PURPOSES," otherwise known as the "ANTI-CHILD PORNOGRAPHY ACT OF 2009," approved on November 17, 2009.
100 See Sections 2 and 4 of RA 9262, entitled "AN ACT DEFINING VIOLENCE AGAINST WOMEN AND THEIR CHILDREN, PROVIDING FOR PROTECTIVE MEASURES FOR VICTIMS, PRESCRIBING PENAL TIES THEREFOR, AND FOR OTHER PURPOSES," otherwise known as the "ANTI-VIOLENCE AGAINST WOMEN AND THEIR CHILDREN ACT OF 2004" (March 27, 2004).
101 See Section 2 of RA 9851, entitled "AN ACT DEFINING AND PENALIZING CRIMES AGAINST INTERNATIONAL HUMANITARIAN LAW, GENOCIDE AND OTHER CRIMES AGAINST HUMANITY, ORGANIZING JURISDICTION, DESIGNATING SPECIAL COURTS, AND FOR RELATED PURPOSES" otherwise known as the "PHILIPPINE ACT ON CRIMES AGAINST INTERNATIONAL HUMANITARIAN LAW, GENOCIDE, AND OTHER CRIMES AGAINST HUMANITY," approved on December 11, 2009.
102 See Section 2 of RA 9344.
103 See Sections 3 (a) and (b) of RA 10364, entitled "AN ACT EXPANDING REPUBLIC ACT No. 9208, ENTITLED 'AN ACT TO INSTITUTE POLICIES TO ELIMINATE TRAFFICKING IN PERSONS ESPECIALLY WOMEN AND CHILDREN, ESTABLISHING THE NECESSARY INSTITUTIONAL MECHANISMS FOR THE PROTECTION AND SUPPORT OF TRAFFICKED PERSONS, PROVIDING PENALTIES FOR ITS VIOLATIONS AND FOR OTHER PURPOSES," OTHERWISE KNOWN AS THE "EXPANDED ANTI-TRAFFICKING IN PERSONS ACT OF 2012," approved on February 6, 2013.
104 See Section 32 (b) of RA 9211, entitled "AN ACT REGULATING THE PACKAGING, USE, SALE, DISTRIBUTION AND ADVERTISEMENTS OF TOBACCO PRODUCTS AND FOR OTHER PURPOSES," otherwise known as ''TOBACCO REGULATION ACT OF 2003"(September 2, 2003).
105 See Sections 2 and 3 of RA 8980, entitled "AN ACT PROMULGATING A COMPREHENSIVE POLICY AND A NATIONAL SYSTEM FOR EARLY CHILDHOOD CARE AND DEVELOPMENT (ECCD), PROVIDING FUNDS THEREFOR AND FOR OTHER PURPOSES," otherwise known as "ECCD ACT" (May 22, 2001 ).
106 See Sections 2 and 3 of RA 9288, entitled "AN ACT PROMULGATING A COMPREHENSIVE POLICY AND A NATIONAL SYSTEM FOR ENSURING NEWBORN SCREENING," otherwise known as the "NEWBORN SCREENING ACT OF 2004" (May 10, 2004).
107 See Articles 1, 3, and 8 of PD 603, entitled "THE CHILD AND YOUTH WELFARE CODE," approved on December 10, 1974.
108 See Bellotti, supra note 59. See also Assessing the Scope of Minors' Fundamental Rights: Juvenile Curfews and the Constitution 97 Harv. L. Rev. 1163 (March 1984), stating that minors enjoy a myriad of constitutional rights shared with adults. Indeed, the Bill of Rights under the Constitution is not for adults alone; hence, the State should not afford less protection to minors' right simply because they fall below the age of majority.
109 See Hutchins v. District of Columbia, 188 F.3d 531; 338 U.S. App. D.C. 11 (1999) U.S. App. LEXIS 13635; Schleifer v. City of Charlottesville, supra note 72, citing Bethel School District No. 403 v. Fraser, 478 U.S. 675; 106 S. Ct. 3159; 92 L. Ed. 2d 549 (1986) U.S. LEXIS 139; 54 U.S.L.W. 5054; Bellotti, supra note 59; Ginsberg v. New York, supra note 61; and Prince v. Massachusetts, 321 U.S. 804; 64 S. Ct. 784; 88 L. Ed. 1090 (1944) U.S. LEXIS 942.
110 See Vernonia School District 47 J v. Acton, 515 U.S. 646; 115 S. Ct. 2386; 132 L. Ed. 2d 564 (1995) U.S. LEXIS 4275; 63 U.S.L.W. 4653; 95 Cal. Daily Op. Service 4846; 9 Fla. L. Weekly Fed. S229.
111 1987 CONSTITUTION, Article V, Section 1.
112 Civil Code of the Philippines, Article 1327.
113 Labor Code of the Philippines, as renumbered, Articles 137 and 138.
114 See Section 8 (a) of RA 7610 and Section 5 (t) of RA 8239, entitled "PHILIPPINE PASSPORT ACT OF 1996," approved on November 22, 1996.
115 Schleifer v. City of Charlottesville, supra note 72, citing Prince v. Massachusetts, supra note 109.
116 Schleifer v. City of Charlottesville; id.
117 Supra note 59.
118 Bellotti, id.; to wit: "The unique role in our society of the family x x x requires that constitutional principles be applied with sensitivity and flexibility to the special needs of parents and children. We have recognized three [(3)) reasons justifying the conclusion that the constitutional rights of children cannot be equated with those of adults: 111 the peculiar vulnerability of children; 121 their inability to make critical decisions in an informed, mature manner; and 131 the importance of the parental role in child rearing." (Emphases and underscoring supplied)
119 Id.
120 Supra note 109.
121 Id., citations omitted.
122 See Central Bank Employees Association, Inc. v. BSP (ESP), 487 Phil. 531 (2004); White Light Corporation v. City of Manila, 596 Phil. 444 (2009); Ang Ladlad LGBT Party v. COMELEC, 632 Phil. 32, 77 (2010), citing Joaquin Bernas, S.J. The 1987 Constitution of the Philippines: A Commentary 139-140 (2009). See also Concurring Opinion of Associate Justice Teresita J. Leonardo-De Castro in Garcia v. Drilon, 712 Phil. 44, 124-127 (2013); and Disini, Jr. v. Secretary of Justice, 727 Phil. 28, 97- 98 (2014).
123 In Central Bank Employees Association, Inc. v. ESP (id. at 693-696, citations omitted), it was opined that, "in the landmark case of San Antonio Independent School District v. Rodriguez (411 U.S. l; 93 S. Ct. 1278; 36 L. Ed. 2d 16 [1973] U.S. LEXIS 91), the U.S. Supreme Court in identifying a 'suspect class' as a class saddled with such disabilities, or subjected to such a history of purposeful unequal treatment, or relegated to such a position of political powerlessness as to command extraordinary protection from the majoritarian political process, articulated that suspect classifications were not limited to classifications based on race, alienage or national origin but could also be applied to other criteria such as religion. Thus, the U.S. Supreme Court has ruled that suspect classifications deserving of Strict Scrutiny include those based on race or national origin, [alienage], and religion while classifications based on gender, illegitimacy, financial need, conscientious objection and age have been held not to constitute suspect classifications." See also Mosqueda v. Pilipino Banana Growers & Exporters Association, Inc., G.R. Nos. 189185 and 189305, August 16, 2016. See further White Light Corporation v. City of Manila (id. at 463), where it was held that "[s[trict scrutiny is used today to test the validity of laws dealing with the regulation of speech, gender, or race[,] as well as other fundamental rights as expansion from its earlier applications to equal protection. The [US] Supreme Court has expanded the scope of strict scrutiny to protect fundamental rights such as suffrage, judicial access, and interstate travel."
124 See Dissenting Opinion of Retired Chief Justice Artermio V. Panganiban in Central Bank Employees Association, Inc. v. BSP, id. at 648.
125 See id.
126 See White Light Corporation v. City of Manila, id.
127 In the US, courts have made several, albeit conflicting, rulings in determining the applicable level of scrutiny in cases involving minors' constitutional rights, specifically on the right to travel (see Bykofsky v. Borough of Middletown, supra note 51; Johnson v. City of Opelousas, 658 F.2d 1065 [1981] U.S. App. LEXIS 16939; 32 Fed. R. Serv. 2d [Callaghan] 879; McCollester v. City of Keene, 586 F. Supp. 1381 [1984] U.S. Dist. LEXIS 16647; Waters v. Barry, 711 F. Supp. 1125 [1989] U.S. Dist. LEXIS 5707; Qutb v. Strauss, supra note 73; Hutchins v. District of Columbia, supra note 109; Nunez v. City of San Diego, 114 F.3d 935 [1997] U.S. App. LEXIS 13409; 97 Cal. Daily Op. Service 4317, 97 Daily Journal DAR 7221; Schleifer v. City of Charlottesville, supra note 72; Ramos v. Town of Vernon, 353 F.3d 171 [2003] U.S. App. LEXIS 25851; and Hodgkins v. Peterson, 355 F.3d 1048 [2004] U.S. App. LEXIS 910). These conflicting rulings spring from the uncertainty on whether the right to interstate travel under US laws is a fundamental right (see US v. Wheeler, 254 U.S. 281; 41 S. Ct. 133; 65 L. Ed. 270 [1920] U.S. LEXIS 1159; and Shapiro v. Thompson, 394 U.S. 618; 89 S. Ct. 1322; 22 L. Ed. 2d 600 [1969] U.S. LEXIS 3190). In contrast, the right to travel is clearly a fundamental right under Philippine law; thus, the strict scrutiny test is undeniably the applicable level of scrutiny.
See also In Re Mosier, 59 Ohio Misc. 83; 394 N.E.2d 368 [1978] Ohio Misc. LEXIS 94; citing earlier cases involving curfew ordinances on minors; People in the Interest of JM, 768 P.2d 219 [1989] Colo. LEXIS 10; 13 BTR 93; City of Panora v. Simmons, supra note 74; and City of Maquoketa v. Russell, supra note 93.
128 See In Re Mosier, id. citing People v. Chambers, 32 Ill. App. 3d 444; 335 N.E.2d 612 (1975) Ill. App. LEXIS 2993.
129 Nunez v. City of San Diego, supra note 127.
130 Id.
131 Disini, Jr. v. Secretary of Justice, supra note 122, at 98. See also Serrano v. Gallant Maritime Services, Inc., 601 Phil. 245, 282 (2009).
132 Disini, Jr. v. Secretary of Justice, id. See also Dissenting Opinion of Ret. Chief Justice Panganiban and Senior Associate Justice Antonio T. Carpio in Central Bank Employees Association, Inc. v. BSP, supra note 122, at 644 and 688-689, respectively.
133 See The Diocese of Bacolodv. COMELEC, G.R. No. 205728, January 21, 2015, 747 SCRA 1, 97-98, citing 1987 CONSTITUTION, Art. II, Secs. 12 and 13 and Soriano v. Laguardia, 605 Phil. 43, 106 (2009).
134 Id.
135 Serrano v. Gallant Maritime Services, Inc., supra note 131, at 298.
136 Rollo, pp. 48-49.
137 Supra note 72.
138 Id.
139 In its Comment dated August 18, 2016 (see rollo, pp. 270-313), the local government of Quezon City attached statistical data on "Children in Conflict with Law" (CICL) incidents from the various barangays of its six (6) districts for the years 2013, 2014, and 2015 (see id. at 330-333). The information is summarized as follows:
YEARNUMBER OF CICL
2013
2677
2014
5106
2015
4778
In 2014 and 2015, most of the reported CICL incidents were related to Theft, Curfew violations, and Physical Injury. The local government claimed that the decline of CICL incidents in 2015 was due to the enforcement of the curfew ordinance (id. at 298).
Also, together with its Comment dated August 16, 2016 (id. at 85-111), the local government of Manila submitted data reports of the Manila Police District (MPD) on CICL incidents, in Manila from 2014, 2015, and half of the year 2016 (id. at 116-197), as follows:
YEAR
NUMBER OF CICL
2014
74*
2015
30
January to July 2016
75**
  • It includes a minor who violated RA 4136 or the "Land Transportation and Traffic Code" (June 20, 1964) and RA 10586 or the "Anti-Drunk and Drugged Driving Act of 2013," approved on May 27, 2013.
  • It includes the number of minors who violated curfew hours.
A number from these reports involve incidents of Robbery (43), Theft (43), Physical Injuries (12), Rape (9), and Frustrated Homicide (6).
The local government of Manila likewise attached the Department of Social Welfare and Development's (DSWD) report on CICL for the years 2015 and half of the year 2016, summed as follows (id. at 198-I 99):
YEAR
NUMBER OF CICL
2015
845
January to July 2016
524
Further, it attached DSWD's report on minors who were at risk of running in conflict with law and CICL as a result of the local government of Manila's Campaign on Zero Street Dwellers in the City of Manila for the year 2016 (id. at 200-202):
Reached out Cases
2,194
**Reached out Cases with Offenses (CICL)
480
**For the period January to August 2016 only.
140 See id. at 296-298.
141 See In Re Mosier, supra note 127.
142 See People in Interest of J.M, supra note 127.
143 Assessing the Scope of Minors' Fundamental Rights: Juvenile Curfews and the Constitution, 97 Harv. L. Rev. 1163 (March 1984).
144 Note that the court in this US case used "no compelling interest" as the ground to declare the ordinance unconstitutional. The reasons set forth in its discussion, however, relates to the failure of the ordinance to be narrowly drawn as to infringe on constitutional rights (see supra note 127).
145 See Qutb v. Strauss (supra note 73), wherein a US court ruled that the assailed .curfew ordinance employed the least restrictive means of accomplishing its objectives as it contained various defenses or exceptions that narrowly tailored the ordinance and allowed the local government to meet its goals while respecting the rights of minors. In effect, the ordinance placed only minimal burden on the minors' constitutional rights. It held:
Furthermore, we are convinced that this curfew ordinance also employs the least restrictive means of accomplishing its goals. The ordinance contains various "defenses" that allow affected minors to remain in public areas during curfew hours. x x x To be sure, the defenses are the most important consideration in determining whether this ordinance is narrowly tailored.
x x x x
x x x It is true, of course, that the curfew ordinance would restrict some late-night activities of juveniles; if indeed it did not, then there would be no purpose in enacting it. But when balanced with the compelling interest sought to be addressed- protecting juveniles and preventing juvenile crime--the impositions are minor. x x x. Thus, after carefully examining the juvenile curfew ordinance enacted by the city of Dallas, we conclude that it is narrowly tailored to address the city's compelling interest and any burden this ordinance places upon minors' constitutional rights will be minimal. (Emphases supplied)
146 Rollo, pp. 44.
Sec. 2. During curfew hours, no children and youths below eighteen (18) years of age shall be allowed in the streets, commercial establishments, recreation centers, malls or any other area outside the immediate vicinity of their residence, EXCEPT:
(a) those accompanied by their parents, family members of legal age, or guardian; (b) those running lawful errands such as buying of medicines, using of telecommunication facilities for emergency purposes and the like; (c) students of night schools and those who, by virtue of their employment, are required to stay in the streets or outside their residence after10:00 P.M.; and
(d) those working at night: PROVIDED, That children falling under categories c) and d) shall secure a certification from their Punong Barangay exempting them from the coverage of this Ordinance, or present documentation/identification proving their qualification under such category.
147 Id. at 38.
Tuntunin 3. Mga Eksemsyon
a.1Mga mag-aaral na may klase sa gabi;
a2 Mga kabataang naghahanapbuhay sa gabi;
a.3 Mga kabataang dumalo sa gawainlpagtitipon ng paaralan o simbahan na may pakikipag-ugnayan Sa Tanggapan ng Sangguniang Barangay.
Ang lahat ng kabataan sa sakop ng Bayan ng Navotas, Kalakhang Maynila na nag-aaral o naghahanapbuhay na ang oras ng pagpasok o pag-uwi ay sakop ng "curfew" ay kailangang kumuha ng katibayan (certification) mula sa paaralan/tanggapan/pagawaan na pinapasukan ng may pagpapatunay ng Punong Barangay na sumasakop sa mga kinauukulan, upang ito ay magamit sa oras ng "curfew" sa kanilang pag-uwi o pagpasok.
b. Eskemsyong [sic] lnsidental:
b. l Mga kabataang may mga gawain sa ilalim ng superbisyon o pamamahala ng kanilang mga magulang/tagapag-alaga o mga indibiduwal na nasa hustong gulang (18 taon at pataas) na may awtoridad sa kanila.
b.2 Mga kabataang napasama sa mga aksidente, kalamidad at mga tulad nito.
k. Eksemsyong tuwing may okasyon:
k.l Bisperas at Araw ng Pasko;
k.2 Bisperas at Araw ng Bagong Taon;
k.3 Bisperas at Araw ng Pistang Barangay;
k.4 Araw ng Santo!Araw ng mga Kaluluwa;
k.5 Huwebes Santo;
k.6 Biyernes Santo;
k.7 Sabado de Gloria; at k.
k.8 Pasko ng Pagkabuhay.
148 The Curfew Ordinances exempt minors from the curfews when they are engaged in night school, night work, or emergency situations (see id. at 38, 44, and 53-54).
149 Supra note 127.
150 See Tuntunin 4 of the Navotas Ordinance (rollo, p. 42); and Section 12 of the Manila Ordinance (rollo, p. 46).
151 The general rule is that where part of a statute is void as repugnant to the Constitution, while another part is valid, the valid portion, if separable from the invalid, may stand and be enforced. The presence of a separability clause in a statute creates the presumption that the legislature intended separability, rather than complete nullity of the statute. To justify this result, the valid portion must be so far independent of the invalid portion that it is fair to presume that the legislature would have enacted it by itself if it had supposed that it could not constitutionally enact the other. Enough must remain to make a complete, intelligible and valid statute, which carries out the legislative intent.x x x.
The exception to the general rule is that when the parts of a statute are so mutually dependent and connected, as conditions, considerations, inducements, or compensations for each other, as to warrant a belief that the legislature intended them as a whole, the nullity of one part will vitiate the rest. In making the parts of the statute dependent, conditional, or connected with one another, the legislature intended the statute to be carried out as a whole and would not have enacted it if one part is void, in which case if some parts are unconstitutional, all the other provisions thus dependent, conditional, or connected must fall with them. (Tatad v. The Secretary of the Department of Energy, 346 Phil. 321, 371 [I 997], citing Agpalo, Statutory Construction, 1986 Ed., pp. 28-29.)
152 Rollo, pp. 53-54.
153 Malta v. People, 560 Phil. 119, 139-140 (2007).
154 Rollo, p. 57-59.
155 See amended Navotas Ordinance; id. at 41-42.
Tuntunin 1. PAMPATAKARANG KAPARUSAHAN AT MULTA.
a) Unang Paglabag - ang mahuhuli ay dadalhin sa Tanggapan ng Kagalingang Panlipunan at Pagpapaunlad (MSWDO). Ipapatawag ang magulang o tagapag-alaga sa kabataang lumabag at pagkuha ng tala hinggil sa pagkatao nito (Pangalan, Edad, Tirahan, Pangalan ng Magulang o Tagapag-alaga), at pagpapaalala, kasunod ang pagbabalik sa kalinga ng magulang o tagapagalaga ng batang nahuli.
b) Pangalawang Paglabag -Ang batang lumabag ay [dadalhin] sa MSWDO, pagmumultahin ang magulang/tagapag-alaga ng halagang ₱300.00 piso, dahil sa kapabayaan o apat (4) na oras na gawaing sibiko-sosval o pangkomunidad ng magulang/tagapag-alaga at ang batang nalluli.
k) Ikatlong Paglabag - pagmumulta ng magulang/tagapag-alaga ng halagang ₱300.00 piso dahil sa kapabayaan at apat (4) na oras ng gawaing sibiko-sosval o pangkomunidad ng magulang/tagapag-alaga at ang batang naliuli.
d) Para sa pang-apat at paulit-ulit na lalabag ay papatawan ng kaparusahang doble sa itinakda ng Tuntuning l .k ng ordinansang ito.
1.1. Sa pagkakataong walang multang [maibibigay] ang magulang/tagapag-alaga ng kabataang [nahuli], ang Tanggapan ng Kagalingang Panlipunan at Pagpapaunlad (MSDWO) ay magpapataw ng gawaing sibiko-social o pangkomunidad sa magulang at ang batang nahuli katumbas ng nasabing multa tulad ng mga sumusunod:
a. Apat (4) na oras na paglilinis ng kanal o lansangan na itinakda ng nasabing tanggapan.
b. Apat (4) na oras na pagtatanim ng puno sa lugar na itatakda ng nasabing tanggapan.
c. Apat (4) na oras na gawaing pagpapaganda ng komunidad bilang suporta sa programang "Clean and Green" ng Pamahalaang Bayan. (Emphases and underscoring supplied.)
156 Rollo, p. 45.
157 Penalties (as punishment) are imposed either: (1) to "satisfy the community's retaliatory sense of indignation that is provoked by injustice" (Black's Law Dictionary, 81 h Ed., p. 1270) - or for retribution following the classical or juristic school of thought underlying the criminal law system (Boado, Notes and Cases on the Revised Penal Code, 2012 Ed., p. 9); (2) to "change the character of the offender" (Black's Law Dictionary, Eight Ed., p. 1270) - or for reformation pursuant to the positivist or realistic school of thought (Boado, Notes and Cases on the Revised Penal Code, 2012 Ed., pp. 9-10); (3) to "prevent the repetition of wrongdoing by disabling the offender" (Black's Law Dictionary, 8th Ed., p. 1270) - following the utilitarian theory (Boado, Notes and Cases on the Revised Penal Code, 2012 Ed., p. 11); or (4) for both retribution and reformation pursuant to the eclectic theory (Boado, Notes and Cases on the Revised Penal Code, 2012 Ed., p. 11).
158 Black's Law Dictionary, 8th Ed., p. 1168.
159 Philippine Law Dictionary, 3rd Ed., p. 688.
160 Black's Law Dictionary, 8th Ed., p. 1269.
161 Section 4 (f) of RA 9344 reads:
Section 4. Definition of Terms- x x x.
x x x x
(f) "Community-based Programs" refers to the programs provided in a community setting developed for purposes of intervention and diversion, as well as rehabilitation of the child in conflict with the law, for reintegration into his/her family and/or community.
162 Section 54 of RA 9344 reads:
Section 54. Objectives of Community-Based Programs. - The objectives of communitybased programs are as follows:
(a) Prevent disruption in the education or means of livelihood of the child in conflict with the law in case he/she is studying, working or attending vocational learning institutions;
(b) Prevent separation of the child in conflict with the law from his/her parents/guardians to maintain the support system fostered by their relationship and to create greater awareness of their mutual and reciprocal responsibilities;
(c) Facilitate the rehabilitation and mainstreaming of the child in conflict with the law and encourage community support and involvement; and
(d) Minimize the stigma that attaches to the child in conflict with the law by preventing jail detention.
163 <http://www.meriam-webster.com/dictionary/admonition > (last accessed on March 14, 2017).
164 8th Ed., p. 52.
165 3rd Ed., p. 36.
166 See Section 52 (g), Rule 10 of the Revised Rules on Administrative Cases in the Civil Service (RRACCS) (promulgated on November 18, 2011), which states that: "[a] warning or admonition shall not be considered a penalty." See also In the Matter of the Contempt Orders Against Lt. Gen. Calimlim, 584 Phil. 377, 384 (2008), citing Tobias v. Veloso, 188 Phil. 267, 274-275 (1980); Re: Anonymous Complaint Against Ms. Bayani for Dishonesty, 656 Phil. 222, 228 (2011); and Dalmacio Joaquin v. Dela Cruz, 690 Phil. 400, 409 (2012), to name a few.
See also Section 58 (i), Rule IV of Memorandum Circular No. 19, Series of 1999 or the "Revised Uniform Rules on Administrative Cases in the Civil Service" (RURACCS) (September 27, 1999). The RRACCS (Section 46 (f), Rule 10) and its predecessor RURACCS (Section 52 (c), Rule IV), however, consider reprimand (or censure) as a penalty imposed for light offenses.
167 <http://www.meriam-webster.com/dictionary/reprimand >(last accessed on March 14, 2017).
168 8th Ed., p. 1329.
169 3rd Ed., p. 818.
170 See Section 52 (f) Rule IO of the RRACCS: "[t]he penalty of reprimand x x x." See also Tobias v. Veloso,supra note 166, at 275.

