Phoenix Funding, LLC v. Aurora Loan Services, LLC ( 2015 )


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  •  1       IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    2 Opinion Number:
    3 Filing Date: AUGUST 24, 2015
    4 NO. 33,211
    5 PHOENIX FUNDING, LLC,
    6         Plaintiff-Appellant,
    7 v.
    8 AURORA LOAN SERVICES, LLC,
    9 and MORTGAGE ELECTRONIC
    10 REGISTRATION SYSTEMS, INC.,
    11         Defendants-Appellees.
    12 APPEAL FROM THE DISTRICT COURT OF SANTA FE COUNTY
    13 Francis J. Mathew, District Judge
    14   William F. Davis & Associates, P.C.
    15   William F. Davis
    16   Nephi D. Hardman
    17   Albuquerque, NM
    18 for Appellant
    19 Cavin & Ingram, P.A.
    20 Stephen D. Ingram
    21 Albuquerque, NM
    22 for Appellees
    1                                      OPINION
    2 ZAMORA, Judge.
    3   {1}   Appellant Phoenix Funding, LLC (Phoenix) appeals from the district court’s
    4 order granting summary judgment in favor of Appellees Aurora Loan Services, LLC
    5 (Aurora) and Mortgage Electronic Registration Systems, Inc. (MERS) (collectively
    6 Aurora). Phoenix filed suit to quiet title, challenging the validity of a default
    7 foreclosure judgment entered against its predecessor in interest, Kirsten Hood (Hood).
    8 The district court determined that Phoenix’s suit constituted an improper collateral
    9 attack on the original judgment and that Phoenix’s claims were barred by res judicata.
    10 We hold that a collateral attack on the original judgment by Phoenix was proper, and
    11 thus, res judicata does not operate to bar Phoenix’s claims. We reverse and remand
    12 for further proceedings.
    13 I.      BACKGROUND
    14   {2}   In December 2006, Hood signed a promissory note with GreenPoint Mortgage
    15 Funding, Inc. (GreenPoint Funding) to purchase her Santa Fe home. To secure the
    16 note, Hood signed a mortgage contract with MERS as the nominee for GreenPoint
    17 Funding, which pledged her home as collateral for the loan.
    18   {3}   In March 2009, Aurora filed a complaint in the First Judicial District Court
    19 seeking foreclosure on Hood’s home and claiming to be the holder of the note and
    1 mortgage with the right of enforcement. In October 2009, default judgment was
    2 entered against Hood. In November 2011 for “valuable consideration,” Hood
    3 executed a quitclaim deed transferring her interest in the property to Gregory
    4 Hutchins (Hutchins), the sole member of Phoenix. Hutchins borrowed the money to
    5 purchase the property and mortgaged his interest in the property to Phoenix. Hutchins
    6 defaulted and Phoenix filed suit to foreclose Hutchins’ interest in the property and to
    7 quiet title as to certain mortgage holders, including Aurora.
    8   {4}   Phoenix claimed that the Hood note and mortgage were never properly
    9 assigned to Aurora, and as a result, Aurora lacked standing to bring the original
    10 foreclosure action against Hood, therefore, the district court lacked subject matter
    11 jurisdiction over that action and its 2009 foreclosure judgment was void. Aurora
    12 moved for summary judgment claiming that Phoenix lacked standing to challenge that
    13 original foreclosure judgment, and that Phoenix’s claims constituted an improper
    14 collateral attack that were barred by res judicata. Phoenix also moved for summary
    15 judgment reiterating its claim that the original judgment against Hood was void based
    16 on lack of standing and subject matter jurisdiction. Phoenix also argued, for the first
    17 time, that the judgment was void because Aurora had fraudulently assigned the Hood
    18 mortgage to itself.
    2
    1   {5}   The district court found that it had jurisdiction over the original foreclosure
    2 action, that Phoenix, as a party in privity with and/or a successor-in-interest to Hood,
    3 was bound by the original foreclosure judgment under the doctrine of res judicata,
    4 and as a result Phoenix was precluded from collaterally attacking the original
    5 foreclosure judgment. The district court granted summary judgment in favor of
    6 Aurora and concluded that Phoenix’s motion for summary judgment was moot.
    7 II.     DISCUSSION
    8   {6}   On appeal, Phoenix argues that the district court erred in granting summary
    9 judgment and in determining that its claims are barred by res judicata. Phoenix
    10 renews its argument that because Aurora lacked standing to bring the foreclosure
    11 action, that the district court therefore lacked jurisdiction to hear the case, and as a
    12 result, the original foreclosure judgment is void. Aurora contends that Phoenix lacks
    13 standing to challenge the original foreclosure judgment because it was not a party to
    14 the original foreclosure action and took its interest in the subject property after the
    15 foreclosure judgment was rendered. Aurora further argues that the grant of summary
    16 judgment was proper and that Phoenix’s claims are precluded under the doctrine of
    17 res judicata.