Petitioner Foundation has presented adequate legal and factual basis to prove that it remains as a tax exempt entity under Article XIV, Section 4, Paragraph 3 of the 1987 Constitution. Based on jurisprudence and tax rulings, a taxpayer shall be granted with this tax exemption after proving that: (1) it falls under the classification of 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.[44]

Next: The petitioner recognized the fact - which was affirmed in the CTA En Banc Decision dated August 22, 2014, that as a government entity, it is exempt from payment of real property taxes pursuant to Section 234(a) of the 1991 Local Government Code or R.A. No. 7160.[18] The said provision also provides that when the beneficial use of the real property owned by the Republic or any of its political subdivision, is vested to a taxable person, the real property is subject to tax. Petitioner, together with the PTA and the Province of Leyte, had already admitted that they are co-owners of the subject property and they were leasing the same to UCI, a private entity pursuant to a Contract of Lease dated September 15, 1994. Thus, pursuant to the aforementioned Local Government Code provision and also in the case of National Power Corporation v. Province of Quezon,[19] where this Court ruled: The liability for taxes generally rests on the owner of the real property at the time the tax accrues. This is a necessary consequence that proceeds from the fact of ownership. However, personal liability for realty taxes may also expressly rest on the entity with the beneficial use of the real property, such as the tax on property owned by the government but leased to private persons or entities, or when the tax assessment is made on the basis of the actual use of the property. In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner. (Emphasis and italics in the original)
$
0
0

THIRD DIVISION

[ G.R. No. 202792, February 27, 2019 ]

LA SALLIAN EDUCATIONAL INNOVATORS FOUNDATION (DE LA SALLE UNIVERSITY-COLLEGE OF ST. BENILDE) INC., PETITIONER, VS. COMMISIONER OF INTERNAL REVENUE, RESPONDENT.

D E C I S I O N


A. REYES, JR., J.: 

Before this Court is a Petition for Review on Certiorari[1] taken under Rule 16 of the Revised Rules of the Court of Tax Appeals, in relation to Rule 45 of the Rules of Court seeking to nullify the Decision[2] dated April 19, 2012 and Resolution[3] promulgated on July 17, 2012 of the Court of Tax Appeals (CTA) En Banc.

The Factual Antecedents

Petitioner La Sallian Educational Innovators Foundation, Inc. (De La Salle University-College of St. Benilde Foundation)/for brevity) is a non­-stock, non-profit domestic corporation duly organized and existing under the laws of the Philippines.[4] Respondent is the Commissioner of Internal Revenue who has the power to decide, cancel, and abate tax liabilities pursuant to Section 204(B) of the Tax Code, as amended.[5]

On June 17, 2005, respondent issued two (2) Assessment Notices, both numbered 33-FY 05-31-02, for fiscal year ending May 31, 2002. The notices have demand letters against petitioner for deficiency income tax. The alleged deficiency income tax is in the amount of P122,414,521.70, inclusive of interest, computed as follows:[6]
Gross Income Per Return on Educational

P 618,449,079.00
 
Less: Expenses Per Return on Educational

459,848,867.00
 
Net Income Per Return

P 158,600,212.00
 
Add: Adjustments Per Investigation


 
 Interest Expense


 
 - Disallowed (Sec. 34 (B) NIRC)
P 21,827,506.66

 
 Provision For Retirement


 
 - Not Deductible (Sec. 34 NIRC)
27,059,453.34

 
 Provision For Doubtful Accounts


 
 - Not Deductible (Sec. 34 NIRC)
4,252,393.73

 
 Not Subject to Withholding Tax


 
 - Sec. 34 NIRC


 
 Rental
123,147.00

 
 Income Not Subjected to Income Tax


 
 - Depository Accounts (Sec. 32 NIRC)
575,702,650.00

 
  


 
 Unlocated/Unsupported Invoices & Vouchers (Sec. 34 NIRC)
2,150,270.66
631,170,895.82
 
Adjusted Taxable Income

P 789,771,107.82
 
  


 
Tax Due

P 78,977,110.78
 
Less: Tax due per return

-
 
Deficiency Income Tax (subject to increments)

P 78,977,110.78
 
Add: 25% surcharge (Sec. 248)


 
20% interest from __ to 06-20-05 (Sec. 249)

P 43,437,410.92
 
Compromise Penalty (Sec. 254)

______________
 
TOTAL AMOUNT DUE & COLLECTIBLE

P 122,414,521.70
 
The other Assessment Notice is for a deficiency value-added tax (VAT) in the amount of P2,752,228.54, inclusive of interest, computed as follows:
Taxable Income Subject to VAT



 
ICC Revenue

P 24,830,069.00

 
Auxiliary Service Income

637,280.35

 
Concessionaire

606,726.00

 
Mimeo/Xerox

425,489.60

 
Book store-School Supplies

559,140.96

 
Parking Fund

2,729,330.75

 
Boarding House

2,513,338.02

 
Locker Rental

309,172.00
32,610,546.68
 
 



 
VAT Output Tax Due - Sec. 106/08 NIRC


P 3,261,054.67
 
Less: Creditable Input Tax



 
 Carried Over from Previous Quarter

P770,351.28

 
 Current Input Tax

943,242.91

 
 Total



 
 Less: Excess/To be Applied to



 
 Succeeding Year - Sec. 110 NIRC
P 121,991.53


 
 Unsupported - Sec. 110 NIRC
393,240.74


 
 Pro-rated between Hotel & School



 
 - Sec. 110, NIRC
309,956.13
825,188.40
888,405.79
 
VAT Due


P 2,372,648.88
 
Less: Payment


652,506.04
 
Deficiency VAT


P 1,720,142.84
 
Add: 25% surcharge (Sec. 248)



 
20% interest from __ to 06-20-05 (Sec. 249)


1,032,085.70
 
Compromise Penalty (Sec. 254)



 
_____________________________



 
TOTAL AMOUNT DUE & COLLECTIBLE


P 2,752,228.54[7]
 
On the same date, a separate demand letter was also sent by respondent to petitioner for a compromise penalty in deficiency VAT in the amount of P25,000.00.[8]

To contest the deficiency taxes assessed, petitioner Foundation filed a Protest or Request for Reconsideration to respondent on July 20, 2005.[9] After the petitioner Foundation has submitted all the documents in support of its protest, and in view of respondent's inaction thereto, petitioner Foundation filed a Petition for Review before the Special First Division of the CTA Division. It was sent through registered mail on April 17, 2006, the last day of filing the appeal.[10] However, petitioner was only able to pay the docket and other legal fees nine days after or on April 26, 2006.[11]

Notably, petitioner Foundation executed an Agreement Form with the Bureau of Internal Revenue (BIR) on April 21, 2006, and paid the deficiency VAT liability of P601,487.70 on May 9, 2006.[12]

However, respondent alleged that the petitioner Foundation has already lost its tax-exempt status, malting it liable to deficiency income tax. The Details of Discrepancies issued by the BIR enumerated the following findings, to wit:[13]
a. The foundation may be a non-stock entity but it is definitely a profit-oriented organization wherein majority of its revenue-operating activities are generating huge amount of profit amounting to P643 million that earned from expensive tuition fees collected from its students, mostly belong to a [sic] upper class family.

b. The foundation's Cash in Bank in the amount of P775 million comprise of investing activities and has significant movement in relation to its charitable purposes, which mean that the foundation are [sic] not giving sufficient donations which is the main reasons [sic] for its qualification[s] [sic] for exemption. During the school year the foundations [sic] has a total cash receipts of approximately 1.222 Billion out of which only 77 Million goes to the revolving fund.

c. Based on the Cash Flow of the foundation activities the taxpayer has used 583 Million for operating activities, 54 Million interest/settlement of loan and 203 Million for investing activities or 70% of foundation's earnings goes to the administrative purposes and improvement of the school to increase number of its enrollees and increase further its profit and not to further its charitable purposes.

Pursuant to section 30 of the NIRC, "Notwithstanding the provisions in the preceding Paragraphs, the income of whatever kind and character of the foregoing organizations from any of their properties, real or personal, or from any of their activities conducted for profit [r]egardless of the disposition made by such income, shall be subject to tax imposed under this Code."

d. The taxpayer's Ruling for exemption from the BIR was obtained in 1988, hence, all Ruling issued before the implementations or RA No. 8424 or CTRP was repealed, thereby, requiring the taxpayer to apply for new Revenue Ruling for exemption taking consideration of its income earning activities.
On the other hand, petitioner Foundation consistently argued that it enjoys a tax-exempt status from all taxes as a non-stock, non-profit educational institution as expressly provided under Paragraph 4, Section 4, Article XIV of the 1987 Constitution, which reads:
ARTICLE XIV

EDUCATION, SCIENCE AND TECHNOLOGY, ARTS, CULTURE AND SPORTS

EDUCATION

x x x x

Section 4. x x x.

x x x x

(3) All revenues and assets of non-stock, non-profit educational institution used actually, directly and exclusively for educational purposes shall be exempt from taxes and duties. x x x.
Moreover, petitioner Foundation denied the respondent's allegations that it engaged in disproportionate profit-earning activities contrary to its educational purpose. Contrary to the allegations, it explained that the sum of P643,279,148.00 is not profit, but merely the gross receipts from school-year 2002.[14]

Bearing in mind that the total expenses of the Foundation is in the amount of P582,903,965.00, the net receipt of petitioner Foundation is only P60,375,183.[15] This was corroborated by the Foundation's Audited Financial Statement.[16] Remarkably, this amount is equivalent to just 9.38% of its total operating receipts.[17]

Furthermore, petitioner Foundation's claim that all the said income is actually, directly and exclusively used or earmarked for promoting its educational purpose and not a single centavo inure to the benefit of any of the Foundation's members, trustees and officers.[18] The Independent Certified Public Accountant, Mr. Edwin Ramos, also testified and explained that the administrative expenses of the Foundation would necessarily be lower than 27.35%.

Thereafter, respondent filed its Answer on June 15, 2006,[19] and petitioner Foundation filed its Reply on June 30, 2006[20] to the CTA Division.

Ruling of CTA Division

On July 16, 2010, the CTA Division promulgated a Decision[21] ruling in favor of petitioner Foundation, and cancelling Assessment Notice No. 33-FY 05-31-02 for fiscal year ending May 31, 2002, with demand letter. The dispositive portion reads:
WHEREFORE, the Petition for Review is hereby GRANTED. The Assessment Notice No. 33-FY 05-31-02 for fiscal year ending May 31, 2002, with demand letter, against petitioner for deficiency income tax in the amount of ONE HUNDRED TWENTY-TWO MILLION FOUR HUNDRED FOURTEEN THOUSAND FIVE HUNDRED TWENTY-ONE PESOS & 70/100 (P122,414,521.70) is hereby CANCELLED.

SO ORDERED.[22]
The CTA Division also ruled that there's nothing in the Foundation's books that will show that it operated for profit or that any of its income inured to the benefit of its members or trustees.[23] The CTA Division found that (1) petitioner Foundation maintained its tax-exempt status under Section 4, Article XIV of the 1987 Constitution, and (2) the Final Assessment Notices issued by respondent against petitioner Foundation are not valid for failing to state their legal and factual basis hence, all other issues raised are moot and academic.[24]

Dissatisfied with CTA Division's decision, respondent filed a Motion for Reconsideration dated August 3, 2010,[25]which petitioner Foundation opposed by filing an Opposition to Motion for Reconsideration dated August 16, 2010.[26]

The CTA Division resolved it by promulgating a Resolution dated November 18, 2010 denying respondent's motion for reconsideration for lack of merit.[27] In the body of the resolution, the CTA Division agreed with petitioner Foundation that respondent's motion for reconsideration merely raised the same arguments which have been sufficiently addressed and passed by the CTA Division in the assailed decision.[28]

Thereafter, respondent filed a petition for review before the CTA En Banc dated December 21, 2010 against the resolution denying its Motion for Reconsideration,[29] to which petitioner Foundation filed its Comment on February 3, 2011.[30]

Ruling of the CTA En Banc

On April 19, 2012, the CTA En Banc promulgated a Decision[31] granting respondent's petition for review and reversing the decision of the CTA Division, to wit:
WHEREFORE, the Petition for Review dated December 21, 2010, filed by the Commissioner of Internal Revenue, is hereby GRANTED. The Decision dated July 16, 2010 and the Resolution dated November 18, 2010 are REVERSED and SET ASIDE. Consequently, the Petition for Review dated April 17, 2006 filed before the Court in Division is DISMISSED, on jurisdictional grounds.

SO ORDERED.[32]
The CTA En Banc ruled that the CTA Division should not have given due course to petitioner Foundation's petition for review.[33] Payment of docket fees and other legal fees within the thirty (30)-day reglementary period to appeal is mandatory and jurisdictional. The late payment of docket fees prevented the CTA Division from acquiring jurisdiction.[34] Petitioner Foundation's appeal was allegedly not perfected because the payment of the docket fees was made only on April 26, 2006 or nine (9) days after April 17, 2006, the last day for filing the appeal.[35] As a result, the assailed assessment has allegedly become final and executory.[36]

Moreover, even assuming that the CTA Division had jurisdiction over the petition, the latter allegedly erred in cancelling the assessment notice because the presumption of its correctness has not been overturned. The CTA En Banc emphasized that petitioner Foundation's tax exempt status has been impliedly revoked due to its excessive profit-earning activities.[37]

Aggrieved, petitioner Foundation filed its Motion for Reconsideration[38] dated May 18, 2012, but it was likewise denied by the CTA En Banc.[39]

Hence, this petition for review on certiorari.[40]

The Issues

Although the parties raised a number of issues, this Court shall decide only the pivotal issues which we summarized as follows:[41]
I.
WHETHER THE PETITIONER FOUNDATION HAS LOST ITS TAX-EXEMPT STATUS UNDER THE 1987 CONSTITUTION


II.
WHETHER THE CTA EN BANG COMMITTED A REVERSIBLE ERROR WHEN IT REVERSED AND SET ASIDE THE DECISION OF THE CTA DIVISION DATED JULY 16, 2010 AND RESOLUTION DATED NOVEMBER 18, 2010
Ruling of the Court

The petition is meritorious.

No less than the 1987 Constitution expressly exempt all revenues and assets of non-stock, non-profit educational institutions from taxes provided that they are actually, directly and exclusively used for educational purposes, to wit:[42]
Section 4.(1) The State recognizes the complementary roles of public and private institutions in the educational system and shall exercise reasonable supervision and regulation of all educational institutions.

x x x x

(3) All revenues and assets of non-stock, non-profit educational institutions used actually, directly, and exclusively for educational purposes shall be exempt from taxes and duties.(Emphasis and underscoring supplied)
This constitutional exemption is reiterated in Section 30 (H) of the 1997 Tax Code, as amended, which provides as follows:
Sec. 30. Exemptions from Tax on Corporations. - The following organizations shall not be taxed under this Title in respect to income received by them as such:

x x x x

(H) A non[-]stock and non[-]profit educational institution[.]
Clearly, non-stock, non-profit educational institutions are not required to pay taxes on all their revenues and assets if they are used actually, directly and exclusively for educational purposes.

According to the BIR, petitioner Foundation has failed to comply with the constitutional requirements for being a profit-oriented educational institution. Hence, it is no longer a tax-exempt entity, and is subject to a 10% income tax rate as a taxable proprietary educational institution.[43]

The Court disagrees.

Petitioner Foundation has presented adequate legal and factual basis to prove that it remains as a tax exempt entity under Article XIV, Section 4, Paragraph 3 of the 1987 Constitution.