    3
    1 A.      Summary Judgment Standard of Review
    2   {7}   “We review the district court’s decision to grant summary judgment de novo.”
    3 Hydro Res. Corp. v. Gray, 2007-NMSC-061, ¶ 14, 
    143 N.M. 142
    , 
    173 P.3d 749
    .
    4 Summary judgment is appropriate where the facts are undisputed, “and the movant
    5 is entitled to judgment as a matter of law.” 
    Id. (internal quotation
    marks and citation
    6 omitted). Generally, New Mexico courts view summary judgment with disfavor.
    7 Romero v. Philip Morris Inc., 2010-NMSC-035, ¶ 8, 
    148 N.M. 713
    , 
    242 P.3d 280
    .
    8 We review the facts and make all reasonable inferences from the record in favor of
    9 the nonmoving party. T.H. McElvain Oil & Gas Ltd. P’ship v. Benson-Montin-Greer
    10 Drilling Corp., 2015-NMCA-004, ¶ 19, 
    340 P.3d 1277
    , cert. granted, 2014-
    11 NMCERT-012, 
    344 P.3d 988
    .
    12 B.      Under New Mexico Law Judgments Rendered by a Court Lacking
    13         Jurisdiction Are Void
    14   {8}   The New Mexico Supreme Court has distinguished between judgments
    15 rendered in error, judgments that can be set aside, and judgments rendered without
    16 authority which are null and void. State v. Patten, 1937-NMSC-034, ¶ 26, 
    41 N.M. 17
    395, 
    69 P.2d 931
    (“Where a court has jurisdiction, it has a right to decide every
    18 question which occurs in the cause . . . [b]ut if it act[s] without authority, its
    19 judgments and orders are regarded as nullities; they are not voidable, but simply
    20 void.” (internal quotation marks and citation omitted)). Judgments void for lack of
    4
    1 jurisdiction have no legal effect. See In re Field’s Estate, 1936-NMSC-060, ¶ 11, 40
    
    2 N.M. 423
    , 
    60 P.2d 945
    (“There are three jurisdictional essentials necessary to the
    3 validity of every judgment, to wit, jurisdiction of parties, jurisdiction of the subject
    4 matter, and power or authority to decide the particular matters presented and the lack
    5 of either is fatal to the judgment[.]” (citations omitted)); see also Heckathorn v.
    6 Heckathorn, 1967-NMSC-017, ¶ 10, 
    77 N.M. 369
    , 
    423 P.2d 410
    (same). Concerning
    7 void judgments, our Supreme Court has stated:
    8        A judgment void upon its face and requiring only an inspection of the
    9        record to demonstrate its invalidity is a mere nullity, in legal effect no
    10        judgment at all, conferring no right and affording no justification.
    11        Nothing can be acquired or lost by it; it neither bestows nor extinguishes
    12        any right, and may be successfully assailed whenever it is offered as the
    13        foundation for the assertion of any claim or title. It neither binds nor
    14        bars anyone. All acts performed under it and all claims flowing out of
    15        it are void. The parties attempting to enforce it may be responsible as
    16        trespassers. The purchaser at a sale by virtue of its authority finds
    17        himself without title and without redress. No action upon the part of the
    18        plaintiff, no inaction upon the part of the defendant, no resulting equity
    19        in the hands of third persons, no power residing in any legislative or
    20        other department of the government, can invest it with any of the
    21        elements of power or of vitality. It does not terminate or discontinue the
    22        action in which it is entered, nor merge the cause of action; and it
    23        therefore cannot prevent the plaintiff from proceeding to obtain a valid
    24        judgment upon the same cause, either in the action in which the void
    25        judgment was entered or in some other action. The fact that the void
    26        judgment has been affirmed on review in an appellate court or an order
    27        or judgment renewing or reviving it entered adds nothing to its validity.
    28        Such a judgment has been characterized as a dead limb upon the judicial
    29        tree, which may be chopped off at any time, capable of bearing no fruit
    30        to plaintiff but constituting a constant menace to defendant.
    5
    1 Walls v. Erupcion Mining Co., 1931-NMSC-052, ¶ 6, 
    36 N.M. 15
    , 
    6 P.2d 1021
    2 (internal quotation marks and citation omitted).
    3 C.       A Judgment’s Validity Can Be Challenged by a Successor in Interest in a
    4          Subsequent Action
    5   {9}    New Mexico courts characterize attacks on void judgments as either “direct”
    6 or “collateral.” Barela v. Lopez, 1966-NMSC-163, ¶¶ 4-5, 
    76 N.M. 632
    , 
    417 P.2d 7
    441.
    8          A direct attack . . . is an attempt to avoid or correct [the judgment] in
    9          some manner provided by law and in a proceeding instituted for that
    10          very purpose, in the same action and in the same court[. Whereas,] a
    11          collateral attack is an attempt to impeach the judgment by matters dehors
    12          the record, in an action other than that in which it was rendered; an
    13          attempt to avoid, defeat, or evade it, or deny its force and effect, in some
    14          incidental proceeding not provided by law for the express purpose of
    15          attacking it[.]
    16 
    Id. ¶ 5
    (internal quotation marks and citations omitted). “In other words, if the action
    17 or proceeding has an independent purpose and contemplates some other relief or
    18 result, although the overturning of the judgment may be important or even necessary
    19 to its success, then the attack upon the judgment is collateral.” 
    Id. (internal quotation
    20 marks and citation omitted).
    21   {10}   Because a void judgment has no effect on the parties, or their respective
    22 interests, “[t]here is no time limitation on asserting that [a] judgment is void.” See
    23 Heckathorn, 1967-NMSC-017, ¶ 15. This is true when a judgment is challenged
    6
    1 under Rule 1-060(B) NMRA. See Eaton v. Cooke, 1964-NMSC-137, ¶ 7, 
    74 N.M. 2
    301, 
    393 P.2d 329
    (“[W]here the judgment was void, [Rule 1-060(B)] does not
    3 purport to place any limitation of time.”). It is also true when a judgment is
    4 challenged in a subsequent action. See In re Estate of Baca, 1980-NMSC-135, ¶ 10,
    5 
    95 N.M. 294
    , 
    621 P.2d 511
    (stating that a void judgment is “subject to direct or
    6 collateral attack at any time”); Chavez v. Cnty. of Valencia, 1974-NMSC-035, ¶ 15,
    7 
    86 N.M. 205
    , 
    521 P.2d 1154
    (“An attack on subject matter jurisdiction may be made
    8 at any time in the proceedings. It may be made for the first time upon appeal. Or it
    9 may be made by a collateral attack in the same or other proceedings long after the
    10 judgment has been entered.” (citations omitted)).
    11   {11}   The general rule is that judgments may be challenged directly or challenged
    12 collaterally in a subsequent action, where the challenge is based on an asserted lack
    13 of jurisdiction. See Hanratty v. Middle Rio Grande Conservancy Dist., 1970-NMSC-
    14 157, ¶¶ 1-4, 
    82 N.M. 275
    , 
    480 P.2d 165
    (deciding the merits of a collateral attack on
    15 a previously rendered default foreclosure judgment where the challenge was based
    16 on an asserted lack of jurisdiction and was presented in the context of a subsequent
    17 action to quiet title); Matlock v. Somerford, 1958-NMSC-093, ¶ 6, 
    64 N.M. 347
    , 328
    
    18 P.2d 600
    (same).
    7
    1   {12}   This rule has been applied regardless of whether the challenge is based on an
    2 alleged lack of personal or subject matter jurisdiction. See Hubbard v. Howell, 1980-
    3 NMSC-015, ¶¶ 6-10, 
    94 N.M. 36
    , 
    607 P.2d 123
    (reaching the merits of two collateral
    4 attacks on a previous judgment, where the attacks were based on the asserted lack of
    5 subject-matter and personal jurisdiction); Matlock, 1958-NMSC-093, ¶¶ 18-23,
    6 (examining the merits of a collateral attack involving an alleged lack of personal
    7 jurisdiction). This rule also seems to apply regardless of whether the party making the
    8 attack was a party to the original action or a successor in interest. See In re Estate of
    9 Baca, 1980-NMSC-135, ¶ 6 (stating that successors in interest challenged prior
    10 judgment in a quiet title action); Matlock, 1958-NMSC-093, ¶¶ 18-23 (successor in
    11 interest challenged prior default foreclosure judgment in a quiet title action).