Based on jurisprudence and tax rulings, a taxpayer shall be granted with this tax exemption after proving that: (1) it falls under the classification of 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.[44]

Petitioner Foundation has fulfilled both of the abovementioned requirements.

For the first requirement, there is no contest as both the parties have stipulated that petitioner Foundation is a non-stock, non-profit educational institution.[45]

Nonetheless, the Petitioner Foundation's primary and secondary purposes in its Amended Articles of Incorporation clearly provide that it is a non-stock, non-profit educational entity, to wit:[46]
SECOND: That the purposes and objectives for which such corporation is incorporated are:

That the primary purpose for which said corporation is formed is to establish a school that will offer elementary, secondary, collegiate and post graduate courses of study, as well as technical, vocational and special courses under one campus with emphasis on its being innovative in its approach to undergraduate education through self-learning devices, kits, individually guided teaching, credit by equivalence, credited internships, and practicism, as the Board of Trustees may determine, the primary intention being to form the whole man through integration of a liberal Christian education with professional competence for participation in Philippine development.

AND IN THE FURTHERANCE OF THE FOREGOING, the institution shall:

x x x x

8. Any profits derived from activities and undertakings described in paragraph 2, 3, 5 and 6 immediately preceding shall not inure to any of the members, trustees or officers but shall be used exclusively for the maintenance of the Corporation.
Moreover, petitioner Foundation has no capital divided into shares.[47] No part of its income can be distributed as dividends to its members, trustees and officers.[48] The members of the Board of Trustees do not receive any compensation for the performance of their duties, including attendance in meetings.[49]

It is also important to mention that in BIR Ruling No. 176-88 dated August 23, 1988, the BIR already declared that petitioner Foundation is a non-stock, non-profit educational institution that is exempt from certain taxes.[50]

As pointed out by respondent, petitioner Foundation did not secure a new BIR Ruling on its claim for exemption after the Tax Code has been amended. However, this Court finds such fact insignificant. The application for a new BIR Ruling is unnecessary considering that the BIR Ruling was never revoked, and the primary purpose of petitioner Foundation remained the same. Notably, respondent also failed to mention any legal basis that will require petitioner Foundation to secure a new BIR Ruling to confirm its tax exempt status.

Furthermore, the respondent claimed that petitioner Foundation is not a non-profit educational institution anymore due to its alleged enormous profits. Respondent accused it of operating contrary to the nature of a non-­profit educational institution by generating massive profits in the amount of P643,000,000.00 from tuition fees, and having cash worth P775,000,000 in its bank.[51]

However, these allegations were completely unsupported by facts and evidence.

Based on the evidence presented, the P643,000,000.00 is not petitioner Foundation's profit as it is just the gross receipt from school year 2002.[52] Unfortunately, respondent easily overlooked petitioner Foundation's administrative and non-administrative expenses amounting to P582,903,965.00.[53] This sum constituted the total operating expenses of petitioner Foundation for the fiscal year ended May 31, 2002.[54] Thus, the income of petitioner Foundation is only P60,375,183.00 or 9.38% of its operating receipts.[55] This is way below the average gross profit margin rate of 20% for most business enterprises.[56]

Furthermore, the alleged P775,000,000 cash of petitioner Foundation is in reality a part of its Cash and Cash Equivalents account. The amount of P575,700,000.00 therein constitutes Funds Held in Trust to finance capital improvements, scholarship, faculty development, retirement and for other restricted uses.[57] The rest of the account consists of highly liquidated debt instruments purchased with a short term maturity.[58] Clearly, there is nothing in the petitioner Foundation's books that will indicate that it is driven by profit or that its income is used for anything but in pursuit of its primary purpose.

In several cases, this Court has ruled that a non-profit institution will not be considered profit driven simply because of generating profits.[59] The reason behind this was explained by this Court in its earlier ruling in Jesus Sacred Heart College v. Collector of Internal Revenue,[60] to wit:
To hold that an educational Institution is subject to income tax whenever it is so administered as to reasonably assure that it will not incur in deficit, is to nullify and defeat the aforementioned exemption. Indeed, the effect, in general, of the interpretation advocated by appellant would be to deny the exemption whenever there is net income, contrary to the tenor of said section 27(e) which positively exempts from taxation those corporations or associations which, otherwise, would be subject thereto, because of the existence of said net income.

Needless to say, every responsible organization must be so run as to, at least insure its existence by operating within the limits of its own resources, especially its regular income. In other words, it should always strive, whenever possible, to have a surplus.[61] (Emphasis and underscoring supplied)
Considering the clear explanation of the nature of the money involved, it is evident that all of petitioner Foundation's income is actually, directly and exclusively used or earmarked for promoting its educational purpose.[62] To reiterate, respondent never argued that the income of petitioner Foundation was used in any manner other than for promoting its purpose as a non-stock, non-profit educational institution, hi fact, there is not even a single argument or evidence presented to cast a doubt in the proper usage of petitioner Foundation's income.

Furthermore, a simple reading of the Constitution would show that Article XIV, Section 4 (3) does not require that the revenues and income must have also been earned from educational activities or activities related to the purposes of an educational institution. The phrase "all revenues" is unqualified by any reference to the source of revenues.[63]Thus, so long as the revenues and income are used actually, directly and exclusively for educational purposes, then said revenues and income shall be exempt from taxes and duties.[64]

In the instant case, petitioner Foundation firmly and adequately argued that none of its income inured to the benefit of any officer or entity. Instead, its income has been actually, exclusively and directly used for performing its purpose as an educational institution. Undoubtedly, petitioner Foundation has also proven this second requisite.

Thus, the tax exempt status of petitioner Foundation under the 1987 Constitution is clear.

It can be recalled that the questioned CTA En Banc decision only ruled on the procedural aspect of the case on the ground that it is jurisdictional and determinative of the validity of the whole process.[65] The late payment of docket fees allegedly divested the CTA Division of jurisdiction or authority to take cognizance of the petition for review filed before it.[66] As a result, the decision of the CTA Division was rendered without jurisdiction, and is totally null and void. Thus, the impugned tax deficiency assessment has become final and executory, and its correctness cannot be disputed anymore.[67]

This Court cannot agree.

The tax exemption expressly granted by the 1987 Constitution, the supreme law of the land, cannot be set aside by any statute, especially by a mere technicality in procedure. While payment of docket fee and other legal fees within the thirty (30)-day reglementary period to appeal a tax assessment to the CTA is mandatory and jurisdictional, this Court will not hesitate to exercise its equity jurisdiction and allow a liberal interpretation of the rules of procedure if a rigid application will defeat substantial justice.

This Court has ruled in the past that if a rigid application of the rules of procedure will tend to obstruct rather than serve the broader interests of justice and depending on the prevailing circumstances of the case, such as where strong considerations of substantive justice are manifest ill the petition, the Court may relax the strict application of the rules of procedure in the exercise of its equity jurisdiction.[68]

The Court's pronouncement in Heirs of Amada Zaulda v. Zaulda[69] is instructive on this matter, to wit:
The reduction in the number of pending cases is laudable, but if it would be attained by precipitate, if not preposterous, application of technicalities, justice would not be served. The law abhors technicalities that impede the cause of justice. The court's primary duty is to render or dispense justice. "It is a more prudent course of action for the court to excuse a technical lapse and afford the parties a review of the case on appeal rather than dispose of the case on technicality and cause a grave injustice to the parties, giving a false impression of speedy disposal of cases while actually resulting in more delay, if not miscarriage of justice." x x x

What should guide judicial action is the principle that a party-litigant should be given the fullest opportunity to establish the merits of his complaint or defense rather than for him to lose life, liberty, honor, or property on technicalities. The rules of procedure should be viewed as mere tools designed to facilitate the attainment of justice. Their strict and rigid application, which would result in technicalities that tend to frustrate rather than promote substantial justice, must always be eschewed. At this juncture, the Court reminds all members of the bench and bar of the admonition in the often-cited case of Alonso v. Villamar[70] (Emphasis and underscoring supplied; citation omitted)
Otherwise stated, procedural rules are important tools designed to facilitate the dispensation of justice, but legal technicalities may be excused when strict adherence thereto will impede the achievement of justice it seeks to serve.

In the present case, petitioner Foundation timely opposed the tax deficiency assessments against it by filing a Protest or Request for Reconsideration, the proper remedy, before the BIR. Due to respondent's inaction, it filed a petition for review, also the proper remedy, within the reglementary period required by law. In addition, it completely paid the required docket and legal fees in the amount of P861,178.34.

However, a procedural controversy arose because the payment of the required docket and legal fees was done nine (9) days after the last day for filing the petition for review. To recall, petitioner Foundation's petition for review was filed through a registered mail on April 17, 2006, the last day of filing. It was not able to pay the docket and legal fees on the day of filing because the CTA received the petition and made a computation of the required fees only on April 26, 2006 or nine (9) days after.

The question now is: should the late payment of the docket fees divest the CTA Division of jurisdiction over petitioner Foundation's petition for review making the VAT deficiency assessment of P122,414,521.70 against a tax-exempt entity final and executory?

This Court answers in the negative.

Indeed, the general rule is that a petition for review is perfected by timely filing it and paying the requisite docket fees and other lawful fees. However, all general rules admit of certain exceptions.[71]

In Mactan Cebu International Airport Authority v. Mangubat[72] where the docket fees were paid six (6) days late, this Court said that where the party immediately paid the required fees showing willingness to abide by the rules, and in view of the significance of the issues raised in the cask the same calls for judicial leniency, thus:
In all, what emerges from all of the above is that the rules of procedure in the matter of paying the docket fees must be followed. However, there are exceptions to the stringent requirement as to call for a relaxation of the application of the rules, such as: (1) most persuasive and weighty reasons; (2) to relieve a litigant from an injustice not commensurate with his failure to comply with the prescribed procedure; (3) good faith of the defaulting party by immediately paying within a reasonable time from the time of the default; (4) the existence of special or compelling circumstances; (5) the merits of the case; (6) a cause not entirely attributable to the fault or negligence of the party favored by the suspension of the rules; (7) a lack of any showing that the review sought is merely frivolous and dilatory; (8) the other party will not be unjustly prejudiced thereby; (9) fraud, accident, mistake or excusable negligence without appellant's fault; (10) peculiar legal and equitable circumstances attendant to each case; (11) in the name of substantial justice and fair play; (12) importance of the issues involved; and (13) exercise of sound discretion by the judge guided by all the attendant circumstances. Concomitant to a liberal interpretation of the rules of procedure should be an effort on the part of the party invoking liberality to adequately explain his failure to abide by the rules. Anyone seeking exemption from the application of the Rule has the burden of proving that exceptionally meritorious instances exist which warrant such departure.[73] (Emphasis and underscoring supplied)
In other words, while procedural rules are important in the administration of justice, they may be excused for the most persuasive and meritorious reasons in order to relieve a litigant of an injustice that is not commensurate with the degree of his thoughtlessness in not complying with the procedure prescribed.[74]

To reiterate, petitioner Foundation was able to establish that it is a tax exempt entity under the 1987 Constitution. It has timely filed its Protest to the tax deficiency assessment. It was also able to actually pay the full amount of the required docket and legal fees in the amount of P861,178.34, but it was nine (9) days late. Evidently, petitioner Foundation immediately paid the docket and legal fees upon the CTA's assessment of the proper amount which showed petitioner's good faith.

Moreover, the issue involved in this case is no less than the tax assessment over a non-stock, non-profit educational institution, which the 1987 Constitution mandated to be tax exempt. Otherwise stated, what is at stake is the opportunity for the proper and just determination of petitioner Foundation's status as a tax-exempt entity under the 1987 Constitution, and a deprivation of a substantial amount of property.

Taking into account the importance of the issues raised in the petition filed before the CTA Division, and what petitioner stands to lose, the CTA En Banc should have considered the merits of said petition. By ruling for the denial of the said petition solely based on technicalities, the CTA En Banc absolutely foreclosed the resolution of the issues raised therein. Definitely, justice would have been better served if the CTA En Banc allowed the resolution of the issues that were raised in the petition.

This Court agrees with the decision of the CTA Division to give due course to the petition. Consequently, the CTA Division acquired jurisdiction to examine the assailed VAT deficiency assessment, and the latter did not become final and executory.

Furthermore, the Court finds petitioner Foundation's procedural mistake incommensurate to the grave injustice to be made in violation of the 1987 Constitution's mandate, and petitioner Foundation's payment of P122,414,521.70, representing the VAT deficiency.