    12   {13}   Our Supreme Court has also considered the merits of a collateral attack on a
    13 prior foreclosure judgment, made by a successor in interest in a subsequent action to
    14 quiet title, where the successor in interest acquired its interest after the original
    15 foreclosure judgment was entered. See Hanratty, 1970-NMSC-157, ¶¶ 1-2, 6;
    16 Matlock, 1958-NMSC-093, ¶¶ 18-23. And the Court has permitted default judgments
    17 to be challenged even where jurisdiction was not raised in the original action. See In
    18 Re Estate of Baca, 1980-NMSC-135, ¶¶ 3, 10; Hubbard, 1980-NMSC-015, ¶¶ 6-10;
    19 Matlock, 1958-NMSC-093, ¶¶ 18-23. We conclude that Phoenix, as a successor in
    8
    1 interest, has standing to challenge the validity of the prior default foreclosure
    2 judgment.
    3 D.       Standing to Foreclose Implicates Subject Matter Jurisdiction
    4   {14}   Having established that judgments rendered by a court lacking subject matter
    5 jurisdiction are void, and that void judgments can be challenged by a successor in
    6 interest in a subsequent action to quiet title, we find the determinative question to be
    7 whether the default judgment in this case was rendered without subject matter
    8 jurisdiction. We first consider whether Aurora established its standing to foreclose,
    9 and if it did not, did Aurora’s lack of standing deprive the district court of subject
    10 matter jurisdiction.
    11 1.       Aurora Lacked Standing to Foreclose
    12   {15}   Whether a party has standing to bring a claim is a legal question we review de
    13 novo. Disabled Am. Veterans v. Lakeside Veterans Club, Inc., 2011-NMCA-099, ¶ 9,
    14 
    150 N.M. 569
    , 
    263 P.3d 911
    . In order to establish standing to foreclose, plaintiffs
    15 must demonstrate that they had the right to enforce the note and the right to foreclose
    16 the mortgage at the time the foreclosure suit was filed. Bank of N.Y. v. Romero, 2014-
    17 NMSC-007, ¶ 17, 320 P.3d. 1. The right to enforce the mortgage arises from the right
    18 to enforce the note, so the determinative inquiry is whether the plaintiff has
    19 established that it had the right to enforce the note at the time it filed suit. 
    Id. ¶ 35.
    9
    1   {16}   Under New Mexico’s Uniform Commercial Code (UCC), a promissory note is
    2 a negotiable instrument, NMSA 1978, § 55-3-104(a), (b), (e) (1992), which can be
    3 enforced by (1) the holder of the instrument; (2) a holder who does not possess the
    4 instrument and has the rights of a holder; or (3) a person who does not possess the
    5 instrument, but is entitled to enforce it pursuant to certain provisions of the UCC.
    6 NMSA 1978, § 55-3-301 (1992); Romero, 2014-NMSC-007, ¶ 20 (same). The holder
    7 of the instrument is “the person in possession of a negotiable instrument that is
    8 payable either to bearer or to an identified person that is the person in possession.”
    9 NMSA 1978, § 55-1-201(b)(21)(A) (2005); Romero, 2014-NMSC-007, ¶ 21 (same).
    10 “Accordingly, a third party must prove both physical possession and the right to
    11 enforcement through either a proper indorsement or a transfer by negotiation.”
    12 Romero, 2014-NMSC-007, ¶ 21.
    13   {17}   In this case, the Hood note was payable to GreenPoint Funding, not Aurora. As
    14 a result, we must determine whether Aurora provided sufficient evidence of how it
    15 became a holder of the Hood note, either by indorsement or by a transfer. 
    Id. In the
    16 Hood foreclosure, Aurora produced an unindorsed copy of the Hood note and a
    17 corporate assignment of mortgage assigning the Hood mortgage from MERS to
    18 Aurora. Neither the unindorsed note, nor the assignment of mortgage is sufficient to
    19 establish Aurora as the holder of the Hood note. See 
    id. ¶¶ 23,
    34-35 (stating that
    10
    1 “[p]ossession of an unindorsed note made payable to a third party does not establish
    2 the right of enforcement, just as finding a lost check made payable to a particular
    3 party does not allow the finder to cash it” and that a plaintiff who has not established
    4 the right to enforce the note cannot foreclose the mortgage, even if evidence shows
    5 that the mortgage was assigned to the plaintiff, there being no legal authority
    6 allowing the assignment of a mortgage to carry with it the transfer of a note).