It is worthy to note that this kind of lenient application of the rules of procedure for exceptionally persuasive and meritorious reasons is not novel. In fact, in the case of Tanenglian v. Lorenzo, et al.,[75] this Court gave due course to the appeal which was not only made through a wrong mode but was even filed beyond the reglementary period. This Court recognized the broader interest of justice and reasoned that:[76]
We have not been oblivious to or unmindful of the extraordinary situations that merit liberal application of the Rules, allowing us, depending on the circumstances, to set aside technical infirmities and give due course to the appeal. In cases where we dispense with the technicalities, we do not mean to undermine the force and effectivity of the periods set by law. I those rare cases where we did not stringently apply the procedural rules, there always existed a clear need to prevent the commission of a grave injustice. Our judicial system and the courts have always tried to maintain a healthy balance between the strict enforcement o procedural laws and the guarantee that every litigant be given the full opportunity for the just and proper disposition of his cause. x x x.

x x x x

In Sebastian v. Morales, we ruled that rules of procedure must b faithfully followed except only when, for persuasive reasons, they may be relaxed to relieve a litigant of an injustice not commensurate with his failure to comply with the prescribed procedure, thus:

x x x x

The Court has allowed some meritorious cases to proceed despite inherent procedural defects and lapses. This is in keeping with the principle that rules of procedure are mere tools designed to facilitate the attainment of justice and that strict and rigid application of rules which would result in technicalities that tend to frustrate rather than promote substantial justice must always be avoided. It is a far better and more prudent cause o action for the court to excuse a technical lapse and afford the parties a review of the case to attain the ends of justice, rather than dispose of the case on technicality and cause grave injustice to the parties, giving false impression of speedy disposal of cases while actually resulting in more delay, if not a miscarriage of justice. (Emphasis supplied; citation, omitted).
Finally, it is crucial to be reminded that the constitutionally mandated tax privilege granted to non-stock non-profit educational institutions plays an important role in promoting quality and affordable education in the country. In the consolidated cases of Commissioner of Internal Revenue v. De La Salle University Inc.,[77] this Court discussed the important role of this tax privilege for educating the students, to wit:
We find that the text demonstrates the policy of the 1987 Constitution, discernible from the records of the 1986 Constitutional Commission to provide broader tax privilege to non-stock, non-profit educational institutions as recognition of their role in assisting the State provide a public good. The tax exemption was seen as beneficial to students who may otherwise be charged unreasonable tuition fees if not for the tax exemption extended to all revenues and assets of non-stock, non-profit educational institutions. (Emphasis and underscoring supplied; citations omitted).
Evidently, petitioner Foundation, being a non-stock, non-profit educational institution, is not liable to the payment of VAT deficiency assessment, and the CTA En Banc erred in finding otherwise and in reversing the CTA Division.

WHEREFORE, premises considered, the petition is GRANTED. The assailed Decision dated April 19, 2012 and Resolution promulgated on July 17, 2012 of the Court of Tax Appeals En Banc in C.T.A. EB Case No. 703 are ANULLED and SET ASIDE. Assessment Notice No. 33-FY 05-31-02 for fiscal year ending May 31, 2002 against petitioner La Sallian Educational Innovators Foundation (De La Salle University-College of St. Benilde), Inc. for deficiency income tax in the amount of ONE HUNDRED TWENTY-TWO MILLION FOUR HUNDRED FOURTEEN THOUSAND FIVE HUNDRED TENTY-ONE PESOS & 70/100 (P122,414,521.70) is hereby CANCELLED.

SO ORDERED.

Peralta, (Chairperson), Leonen, Hernando, and Carandang,* JJ., concur.



ATTESTATION

I attest that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court's Division.


(SGD) DIOSDADO M. PERALTA

Associate Justice
 
Chairperson, Second Division

CERTIFICATION

Pursuant to Section 13, Article VIII of the Constitution and the Division Chairperson's Attestation, I certify that the conclusions in the above Decision had been reached in consultation before the case was assigned to the writer of the opinion of the Court's Division.  


(SGD) ANTONIO T. CARPIO[78]
 
Acting Chief Justice



May 28, 2019

NOTICE OF JUDGMENT

Sirs / Mesdames:

Please take notice that on February 27, 2019 a Decision copy attached hereto, was rendered by the Supreme Court in the above-entitled case, the original of which was received by this Office on May 28, 2019 at 2:20 p.m.


Very truly yours,



(SGD) WILFREDO V. LAPITAN
 
Division Clerk of Court


* Designated additional Member as per Special Order No. 2624, dated November 29, 2018.

[1] Rollo, pp. 11-64.

[2] Penned by Associate Justice Esperanza R. Fabon-Victorino; id. at 69-111.

[3] Penned by Associate Justice Esperanza R. Fabon-Victorino; id. at 138-142.

[4] Id. at 397-398.

[5] Id. at 398.

[6] Id. at 398-399.

[7] Id. at 399.

[8] Id.

[9] Id. at 400.

[10] Id. at 83-84.

[11] Id. at 84.

[12] Id. at 388.

[13] Id. at 177-178.

[14] Id. at 182-183.

[15] Id. at 183.

[16] Id.

[17] Id. at 410.

[18] Id.

[19] Id. at 400.

[20] Id. at 407.

[21] Id. at 397-419.

[22] Id. at 418.

[23] Id at 412.

[24] Id. at 418.

[25] Id. at 420-431.

[26] Id. at 432-436.

[27] Id. at 438-442.

[28] Id. at 440.

[29] Id. at 443-473.

[30] Id. at 474-490.

[31] Id. at 69-111.

[32] Id. at 110.

[33] Id. at 84.

[34] Id.

[35] Id.

[36] Id. at 109.

[37] Id. at 85.

[38] Id. at 112-137.

[39] Id. at 138-142.

[40] Id. at 11-64.

[41] Id. at 19.

[42] 1987 Constitution, Article XIV, Section 4(3).

[43] Id. at 425.

[44] Commission of Internal Revenue v. De La Salle University Inc., 799 Phil. 141, 167 (2016); and Revenue Memorandum Order No. 20-2013.

[45] Rollo, p. 409.

[46] Id. at 36-37.

[47] Id. at 410.

[48] Id.

[49] Id. at 47, 80.

[50] Id. at 47-48.

[51] Id. at 47-48.

[52] Id. at 410.

[53] Id. at 410.

[54] Id.

[55] Id.

[56] Id. at 410.

[57] Id. at 48.

[58] Id.

[59] Commissioner of Internal Revenue v. St. Lukes Medical Center, 805 Phil. 607, 619 (2017); Commissioner of Internal Revenue v. St. Lukes Medical Center, 695 Phil. 867, 885 (2012); and Hospital De San Juan De Dios, Inc. v. Pasay City, et al., 123 Phil. 38, 42 (1966).

[60] 95 Phil. 16 (1954).

[61] Id. at 21.

[62] Id. at 89.

[63] CIR v. De La Salle University, 799 Phil. 141, 169 (2016).

[64] Id.

[65] Rollo, pp. 100-101.

[66] Id. at 108.

[67] Id. at 108-109.

[68] Marlon Curammeng v Pablo v. People of the Philippines, 799 Phil. 575, 581 (2016).

[69] 729 Phil. 639 (2014).

[70] Id. at 651-652.

[71] Tanenglian v. Lorenzo, et al., 573 Phil. 472, 484 (2008).

[72] 371 Phil. 393 (1999).

[73] KLT Fruits, Inc. v. WSR Fruits, Inc., 563 Phil. 1038, 1052-1053 (2007); and Villena v. Rupisan, 549 Phil. 146, 167 (2007).

[74] Sps. Bergona, et al. v. Court of Appeals, 680 Phil. 334, 343 (2012).

[75] Supra note 71.

[76] Id. at 485-489.

[77] Supra note 44, at 168-169.

[78] Designated Acting Chief Justice per Special Order No. 2637 dated February 26, 2019.

The petitioner recognized the fact - which was affirmed in the CTA En Banc Decision dated August 22, 2014, that as a government entity, it is exempt from payment of real property taxes pursuant to Section 234(a) of the 1991 Local Government Code or R.A. No. 7160.[18] The said provision also provides that when the beneficial use of the real property owned by the Republic or any of its political subdivision, is vested to a taxable person, the real property is subject to tax. Petitioner, together with the PTA and the Province of Leyte, had already admitted that they are co-owners of the subject property and they were leasing the same to UCI, a private entity pursuant to a Contract of Lease dated September 15, 1994. Thus, pursuant to the aforementioned Local Government Code provision and also in the case of National Power Corporation v. Province of Quezon,[19] where this Court ruled: The liability for taxes generally rests on the owner of the real property at the time the tax accrues. This is a necessary consequence that proceeds from the fact of ownership. However, personal liability for realty taxes may also expressly rest on the entity with the beneficial use of the real property, such as the tax on property owned by the government but leased to private persons or entities, or when the tax assessment is made on the basis of the actual use of the property. In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner. (Emphasis and italics in the original)

Next: The Court emphasized therein its guiding principle in resolving the said cases, i.e., taxation is the rule and exemption is the exception. Guided by Our pronouncements in the said strikingly similar cases, we find this petition bereft of merit. NPC argues that the CTA erred in denying its claim for exemption on the ground that it is not the owner of the subject facilities. NPC insists that, as project owner, it has legal interest over the power plant and as such, it has the legal personality to question the assessment and claim for exemption therefor. NPC argues that legal interest over the properties subject of real property tax is not limited to ownership considering that for such tax purposes, real properties are classified, valued, and assessed on the basis of their actual use, highlighting the phrase "regardless of where located, whoever owns it, and whoever uses it" in Section 217 of R.A. No. 7160. Indeed, real property tax liability rests on the owner of the property or on the person with the beneficial use thereof such as taxes on government property leased to private persons or when tax assessment is made on the basis of the actual use of the property.[29] In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner.[30] NPC was, therefore, correct in arguing that a beneficial user may also be legally burdened with the obligation to pay for the tax imposed on a property and as such, has legal interest therein and the personality to protest an assessment or claim exemption from tax liability.[31] In this case, however, NPC is neither the owner nor the possessor or beneficial user of the subject facilities. Hence, it cannot be considered to have any legal interest in the subject property to clothe it with the personality to question the assessment and claim for exemptions and privileges.
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PRIVATIZATION AND MANAGEMENT OFFICE, PETITIONER, V. COURT OF TAX APPEALS AND CITY GOVERNMENT OF TACLOBAN, RESPONDENTS.

D E C I S I O N


J. REYES, JR., J.: 

This Petition for Certiorari under Rule 65 of the 1997 Rules of Court assails the Resolutions of the Court of Tax Appeals (CTA) En Banc in C.T.A. EB Case No. 901, as follows:
a)
Resolution dated February 7, 2013[1] which, although it granted petitioner Privatization and Management Office's (PMO's) Motion for Suspension of Collection of Real Property Tax and Cancellation of Warrants of Levy, it however required the posting/filing of a surety bond equivalent to one and one-half of the amount sought to be collected;


b)
Resolution dated March 1, 2013[2] which declared as moot the Motion for Exemption from Posting of Surety Bond filed by PMO and the Philippine Tourism Authority (PTA, now Tourism Infrastructure and Enterprise Zone Authority [TIEZA]), as the latter had already posted the required surety bond; and