    7   {18}   In the subsequent quiet title action, Aurora introduced another copy of the
    8 Hood note that was indorsed in blank and attached to the affidavit of Alan Flanagan
    9 (Flanagan), an officer of Nationstar Mortgage, LLC (Nationstar). The affidavit stated
    10 that Nationstar was the successor in interest to Aurora, that Nationstar had custody
    11 and control of the business records concerning the Hood loan, and that according to
    12 those records Aurora maintained custody and possession of the Hood note from
    13 January 2009 through June 2012. Although this evidence creates a genuine issue of
    14 material fact, the undated indorsement is still insufficient to establish Aurora as the
    15 holder of the Hood note at the time its foreclosure against Hood was filed in March
    16 2009.
    17   {19}   The affidavit of Flanagan, states that the Hood note was transferred to
    18 Nationstar “in or about June 2012,” thirty-nine months after the foreclosure complaint
    19 was filed in March 2009. The affidavit does not state that Flanagan had personal
    11
    1 knowledge that the Hood note was transferred to Aurora prior to the filing of the
    2 foreclosure complaint. See Rule 11-602 NMRA (“A witness [or affiant] may testify
    3 to a matter only if evidence is introduced sufficient to support a finding that the
    4 witness has personal knowledge of the matter. Evidence to prove personal knowledge
    5 may consist of the witness’s own testimony.”). Flanagan’s only purported basis of
    6 knowledge regarding the transfer of the Hood note is his review of the “business
    7 records as they relate to the [l]oan.” However, no such business record itself was
    8 offered or admitted as a business records hearsay exception. See Rule 11-803(6)
    9 NMRA (naming this category of hearsay exceptions as “[r]ecords of a regularly
    10 conducted activity”); see also Romero, 2014-NMSC-007, ¶¶ 31-32 (holding that a
    11 witness’s testimony and a witness’s affidavit were insufficient to establish the transfer
    12 of the note because the witnesses lacked personal knowledge of the note’s transfer,
    13 and that a witness’s reliance on a review of the business records was also insufficient
    14 to establish the note’s transfer without a specific business record having been offered
    15 and admitted under the business records exception to the hearsay rule).
    16   {20}   The copy of the Hood note attached to the affidavit of Flanagan, differed from
    17 the note produced in the original foreclosure; it included an extra page with a blank
    18 indorsement. A blank indorsement “does not identify a person to whom the
    19 instrument is payable but instead makes it payable to anyone who holds it as bearer
    12
    1 paper.” 
    Id. ¶ 24;
    see NMSA 1978, § 55-3-205(b) (1992) (“If an indorsement is made
    2 by the holder of an instrument and it is not a special indorsement, it is a blank
    3 indorsement.” (internal quotation marks omitted)). “When indorsed in blank, an
    4 instrument becomes payable to bearer and may be negotiated by transfer of
    5 possession alone until specially indorsed.” Section 55-3-205(b). In other words, the
    6 bearer of a note indorsed in blank is ordinarily the holder of that note. See § 55-3-
    7 104(a)(1), (b), (e) (defining “negotiable instrument” as including a “note” made
    8 “payable to bearer or to order” (internal quotation marks omitted)); Section 55-3-301
    9 (defining “[p]erson entitled to enforce” a negotiable instrument); see also Romero,
    10 2014-NMSC-007, ¶ 26 (“[The] blank indorsement . . . established the [b]ank as a
    11 holder because the [b]ank [was] in possession of bearer paper[.]”). However, where
    12 an indorsed note is not produced until after the plaintiff has filed for foreclosure and
    13 the indorsement is undated, the indorsement is insufficient to show that the plaintiff
    14 was the holder of that note at the time the foreclosure complaint was filed. Deutsche
    15 Bank Nat’l Trust Co. v. Beneficial N.M. Inc., 2014-NMCA-090, ¶ 13, 
    335 P.3d 217
    ,
    16 cert. granted sub nom. Deutsche Bank v. Johnston, 2014-NMCERT-008, 
    334 P.3d 17
    425. We conclude that Aurora did not present the necessary evidence to establish it
    18 had standing to enforce the Hood note at the time its complaint was filed in March
    19 2009. To be clear, we are not deciding whether Aurora was the holder of the Hood
    13
    1 note when it initiated foreclosure proceedings against Hood. The issue before us is
    2 whether Aurora presented evidence sufficient to establish that it was the holder of the
    3 note at the time the complaint for foreclosure was filed and we determine that it did
    4 not.
    5 2.       Lack of Standing to Foreclose Deprived the District Court of Subject-
    6          Matter Jurisdiction
    7   {21}   Although foreclosure was historically considered an equitable remedy, in
    8 Romero, our Supreme Court also recognized it as a statutory cause of action under the
    9 provisions of the New Mexico UCC, making a lack of standing to foreclose on a note
    10 a jurisdictional defect.
    11          The Bank of New York does not dispute that it was required to
    12          demonstrate under New Mexico’s Uniform Commercial Code (UCC)
    13          that it had standing to bring a foreclosure action at the time it filed suit.
    14          See . . . § 55-3-301 . . . (defining who is entitled to enforce a negotiable
    15          interest such as a note); see also . . . § 55-3-104(a), (b), (e) . . .
    16          (identifying a promissory note as a negotiable instrument); ACLU of
    
    17 N.M. v
    . City of Albuquerque, 2008-NMSC-045, ¶ 9 n.1, 
    144 N.M. 471
    ,
    18          
    188 P.3d 1222
    (recognizing standing as a jurisdictional prerequisite for
    19          a statutory cause of action)[.]
    20 Romero, 2014-NMSC-007, ¶ 17. In ACLU, the Court stated “[w]hen a statute creates
    21 a cause of action and designates who may sue, the issue of standing becomes
    22 interwoven with that of subject matter jurisdiction. Standing then becomes a
    23 jurisdictional prerequisite to an action.” 2008-NMSC-045, ¶ 9 n.1 (internal quotation
    24 marks and citation omitted). Reading Romero and ACLU together, we conclude that
    14
    1 Aurora lacked standing to foreclose, thereby, depriving the district court of subject
    2 matter jurisdiction in March 2009.
    3   {22}   This is consistent with other New Mexico Supreme Court precedent. The Court
    4 addressed standing as a jurisdictional requirement in State ex rel. Overton v. New
    5 Mexico State Tax Commission, 1969-NMSC-140, 
    81 N.M. 28
    , 
    462 P.2d 613
    . In that
    6 case, the county assessor filed a declaratory judgment action against the state tax
    7 commission and the commissioners, questioning the constitutionality of the soldiers’
    8 real and personal property exemption statute, and two veteran groups intervened. 
    Id. 9 ¶¶
    1, 5. In its answer, the tax commission argued that the assessor and the intervenors
    10 had no standing to sue and that their complaints presented no justiciable issue or
    11 controversy. 
    Id. ¶ 6.
    “The [district] court concluded that it had jurisdiction and that
    12 an actual controversy existed.” 
    Id. On appeal
    the parties did not raise the issues of
    13 standing or jurisdiction. 
    Id. ¶ 8.
    Nonetheless, the Supreme Court raised the issue sua
    14 sponte, stating, “we cannot ignore jurisdictional questions.” 
    Id. 15 {23}
      The Court concluded that the county assessor would not be personally injured
    16 or jeopardized by the challenged statute, and the intervenors—members of an
    17 unincorporated association made up of veteran taxpayers—were not similarly situated
    18 so as to allow action by non-legal entity association. 
    Id. ¶¶ 10-14,
    19-20. The Court
    19 also concluded that the assessor and intervenors did not have standing to bring the
    15
    1 action and as a result, the district court lacked subject matter jurisdiction to decide the
    2 case. 
    Id. ¶¶ 19-20.
    The Court explained that subject matter jurisdiction could not be
    3 conferred by consent of the parties and could not be waived. 
    Id. ¶ 8.
    The Court further
    4 stated “[the absence of] jurisdiction over the parties or . . . the power or authority to
    5 decide the particular matter presented, . . . is . . . fatal to the judgment.” 
    Id. The case
    6 was remanded for dismissal of the action. 
    Id. ¶ 20.