c)
Resolution dated January 29, 2014,[3] which denied PMO's Motion for Reconsideration.
The PMO (petitioner), the Province of Leyte and the PTA are the owners of the Leyte Park Hotel, Inc. (LPHI), a real property with improvement situated within the territorial and taxing jurisdiction of private respondent City Government of Tacloban (respondent City).[4]
The facilities of LPHI were leased out to Unimaster Conglomeration, Inc. (UCI) for a monthly rental of P300,000.00 for a period of 12 years.[5] Meanwhile, respondent City sent several demand letters to UCI for it to pay the real property taxes of LPHI in the amount of P23,377,353.08.[6]
However, despite repeated demands by respondent City, the real property taxes remained unpaid. Hence, on December 15, 2004, respondent City filed a complaint for Collection of Sum of Money before the CTA Special First Division, against the LPHI and UCI. Thereafter, respondent City amended its complaint and impleaded additional defendants, namely: The Province of Leyte, the PTA and the petitioner. Petitioner filed its Answer and argued, among others, that the liability to pay real property taxes devolves on UCI pursuant to Section 234 of the Local Government Code.
After trial, the CTA Special First Division rendered a Decision[7] dated November 15, 2011 in CTA OC No. 012 holding UCI liable for the payment of the unpaid real property taxes. UCI moved to reconsider but the same was denied. Aggrieved, UCI filed a Petition for Review with the CTA En Banc. During the pendency of the aforesaid petition, respondent City filed a Motion for Execution Pending Appeal before the CTA Special First Division but the motion was denied. Despite the CTA denial, respondent City still issued warrants of levy against the properties of petitioner, allegedly to place the subject properties for auction.
On December 6, 2012, petitioner filed a Motion for Suspension of Collection of Real Property Tax and Cancellation of Warrants of Levy before the CIA En Banc.
On February 7, 2013, the CTA En Banc issued the now assailed Resolution granting petitioner's Motion for Suspension of Collection of Real Property Tax and Cancellation of Warrants of Levy conditioned on its filing of a surety bond equivalent to one and one-half of the amount sought to be collected by respondent City.
On February 14, 2013, petitioner filed a Motion for Exemption from Posting of Surety Bond on the ground that national government agencies and instrumentalities, such as petitioner, are not, and should not be required to file any bond as there should be no doubt as to the solvency of the Republic of the Philippines. However, as a precautionary measure, petitioner filed on February 15, 2013 its Compliance Ad Cautelam and filed a Government Service Insurance System (GSIS) Surety Bond in order to ensure suspension of the collection of the real property tax being sought by the respondent City and prevent execution of the warrants of levy.
On March 1, 2013, the CTA En Banc issued the assailed Resolution which considered petitioner's Motion for Exemption from Posting of Surety Bond as moot by virtue of the latter's filing of the aforementioned surety bond. On April 3, 2013, petitioner filed a Motion for Reconsideration but the same was denied in another assailed Resolution dated January 29, 2014.
Dissatisfied, petitioner filed the instant petition for certiorari on the ground that respondent CTA committed grave abuse of discretion amounting to lack or in excess of jurisdiction in:
  1. DIRECTING PETITIONER, THROUGH ITS RESOLUTION DATED FEBRUARY 7, 2013, TO POST A SURETY BOND IN ORDER TO STAY THE COLLECTION OF REAL PROPERTY TAX SOUGHT BY RESPONDENT CITY GOVERNMENT OF TACLOBAN AND PREVENT EXECUTION ON THE WARRANTS OF LEVY[;]
  2. HOLDING, IN ITS RESOLUTION DATED MARCH 1, 2013, THAT PETITIONER'S MOTION FOR EXEMPTION FROM POSTING OF SURETY BOND HAS BEEN RENDERED MOOT[; and]
  3. DENYING, IN ITS RESOLUTION DATED JANUARY 29, 2014, PETITIONER'S MOTION FOR RECONSIDERATION.[8]
Central to the instant petition is the issue of whether or not petitioner, as an agency of the government, is exempt from posting a surety bond as a condition to the suspension of collection of real property tax.
Section 9 of Republic Act (R.A.) No. 9282[9] amending Section 11 of R.A. No. 1125,[10] provides as follows:
SEC. 9. Section 11 of the same Act is hereby amended to read as follows:
SEC. 11. Who May Appeal; Mode of Appeal; Effect of Appeal. x x x
x x x x
No appeal taken to the CTA from the decision of the Commissioner of Internal Revenue or the Commissioner of Customs or the Regional Trial Court, provincial, city or municipal treasurer or the Secretary of Finance, the Secretary of Trade and Industry or the Secretary of Agriculture, as the case may be, shall suspend the payment, levy, distraint, and/or sale of any property of the taxpayer for the satisfaction of his tax liability as provided by existing law: Provided, however, That when in the opinion of the Court the collection by the aforementioned government agencies may jeopardize the interest of the Government and/or the taxpayer[,] the Court[, at] any stage of the proceeding may suspend the said collection and require the taxpayer either to deposit the amount claimed or to file a surety bond for not more than double the amount with the Court.
x x x x
With the expansion of the jurisdiction of the CTA, it has now the power to take cognizance of cases appealed to it involving real property taxation. The foregoing provision provides for the rule that an appeal to the CTA from the decision of the City Treasurer of a Local Government Unit (as in this case) will not suspend the payment, levy, distraint, and/or sale of any property of the taxpayer for the satisfaction of his tax liability, as provided by existing law. However, when, in the view of the CTA, the collection may jeopardize the interest of the Government and/or the taxpayer, it may suspend the said collection and require the taxpayer either to deposit the amount claimed or to file a surety bond.
It is clear from the foregoing that the CTA may order the suspension of the collection of taxes, provided that the taxpayer either: (1) deposits the amount claimed; or (2) files a surety bond for not more than double the amount.[11] These condition precedents were required by law in order to guarantee the payment of the deficiency taxes assessed against the taxpayer, if and when the case is finally decided against the said taxpayer.
Petitioner sought that it be exempted from the filing of the surety bond. Petitioner relied on the case of The Collector of Internal Revenue v. Reyes,[12] where the Court sustained the CTA's exercise of discretion when it did not require the taxpayer to post a surety bond despite suspending the collection of the tax. It also relied on numerous cases[13]where this Court held that the state is not required to put up a bond because it is presumed solvent. The petitioner opined that since it is an agency of the national government, then there is no doubt as to its solvency.[14] Petitioner finally argued that its compliance with the posting of the GSIS Surety Bond did not render the case moot. A final resolution of the issue of petitioner's exemption from posting a surety bond must be finally settled.
In the said Reyes case, as cited by petitioner, the CTA issued the injunction on the basis of the findings that the tax to be collected has already prescribed. The CTA, however, found that it was no longer necessary for the taxpayer to file a surety bond. The Court justified it in this wise:
It certainly would be an absurdity on the part of the Court of Tax Appeals to declare that the collection by the summary methods of distraint and levy was violative of the law, and then, on the same breath require the petitioner to deposit or file a bond as a prerequisite for the issuance of a writ of injunction. Let us suppose, for the sake of argument, that the Court a quo would have required the petitioner to post the bond in question and that the taxpayer would refuse or fail to furnish said bond, would the Court a quo be obliged to authorize or allow the Collector of Internal Revenue to proceed with the collection from the petitioner of the taxes due by a means it previously declared to be contrary to law?[15]
From the foregoing, the Court concluded then that the requirement of the bond as a condition precedent to the issuance of the writ of injunction applies only in cases where the processes by which the collection sought to be made by means thereof are carried out in consonance with the law for such cases provided and not when said processes are obviously in violation of the law to the extreme that they have to be suspended for jeopardizing the interests of taxpayer.[16]
This principle was echoed in the recent case of Spouses Pacquiao v. Court of Tax Appeals,[17] when the Court held:
From all the foregoing, it is clear that the authority of the courts to issue injunctive writs to restrain the collection of tax and to dispense with the deposit of the amount claimed or the filing of the required bond is not simply confined to cases where prescription has set in. As explained by the Court in those cases, whenever it is determined by the courts that the method employed by the Collector of Internal Revenue in the collection of tax is not sanctioned by law, the bond requirement under Section 11 of R.A. No. 1125 should be dispensed with. (Emphasis and italics in the original)
In the instant case, there was a clear showing that the method employed by the respondent City in the collection of the real property taxes contravened existing law and jurisprudence. It must be underscored that the petitioner filed the motion to suspend the collection of tax, not so much to stay the collection thereof, but actually to thwart the threat of the property being sold in public auction which may effectively divest the petitioner, the PTA and the Province of Leyte of the ownership over the property.
The petitioner recognized the fact - which was affirmed in the CTA En Banc Decision dated August 22, 2014, that as a government entity, it is exempt from payment of real property taxes pursuant to Section 234(a) of the 1991 Local Government Code or R.A. No. 7160.[18] The said provision also provides that when the beneficial use of the real property owned by the Republic or any of its political subdivision, is vested to a taxable person, the real property is subject to tax. Petitioner, together with the PTA and the Province of Leyte, had already admitted that they are co-owners of the subject property and they were leasing the same to UCI, a private entity pursuant to a Contract of Lease dated September 15, 1994. Thus, pursuant to the aforementioned Local Government Code provision and also in the case of National Power Corporation v. Province of Quezon,[19] where this Court ruled:
The liability for taxes generally rests on the owner of the real property at the time the tax accrues. This is a necessary consequence that proceeds from the fact of ownership. However, personal liability for realty taxes may also expressly rest on the entity with the beneficial use of the real property, such as the tax on property owned by the government but leased to private persons or entities, or when the tax assessment is made on the basis of the actual use of the property. In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner. (Emphasis and italics in the original)
But, without, however, prejudging the appealed case on the merits, UCI, the actual and beneficial user of subject property can be said to be directly liable for the real property taxes on the property owned by the government.
On the basis of the foregoing law and jurisprudence, while it is correct for the respondent City to assess UCI of the unpaid real property taxes, it is, however, a clear contravention of the law to proceed with the issuance of the warrant of levy against the subject property in order to place it for public auction. This method of collection of the deficiency of real property taxes prejudiced not UCI, the private entity who is directly charged with the payment of the tax, but the petitioner, the PTA and the Province of Leyte, the government entities who owned the land.
It is a settled rule that property of public dominion, being outside the commerce of man, cannot be the subject of an auction sale, levy, encumbrance or disposition through public or private sale.[20] Any encumbrance, levy on execution or auction sale of any property of public dominion is void for being contrary to public policy.[21]
Under Article 420 of the Civil Code, the subject property (the LPHI) is a property of the public dominion owned by the State, through its agents and instrumentalities. Thus, Article 420 of the Civil Code, provides:
Art. 420. The following things are property of public dominion:
(1) Those intended for public use, such as roads, canals, rivers, torrents, ports and bridges constructed by the State, banks, shores, roadsteads, and others of similar character;
(2) Those which belong to the State, without being for public use, and are intended for some public service or for the development of the national wealth. (Emphases supplied)
Thus, being a property of public dominion, the subject property cannot be subject of public auction sale, notwithstanding its realty tax delinquency. This means that the respondent City has to satisfy its realty tax claims by serving the accrued realty tax assessment upon UCI, as the taxable beneficial user of the subject property and in case of UCFs non-payment, through any means other than the sale at public auction of the leased property. The case of Philippine Fisheries Development Authority v. Court of Appeals[22] instructs, thus:
In sum, the Court finds that the Authority is an instrumentality of the national government, hence, it is liable to pay real property taxes assessed by the City of Iloilo on the IFPC only with respect to those portions which are leased to private entities. Notwithstanding said tax delinquency on the leased portions of the IFPC, the latter or any part thereof, being a property of public domain, cannot be sold at public auction. This means that the City of Iloilo has to satisfy the tax delinquency through means other than the sale at public auction of the IFPC.
Verily, since the method employed by the respondent City in collecting the realty taxes due - through the warrant of levy and the eventual public auction of a property of public dominion - is not sanctioned by law, then it is no longer necessary for the petitioner to file a surety bond as a condition precedent to suspend the tax collection.
To repeat, the purpose of the surety bond is to ensure that the tax due will be paid if and when the case is finally decided against the taxpayer. Indeed, the Republic of the Philippines need not give this security as it is presumed to be always solvent and able to meet its obligations.[23] Thus, the petitioner, being an agent of the national government,[24] is not required to put up a bond because to do so would be to indirectly require the state to submit such bond. Since the petitioner had already filed the required surety bond with the CTA, it is just proper to order the CTA to release the same for reasons as discussed in this decision.
WHEREFORE, the Petition for Certiorari is GRANTED. The assailed Resolutions dated February 7, 2013, March 1, 2013 and January 29, 2014 of the Court of Tax Appeals En Banc in C.T.A. EB Case No. 901 are SET ASIDE insofar as it required the PMO to file a surety bond as a condition precedent in suspending the real property tax collection. Accordingly, the CTA is hereby ORDERED to release the GSIS Surety Bond earlier filed by the PMO.
SO ORDERED.
Carpio, Acting C.J., (Chairperson), Perlas-Bernabe, Caguioa, and Lazaro-Javier, JJ., concur.


[1] Concurred in by Acting Presiding Justice Juanito C. Castañeda, Jr. and Associate Justices Lovell R. Bautista, Erlinda P. Uy, Caesar A. Casanova, Esperanza R. Fabon-Victorino, Cielito N. Mindaro-Grulla and Amelia Cotangco-Manalastas; rollo, pp. 35-42.[2] Penned by Associate Justice Esperanza R. Fabon-Victorino, with Acting Presiding Justice Juanito C. Castañeda, Jr. and Associate Justices Lovell R. Baustista, Erlinda P. Uy, Caesar A. Casanova. Cielito N. Mindaro-Grulla and Amelia R. Cotangco-Manalastas, concurring; id. at 45-46.
[3] Penned by Associate Justice Esperanza R. Fabon-Victorino, with Presiding Justice Roman G. Del Rosario and Associate Justices Juanito C. Castañeda, Jr., Lovell R. Bautista, Erlinda P. Uy, Caesar A. Casanova, Cielito N. Mindaro-Grulla, Amelia R. Cotangco-Manalastas and Ma. Belen M. Ringpis-Liban, concurring; id. at 49-56.
[4] Id. at 287.
[5] Id. at 12.
[6] Id.
[7] Penned by Associate Justice Lovell R. Bautista, with Associate Justices Ernesto D. Acosta and Caesar A. Casanova, concurring; id. at 362-405.
[8] Id. at 16-17.
[9] AN ACT EXPANDING THE JURISDICTION OF THE COURT OF TAX APPEALS (CTA), ELEVATING ITS RANK TO THE LEVEL OF A COLLEGIATE COURT WITH SPECIAL JURISDICTION AND ENLARGING ITS MEMBERSHIP, AMENDING FOR THE PURPOSE CERTAIN SECTIONS OF REPUBLIC ACT NO. 1125, AS AMENDED, OTHERWISE KNOWN AS THE LAW CREATING THE COURT OF TAX APPEALS, AND FOR OTHER PURPOSES, March 30, 2004.
[10] AN ACT CREATING THE COURT OF TAX APPEALS, June 16, 1954.
[11] Tridharma Marketing Corp. v. Court of Tax Appeals, 787 Phil. 638, 646 (2016).
[12] 100 Phil. 822 (1957).
[13] Republic v. Garcia, 554 Phil. 371, 376 (2007); Republic v. Court of Appeals, 160-A Phil. 465, 473 (1975); Araneta v. Gatmaitan, 101 Phil. 328, 340 (1957); and Spouses Badillo v. Tayag, 448 Phil. 606, 617 (2003).
[14] Rollo, p. 27.
[15] The Collector of Internal Revenue v. Reyes, supra note 12, at 829.
[16] Id. at 828.
[17] 784 Phil. 220, 246 (2016).
[18] SEC. 234. Exemptions from Real Properly Tax. — The following are exempted from payment of the real property tax:
(a) Real property owned by the Republic of the Philippines or any of its political subdivisions except when the beneficial use thereof has been granted, for consideration or otherwise, to a taxable person[.] (Underscoring supplied)
[19] 610 Phil. 456, 467-468 (2009).
[20] Manila International Airport Authority v. Court of Appeals, 528 Phil. 181, 219 (2006).
[21] Id.
[22] 555 Phil. 661, 674 (2007).
[23] Republic v. Garcia, 554 Phil. 371, 377 (2007).
[24] Organized under the Department of Finance by virtue of E.O. No 323 dated December 6, 2000.