    7   {24}   In the context of foreclosure, other jurisdictions have held that lack of standing
    8 creates a jurisdictional defect with respect to the district court’s authority to hear the
    9 particular case, not with respect to general subject matter jurisdiction, and that
    10 judgments rendered by a court lacking authority to hear the case are voidable, rather
    11 than null and void. See Nationstar Mortg., LLC v. Canale, 
    10 N.E.3d 229
    , ¶ 17 (“[A]
    12 plaintiff’s standing, though an element of justiciability, is not an element of the
    13 district court’s subject-matter jurisdiction. Again, the latter requires only a justiciable
    14 matter, which a foreclosure clearly is.” (internal quotation marks and citation
    15 omitted)); see also Bank of Am., N.A. v. Kuchta, 
    21 N.E.3d 1040
    , ¶ 22 (“Standing is
    16 certainly a jurisdictional requirement; a party’s lack of standing vitiates the party’s
    17 ability to invoke the jurisdiction of a court—even a court of competent subject-matter
    18 jurisdiction—over the party’s attempted action. But an inquiry into a party’s ability
    19 to invoke a court’s jurisdiction speaks to jurisdiction over a particular case, not
    16
    1 subject-matter jurisdiction.” (emphasis added) (citations omitted)); Southwick v.
    2 Planning Bd. of Plymouth, 
    891 N.E.2d 239
    , 268 (Mass. Ct. App. 2008) (“[S]tanding
    3 is an issue of subject matter jurisdiction only in the sense that it is a criterion that
    4 must be met in order for the court to exercise jurisdiction, when the court otherwise
    5 is competent to decide the case. [A] subsequent showing that the plaintiff did not, in
    6 fact, have standing does not mean that the judgment is void and must be vacated; the
    7 judgment is immune from postjudgment attack unless the court’s exercise of
    8 jurisdiction constituted a clear usurpation of power.” (internal quotation marks and
    9 citations omitted)).
    10   {25}   This approach may be untenable under New Mexico law. Concerning the
    11 distinction between subject matter jurisdiction and a court’s power or authority to
    12 decide a particular case, our Supreme Court has stated:
    13          Despite the well-settled character of the statement just quoted from
    14          Heckathorn and Field’s Estate, it is not easy to discern the difference
    15          between lack of subject-matter jurisdiction and lack of power or
    16          authority to decide the particular matter presented. The difference, if
    17          any, is not recognized in our Rules of Civil Procedure for the District
    18          Courts, which refer only to jurisdiction over the subject matter of the
    19          action and we know of no case in which this difference has been
    20          explained. Possibly it relates to Article VI, Section 13, of our
    21          Constitution, which confers upon the district court original jurisdiction
    22          in all matters and causes not excepted in this constitution, and also
    23          grants such jurisdiction of special cases and proceedings as may be
    24          conferred by law. Jurisdiction over the subject matter is commonly
    25          treated as a unitary topic, and at this stage in the development of the law
    26          one may doubt that the distinction serves any useful purpose.
    17
    1 Sundance Mech. & Util. Corp. v. Atlas, 1990-NMSC-031, ¶ 13, 
    109 N.M. 683
    , 789
    
    2 P.2d 1250
    (internal quotation marks and citations omitted).
    3   {26}   The present case calls into question whether there is a meaningful distinction
    4 between subject-matter jurisdiction and power or authority to decide the particular
    5 issue. However, the question has not been resolved. See Armstrong v. Csurilla, 1991-
    6 NMSC-081, ¶ 12, 
    112 N.M. 579
    , 
    817 P.2d 1221
    (“We recently considered the topic
    7 of subject-matter jurisdiction in Sundance Mechanical & Utility Corp. . . . There we
    8 took note of our previous statement in, inter alia, Heckathorn, . . . that there are three
    9 aspects to jurisdiction: jurisdiction of the parties, jurisdiction of the subject matter,
    10 and power or authority to decide the particular matter presented. The plurality opinion
    11 questioned whether there is now any utility to the distinction between the second
    12 aspect, subject-matter jurisdiction, and the third, power or authority to decide the
    13 particular issue. But we did not resolve this question then and do not resolve it now.”
    14 (internal quotation marks and citations omitted)).
    15   {27}   Moreover, our Supreme Court has held that a judgment rendered by a court
    16 lacking authority to decide a particular case is void, not voidable. See Heckathorn,
    17 1967-NMSC-017, ¶¶ 10-11. In that case, the Court considered a challenge to the
    18 validity of a divorce decree. 
    Id. ¶ 1.
    The Court recognized the “three jurisdictional
    19 essentials necessary to the validity of every judgment: jurisdiction of parties,
    18
    1 jurisdiction of subject matter and power or authority to decide the particular matter
    2 presented” and identified the issue in that case as one involving the third
    3 jurisdictional element; the district court’s “power or authority to grant the divorce.”