The Court emphasized therein its guiding principle in resolving the said cases, i.e., taxation is the rule and exemption is the exception. Guided by Our pronouncements in the said strikingly similar cases, we find this petition bereft of merit. NPC argues that the CTA erred in denying its claim for exemption on the ground that it is not the owner of the subject facilities. NPC insists that, as project owner, it has legal interest over the power plant and as such, it has the legal personality to question the assessment and claim for exemption therefor. NPC argues that legal interest over the properties subject of real property tax is not limited to ownership considering that for such tax purposes, real properties are classified, valued, and assessed on the basis of their actual use, highlighting the phrase "regardless of where located, whoever owns it, and whoever uses it" in Section 217 of R.A. No. 7160. Indeed, real property tax liability rests on the owner of the property or on the person with the beneficial use thereof such as taxes on government property leased to private persons or when tax assessment is made on the basis of the actual use of the property.[29] In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner.[30] NPC was, therefore, correct in arguing that a beneficial user may also be legally burdened with the obligation to pay for the tax imposed on a property and as such, has legal interest therein and the personality to protest an assessment or claim exemption from tax liability.[31] In this case, however, NPC is neither the owner nor the possessor or beneficial user of the subject facilities. Hence, it cannot be considered to have any legal interest in the subject property to clothe it with the personality to question the assessment and claim for exemptions and privileges.

Next: In short, we find that the grant of a concession agreement to an entity, as a winning bidder, for the exclusive development, operation, and maintenance of any or all of the Projects, does not by itself create a monopoly violative of the provisions of the Constitution. Anglo-Fil Trading Corporation teaches that exclusivity is inherent in the grant of a concession to a private entity to deliver a public service, where Government chooses not to undertake such service.[37] Otherwise stated, while the grant may result in a monopoly, it is a type of monopoly not violative of law. This is the essence of the policy decision of the Government to enter into concessions with the private sector to build, maintain and operate what would have otherwise been government-operated services, such as airports. In any case, the law itself provides for built-in protections to safeguard the public interest, foremost of which is to require public bidding. Under the BOT Law, for example, a private-public pat1nership (PPP) agreement may be undertaken through public bidding, in cases of solicited proposals, or through "Swiss challenge" (also known as comparative bidding), in cases of unsolicited proposals.
Previous: The petitioner recognized the fact - which was affirmed in the CTA En Banc Decision dated August 22, 2014, that as a government entity, it is exempt from payment of real property taxes pursuant to Section 234(a) of the 1991 Local Government Code or R.A. No. 7160.[18] The said provision also provides that when the beneficial use of the real property owned by the Republic or any of its political subdivision, is vested to a taxable person, the real property is subject to tax. Petitioner, together with the PTA and the Province of Leyte, had already admitted that they are co-owners of the subject property and they were leasing the same to UCI, a private entity pursuant to a Contract of Lease dated September 15, 1994. Thus, pursuant to the aforementioned Local Government Code provision and also in the case of National Power Corporation v. Province of Quezon,[19] where this Court ruled: The liability for taxes generally rests on the owner of the real property at the time the tax accrues. This is a necessary consequence that proceeds from the fact of ownership. However, personal liability for realty taxes may also expressly rest on the entity with the beneficial use of the real property, such as the tax on property owned by the government but leased to private persons or entities, or when the tax assessment is made on the basis of the actual use of the property. In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner. (Emphasis and italics in the original)
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SECOND DIVISION

[ G.R. No. 210191, March 04, 2019 ]

NATIONAL POWER CORPORATION, PETITIONER, VS. THE PROVINCE OF PANGASINAN AND THE PROVINCIAL ASSESSOR OF PANGASINAN, RESPONDENTS.

DECISION


REYES, JR. J., J.: 

This is a Petition for Review on Certiorari[1] under Rule 45 of the Rules of Court, questioning the Decision[2] dated November 11, 2013 of the Court of Tax Appeals (CTA) En Banc in CTA EB Case No. 937, which affirmed the uniform rulings of the Local Board of Assessment Appeals (LBAA) in LBAA Case Nos. P-03-001 and P-06-001 and Central Board of Assessment Appeals (CBAA) in CBAA Case Nos. L-52 and L-81.

Factual Antecedents

Petitioner National Power Corporation (NPC) is a government-owned and controlled corporation, created and existing under Republic Act (R.A.) No. 6395, as amended. NPC is mandated to undertake the production of electricity from nuclear, geothermal, other sources, and the transmission of electric power nationwide.[3]

Pursuant to its mandate, on May 20, 1994, NPC entered into an Energy Conversion Agreement[4] (ECA) with CEPA Pangasinan Electric Limited (CEPA), a private corporation, for the construction, operation, and maintenance of the Sual Coal-Fired Thermal Power Plant, whereby CEPA agreed to supply a coal-fired thermal power station to NPC on a Build-Operate-Transfer (BOT) basis to generate electricity, which electricity will in turn be sold exclusively to NPC. CEPA subsequently became Mirant Sual Corporation (Mirant) and now also known as Team Energy Power Holdings Corporation (Team Energy). For purposes of this case, we shall use "Mirant" to refer to CEPA, Mirant, or Team Energy as the company was called "Mirant" when this case started with the LBAA.[5]

Among the obligations undertaken by the NPC under the ECA was the assumption of all real property taxes. Paragraph 11.1, Article 11 of the ECA, viz.:
11.1 Tax Responsibilities. NPC shall be responsible for the payment of x x x (ii) all real estate taxes and assessments, rates and other charges in respect of the Site, the Ash Disposal Sites, the Pipelines, the buildings and improvements thereon, the Infrastructure and the Power Station.[6]
On December 3, 1994, a Memorandum of Agreement[7] (MOA) was entered into by Pangasinan Electric Corporation (PEC) (Mirant's predecessor-in-interest) with NPC, the Province of Pangasinan, the Municipality of Sual, and the Barangay of Pangascasan.[8]

Pertinent provisions of the MOA state:
A. RESPONSIBILITIES OF NPC, DENR, PEC, PROVINCE/MUNICIPALITY/BARANGAY

NPC

x x x x

6. Conform with the Local Government Code's regulations on the payment of the following taxes:

- Realty tax to be paid upon the project site acquisition by NPC.

x x x x
PEC started operating the power plant sometime in 1998.[9]

NPC religiously paid real property taxes from 1998 up to the first quarter of 2003 for the land, buildings, machinery, and equipment pertaining to the power plant. Notably, said machinery and equipment were declared in the name of Mirant under Tax Declaration No. 3694. On the second quarter of 2003, NPC stopped paying said taxes, purportedly pursuant to the provisions of R.A. No. 7160, which grants certain exemptions from iteal property tax liabilities.[10]

This prompted the Office of the Municipal Treasurer of Sual, Pangasinan to issue a Notice of Assessment dated September 10, 2003 for the payment of real property taxes thereon.[11]

Invoking its entitlement to an exemption under the provisions of R.A. No. 7160, NPC filed a petition for exemption with the LBAA, docketed as LBAA Case No. P-03-001, praying for an order to be issued: (a) recalling the Notice of Assessment dated September 10, 2003; (b) declaring the machinery and equipment of the power to be exempt from real property tax, arguing that the same are actually, directly, and exclusively used for power generation, and as such are exempted from said taxes under Section 234(c)[12] of R.A. No. 7160; and (c) if not exempt, declaring that the subject properties be classified as special under Section 216[13] of the same Act and as such be given a lower assessment level.[14]

LBAA Ruling

In its Resolution[15] dated April 15, 2004, the LBAA dismissed NPC's petition for exemption for lack of merit. The LBAA ruled that NPC and/or Mirant's failure to file any claim for exemption within the 30 days from the date of the declaration of the real property under Section 206[16] of R.A. No. 7160, coupled with the fact that NPC used to pay the real property taxes thereon from 1998 up to the first quarter of 2003, estopped NPC from claiming an exemption. More importantly, the LBAA found Mirant to be the actual, direct, exclusive, and beneficial owner and user of the power, buildings, machinery, and equipment, not NPC. Hence, the subject real properties do not come under the coverage of Section 234(c) of R.A. No. 7160 nor to the special assessment providing for a lower assessment level of ten percent (10%) under Section 216 of the same Act.

Accordingly, the subject real properties are not exempted from payment of real property tax and, likewise, cannot be classified as a special class with an assessment level often percent (10%) but should be assigned with the assessment level of eighty percent (80%).

Aggrieved, NPC filed an appeal to the CBAA, docketed as CBAA Case No. L-52.[17]

In the meantime, the Municipal Treasurer of Sual issued a letter with the Updated Notice of Assessment and Tax Bill. Thus, NPC filed another petition before the LBAA, docketed as LBAA Case No. P-06-001, which was likewise dismissed by the LBAA in its Order dated July 18, 2007.[18]

NPC also appealed the said Order to the CBAA, docketed as CBAA Case No. L-81.[19]

CBAA Ruling

On April 2, 2009, the CBAA issued an Order consolidating the two appeals.[20]

After evaluation of the arguments of both parties, the CBAA rendered the assailed Decision[21] dated April 12, 2012, dismissing the appeals for lack of merit. In the main, the CBAA ruled that NPC has no personality to claim real property tax exemption for the subject machinery and equipment considering that said machinery and equipment are actually, directly, and exclusively used by Mirant, not NPC. In fact, Mirant is the owner of said facilities until they were turned over to NPC.

The same reasoning was used in ruling that the subject machinery and equipment cannot be classified as a special class of real property for purposes of being subject to a lower assessment level often percent (10%) under Section 216 of the same Act. The subject facilities are owned by Mirant, a private entity, hence, not covered by the special privilege under the said provision.

Likewise, the CBAA ruled that NPC has no legal personality to claim for exemption under Section 234(e)[22] of R.A. No. 7160, as well as the depreciation allowance under Section 225 thereof, as the subject facilities are not owned by NPC but by Mirant.

NPC's motion for reconsideration of the said Decision was also denied by the CBAA in its Order[23] dated July 31, 2012.

CTA Ruling

The CTA scrutinized the agreement between NPC and Mirant under the BOT system and found that the ownership of the subject machinery and equipment is clearly vested with Mirant until the transfer of the project to NPC. Since the ownership and actual use of the subject facilities are with Mirant, a non-exempt entity, the CTA sustained the LBAA and CBAA ruling that NPC may not rightfully claim that it has the requisite legal interest to question the assessment and assert tax exemptions under Sections 234(c) and (e) of R.A. No. 7160, as well as the privilege under Section 225 thereof.

Neither was there basis, according to the CTA, for NPC to claim that respondents are estopped from questioning NPC's legal interest as respondents already acknowledged the same in their MOA. The CTA found that apart from the enumeration of the parties' respective obligations under the MOA, there was nothing therein that says respondents acknowledged NPC as the owner and user of the power plant and the equipment therein.

Further, the stipulated undertaking of NPC to pay the real property taxes does not justify the exemption as it has already been previously ruled by the Supreme Court that such undertaking is essentially wrong as to rule otherwise would be tantamount to allowing an exempt entity to use its privilege to favor a non-exempt entity and debase our tax system, citing this Court's ruling in National Power Corporation v. Province of Quezon and Municipality of Pagbilao.[24]

Finding that NPC is not the actual owner nor the beneficial owner or possessor of the subject machinery and equipment, the CTA came to the same conclusion as the LBAA and the CBAA, that NPC has no legal personality to claim for exemptions and privileges under Sections 234(c) and (e), as well as Section 225[25] of R.A. No. 7160.

Thus, the CTA sustained the findings and conclusions of the LBAA and the CBAA and dismissed the appeal for lack of merit.

Hence, this petition.

Issue

The issues raised by NPC in this petition - whether the subject machinery and equipment are exempted from real property tax under Section 234(c) or Section 234(e) of R.A. 7160; whether the same can be considered as a special class of real property under Section 216 of the same Act for a lower assessment of real property tax; or whether NPC is entitled to the depreciation allowance under Section 225 thereof - all boil down to the pivotal issue of whether NPC has legal personality and interest to claim for such exemptions and privileges.

Our Ruling

This case is definitely not of first impression. In NPC's previous cases with this Court, i.e., FELS Energy, Inc. v. The Province of Batangas,[26] National Power Corporation v. Central Board of Assessment Appeals[27] and National Power Corporation v. Province of Quezon,[28] the implications of a contract and/or a BOT agreement between a government-owned and controlled corporation that enjoy tax exemption, and a private corporation with regard to real property tax liabilities, have already been exhaustively explained and discussed by this Court. Specifically, the Court has concluded that the tax exemptions and privileges claimed by NPC cannot be recognized since it is not the actual, direct, and exclusive user of the facilities, machinery and equipment subject of the cases.

The Court emphasized therein its guiding principle in resolving the said cases, i.e.taxation is the rule and exemption is the exception.

Guided by Our pronouncements in the said strikingly similar cases, we find this petition bereft of merit.

NPC argues that the CTA erred in denying its claim for exemption on the ground that it is not the owner of the subject facilities. NPC insists that, as project owner, it has legal interest over the power plant and as such, it has the legal personality to question the assessment and claim for exemption therefor. NPC argues that legal interest over the properties subject of real property tax is not limited to ownership considering that for such tax purposes, real properties are classified, valued, and assessed on the basis of their actual use, highlighting the phrase "regardless of where located, whoever owns it, and whoever uses it" in Section 217 of R.A. No. 7160.

Indeed, real property tax liability rests on the owner of the property or on the person with the beneficial use thereof such as taxes on government property leased to private persons or when tax assessment is made on the basis of the actual use of the property.[29] In either case, the unpaid realty tax attaches to the property but is directly chargeable against the taxable person who has actual and beneficial use and possession of the property regardless of whether or not that person is the owner.[30] NPC was, therefore, correct in arguing that a beneficial user may also be legally burdened with the obligation to pay for the tax imposed on a property and as such, has legal interest therein and the personality to protest an assessment or claim exemption from tax liability.[31]

In this case, however, NPC is neither the owner nor the possessor or beneficial user of the subject facilities. Hence, it cannot be considered to have any legal interest in the subject property to clothe it with the personality to question the assessment and claim for exemptions and privileges.

Records clearly show that NPC is yet to be the owner of the subject facilities. Provisions of the ECA unequivocally support this conclusion, viz.:
2.10 Ownership of Power Station. From the date hereof until the Transfer Date, [Mirant] shall directly or indirectly, own the Power Station and all the fixtures, fittings, machinery and equipment on the Site and the Ash Disposal Sites or used in connection with the Power Station which have been supplied by it or at its cost. [Mirant] shall operate and maintain the Power Station for the purpose of converting Fuel of NPC into electricity.

2.11 Transfer. On the Transfer Date, the Power Station shall be transferred by [Mirant] to NPC without the payment of any compensation and otherwise in accordance with the provisions of Article 8.[32]
Further, as correctly observed by the LBAA, there is nothing in the ECA which expressly grants the NPC the right or authority to use directly or indirectly the power plant and the facilities therein during the cooperation period. Article 5 of the ECA specifically provides that Mirant has the responsibility to manage, operate, and maintain the power plant until the Transfer Date. Such acts of management, operation, maintenance, and repair are inherent in and are necessary and incidental to Mirant's ownership and actual use of the power plant and the facilities therein.

Clearly, as it is, during the subject taxable period, Mirant is still the owner and actual user of the subject facilities.

NPC, however, insists on its ownership and beneficial use of the power plant. NPC posits that Mirant was a mere service contractor that NPC employed to construct and operate the power plant to implement NPC's mandate to generate electricity. This assertion has already been squarely addressed and confuted by this Court in the case of National Power Corporation v. Central Board of Assessment Appeals (CBAA),[33] which we reiterate and adopt in this case, thus:
As in the fact of ownership, NAPOCOR's assertion is belied by the documented arrangements between the contracting parties, viewed particularly from the prism of the BOT law.

The underlying concept behind a BOT agreement is defined and described in the BOT law as follows:
Build-operate-and-transfer. - A contractual arrange­ment whereby the project proponent undertakes the construction, including financing, of a given infrastructure facility, and the operation and maintenance thereof. The project proponent operates the facility over a fixed term during which it is allowed to charge facility users appropriate tolls, fees, rentals, and charges not exceeding those proposed in its bid or as negotiated and incorporated in the contract to enable the project proponent to recover its investment, and operating and maintenance expenses in the project. The project proponent transfers the facility to the government agency or local government unit concerned at the end of the fixed term which shall not exceed fifty (50) years x x x.
Under this concept, it is the project proponent who constructs the project at its own cost and subsequently operates and manages it. The proponent secures the return on its investments from those using the project facilities through appropriate tolls, fees, rentals, and charges not exceeding those proposed in its bid or as negotiated. At the end of the fixed term agreed upon, the project proponent transfers the ownership of the facility to the government agency. Thus, the government is able to put up projects and provide immediate services without the burden of the heavy expenditures that a project start up requires.

A reading of the provisions of the parties' BOT Agreement shows that it fully conforms to this concept. By its express terms, BPPC has complete ownership - both legal and beneficial of the project - including the machineries and equipment used, subject only to the transfer of these properties without cost to NAPOCOR after the lapse of the period agreed upon. As agreed upon, BPPC provided the funds for the construction of the power plant, including the machineries and equipment needed for power generation; thereafter, it actually operated and still operates the power plant, uses its machineries and equipment, and receives payment for these activities and the electricity generated under a defined compensation scheme. Notably, BPPC - as owner-user - is responsible for any defect in the machineries and equipment. (Citation omitted)
x x x x

Consistent with the BOT concept and as implemented, BPPC - the owner-manager-operator of the project - is the actual user of its machineries and equipment. BPPC's ownership and use of the machineries and equipment are actual, direct, and immediate, while NAPOCOR's is contingent and, at this stage of the BOT Agreement, not sufficient to support its claim for tax exemption. Thus, the CTA committed no reversible error in denying NAPOCOR's claim for tax exemption.[34] (Citation omitted)

Similar to the above-cited case, the agreement between NPC and Mirant is consistent with the BOT concept. Mirant undertakes to build and operate a power plant, which undertaking expressly includes the responsibility to supply the consumables and spare parts, and maintain the power plant until the transfer thereof to NPC. To be sure, this arrangement goes beyond a mere service contractor agreement. In a BOT arrangement, the private entity constructs and buys the necessary assets to put up the project and thereafter, operates and manages it during an agreed period that would allow it to recover its basic costs and earn profits until the project's transfer to the government or government-owned and controlled entity. In other words, the private sector proponent goes into business for itself, assuming risks and incurring costs for its account.[35] On the other hand, service contracting is nothing more than an undertaking to perform a certain task for which the contractor is paid after its completion.

Thus, until the transfer of the project to NPC, it does not have anything to do with the use and operation of the power plant. The direct, actual, exclusive, and beneficial owner and user of the power station, machineries, and equipment certainly pertains to Mirant. NPC, therefore, has no legal personality to question on the assessment or claim for exemption and privileges with regard to the tax liability attached to the subject properties.

That NPC assumed the tax liabilities in the agreement is of no moment. Such undertaking does not justify the exemption or entitlement to privileges. The privilege granted to NPC cannot be extended to Mirant. To rule otherwise would be to allow the circumvention of our law on exemptions and grant of privileges.

The provisions invoked by NPC for entitlement to exemption and privilege are clear and unambiguous. To successfully claim exemption under Section 234(c) of R.A. No. 7160, the claimant must prove that (a) the machinery and equipment are actually, directly and exclusively used by local water districts and government-owned and controlled corporations; and (b) the local water districts and government-owned and controlled corporations claiming exemption must be engaged in the supply and distribution of Water and/or the generation and transmission of electric power.[36]

Likewise, to successfully claim for differential treatment or a lower assessment level under Section 216, in relation to Section 218 of the same Act, the claimant must prove that the subject lands, buildings, and other improvements are (a) actually, directly, and exclusively used for hospitals, cultural, or scientific purposes; or (b) owned and used by local water districts and government-owned and controlled corporations rendering essential public services in the supply and distribution of water and/or generation and transmission of electric power.[37]

It is important to emphasize that the government-owned and controlled corporation claiming exemption and entitlement to the privilege must be the entity actually, directly, and exclusively using the real properties, and the use must be devoted to the generation and transmission of electric power. As can be gleaned from the above disquisition, NPC miserably failed to satisfy said requirements. Although the subject machinery and equipment are devoted to generation of electricity, the ownership, use, operation, and maintenance thereof pertain to Mirant.

Neither will NPC find justification in its claim that it is NPC, not Mirant, which utilizes the generated electricity for transmission or distribution to the customers. The clear wordings of the above-cited provisions state that it is the machinery and equipment which are exempted from the payment of real property tax, not the water or electricity that such facilities generate for distribution.[38]

For the same reason that NPC has no legal personality to question the assessment and claim for exemptions and privileges, there is likewise no basis for NPC to claim and be granted the depreciation allowance under Section 225 of R.A. No. 7160.

Similarly, having no such legal personality, NPC cannot claim the exemption under Section 234(e) of the same Act. While it may be true that ownership of the machinery and equipment used for pollution control and environmental protection, is not relevant to the determination of entitlement to exemption, NPC still has no basis to assert such privilege. The LBAA did not err in ruling that it is Mirant, not NPC, which should claim for such tax exemption, if at all. At any rate, a claim for exemption under Section 234(e) of R.A. No. 7160, should be supported by evidence that the property sought to be exempt is actually, directly, and exclusively used for pollution control and environmental protection during the period covered by the assessment.[39] Verily, the determination of the actual, direct, and exclusive use of the properties subject of the claim for exemption requires the examination of evidence and assessment of the probative value of such evidence, if any - a factual determination therefore, which this Court cannot go into, not only because such endeavor is not allowed under a petition for review on certiorari under Rule 45,[40] but more importantly because of the lack of such necessary evidence for this Court to be able to make an accurate, valid, and judicious conclusion.

In all, the LBAA and the CBAA, as affirmed by the CTA, correctly denied NPC's claim for exemptions and entitlement to privileges under R.A. No. 7160.

In conclusion, we reiterate this Court's observation in NPC's previous cases with this Court above-cited. It must be pointed out that protracted and circuitous litigation has seriously resulted in the local governments' deprivation of revenues. The power to tax is the most potent instrument to raise the needed revenues to finance and support myriad activities of local government units for the delivery of basic services essential to the promotion of the general welfare and the enhancement of peace, progress, and prosperity of the people. Thus, the right of local government units to collect taxes due must always be upheld to avoid severe tax erosion. This consideration is consistent with the State policy to guarantee the autonomy of local governments and the objective of the Local Government Code that they enjoy genuine and meaningful local autonomy to empower them to achieve their fullest development as self-reliant communities and make them effective partners in the attainment of national goals.[41]

WHEREFORE, premises considered, the petition is DENIED. The Decision dated November 11, 2013 of the Court of Tax Appeals En Banc in CTA EB Case No. 937 is hereby AFFIRMED.

SO ORDERED.

Carpio, Senior Associate Justice, (Chairperson), Caguioa, and Hernando,* JJ., concur.
Perlas-Bernabe, J., on wellness leave.


* Additional Member per S.O. No. 2630 dated December 18, 2018.

[1] Rollo, pp. 27-71.

[2] Penned by Court of Tax Appeals Associate Justice Caesar A. Casanova, with Presiding Justice Roman G. Del Rosario, concurring and dissenting, Associate Justices Juanito C. Castañeda, Jr., Lovell R. Bautista, Erlinda P. Uy, Esperanza R. Fabon-Victorino, Cielito N. Mindaro-Grulla, Amelia R. Cotangco-Manalastas, and Ma. Belen M. Ringpis-Liban, concurring; id. at 10-22.

[3] Id. at 11.

[4] Id. at 235-265.

[5] Id. at 30.

[6] Id. at 334 of the Agreement.

[7] Id. at 196-203.

[8] Id. at 196.

[9] Id. at 334.

[10] Id. at 335.

[11] Id. at 335.

[12] Sec. 234. Exemptions from Real Property Tax. - The following are exempted from payment of the real property tax:

x x x x

(c) All machineries and equipment that are actually, directly and exclusively used by local water districts and government owned or controlled corporations engaged in the supply and distribution of water and/or generation and transmission of electric power;

x x x x

[13] Sec. 216. Special Classes of Real Property. - All lands, buildings, and other improvements thereon actually, directly and exclusively used for hospitals, cultural, or scientific purposes, and those owned and used by local water districts, and government-owned or controlled corporations rendering essential public services in the supply and distribution of water and/or generation and transmission of electric power shall be classified as special.

[14] LOCAL GOVERNMENT CODE of 1991, approved on October 10, 1991.

[15] Rollo, pp. 333-349.

[16] Sec. 206. Proof of Exemption of Real Property from Taxation. - Every person by or for whom real property is declared, who shall claim tax exemption for such property under this Title shall file with the provincial, city or municipal assessor within thirty (30) days from the date of the declaration of real property sufficient documentary evidence in support of such claim including corporate charters, title of ownership, articles of incorporation, by-laws, contracts, affidavits, certifications and mortgage deeds, and similar documents.

[17] Rollo, p. 13.

[18] Id.

[19] Id.

[20] Id. at 13-14.

[21] Id. at 172-192.

[22] Sec. 234. Exemptions from Real Property Tax. - The following are exempted from payment of the real property tax:

x x x x

e) Machinery and equipment used for pollution control and environmental protection.

[23] Rollo, pp. 194-195.

[24] 624 Phil. 738 (2010).

[25] Sec. 225. Depreciation Allowance for Machinery. — For purposes of assessment, a depreciation allowance shall be made for machinery at a rate not exceeding five percent (5%) of its original cost or its replacement or reproduction cost, as the case may be, for each year of use: Provided, however, That the remaining value for all kinds of machinery shall be fixed at not less than twenty percent (20%) of such original, replacement, or reproduction cost for so long as the machinery is useful and in operation.

[26] 545 Phil. 92 (2007).

[27] 597 Phil. 413 (2009).

[28] Supra note 24.

[29] National Power Corporation v. Province of Quezon, supra note 24.

[30] Id.

[31] Id.

[32] Rollo, p. 240.

[33] 597 Phil. 413 (2009).

[34] Id. at 430-433.

[35] Id. at 432-433.

[36] National Power Corporation v. Province of Quezon, supra note 24, at 743.

[37] National Power Corporation v. Central Board and Assessment Appeals (CBAA), supra note 27, at 434.

[38] National Power Corporation v. Province of Quezon, supra note 24.

[39] Provincial Assessor of Marinduque v. Hon. Court of Appeals, 605 Phil. 357, 371-372 (2009).

[40] Carbonell v. Carbonell-Mendes, 762 Phil. 529 (2015).

[41] FELS Energy, Inc. v. The Province of Batangas, supra note 26, at 114-115.

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