    4 
    Id. ¶ 10.
    Determining that the district court lacked the authority to grant the divorce
    5 because the wife had not been a resident of the state for the statutorily mandated
    6 period, the Court concluded that the divorce decree was null and void. 
    Id. ¶ 11.
    7 Though there may not be a meaningful distinction between subject-matter jurisdiction
    8 and the authority to decide a particular case, Heckathorn suggests that the distinction
    9 may not be material for the purpose of determining a judgment’s validity; where a
    10 court is lacking either, the resulting judgment is null and void.
    11   {28}   We conclude that the original foreclosure judgment was subject to collateral
    12 attack by Phoenix, as Hood’s successor in interest; that Aurora lacked standing to
    13 bring the original foreclosure action against Hood thus, depriving the district court
    14 of subject matter jurisdiction; and as a result the judgment is void.
    15 E.       Res Judicata Does Not Bar Phoenix’s Claims
    16   {29}   Phoenix argues that the district court erred in determining that its claims were
    17 barred by res judicata. “Res judicata is designed to relieve parties of the cost and
    18 vexation of multiple lawsuits, conserve judicial resources, . . . prevent inconsistent
    19 decisions, and encourage reliance on adjudication.” Computer One, Inc. v. Grisham
    19
    1 & Lawless P.A., 2008-NMSC-038, ¶ 31, 
    144 N.M. 424
    , 
    188 P.3d 1175
    (alterations,
    2 internal quotation marks, and citation omitted). The “party asserting res judicata or
    3 claim preclusion must establish that (1) there was a final judgment in an earlier
    4 action, (2) the earlier judgment was on the merits, (3) the parties in the two suits are
    5 the same, and (4) the cause of action is the same in both suits.” Potter v. Pierce, 2015-
    6 NMSC-002, ¶ 10, 
    342 P.3d 54
    .
    7   {30}   In this case, the judgment in the Hood action on which the district court based
    8 its res judicata determination is void. A void judgment has no conclusive effect either
    9 as res judicata or as an estoppel, because the proceeding that culminated in the void
    10 judgment was itself without integrity. See Matsu v. Chavez, 1981-NMSC-113, ¶¶ 8,
    11 9, 
    96 N.M. 775
    , 
    635 P.2d 584
    (stating that a void judgment “has no legal effect[,]”
    12 and that a void judgment cannot serve as the basis of claim preclusion or collateral
    13 estoppel). Accordingly, the district court’s grant of summary judgment on the basis
    14 of res judicata cannot stand.
    15 F.       Unintended Consequences of Romero
    16   {31}   This case presents a unique scenario: Two years after the default foreclosure
    17 judgment      was    entered    and   the   foreclosure   sale   was   held,    a   third
    18 party—Phoenix—obtained an interest in the foreclosed property from Hutchins, its
    19 sole member and the defaulting borrower for “valuable consideration,” and sought to
    20
    1 invalidate the original foreclosure judgment based on the original plaintiff’s lack of
    2 standing. Our decision here turns on standing and jurisdiction with respect to
    3 foreclosure actions as clarified by our Supreme Court recently in Romero. See 2014-
    4 NMSC-007, ¶¶ 15, 17-38. We are not convinced that the Supreme Court
    5 contemplated Romero being applied in circumstances such as those before us here.
    6 However, our decision here is based on Romero and other binding precedent. See
    7 Trujillo v. City of Albuquerque, 1998-NMSC-031, ¶ 33, 
    125 N.M. 721
    , 
    965 P.2d 305
    8 (“Stare decisis is the judicial obligation to follow precedent, and it lies at the very
    9 core of the judicial process of interpreting and announcing law.”). Whether or not this
    10 result was contemplated in the deciding of Romero, it must be expressed by the
    11 Supreme Court.
    12 G.       Phoenix’s Fraud Claims
    13   {32}   Phoenix claims that the original foreclosure judgment is void as a result of
    14 fraud relating to the assignment of mortgage. Although Phoenix did not challenge the
    15 original judgment under Rule 1-060(B)(6), it now characterizes its fraud claims as
    16 part of an “independent action” under Rule 1-060, contending that the district court
    17 was entitled, in its discretion, to allow Phoenix to argue fraud “under the umbrella of
    18 [its] pending independent action for relief.”
    21
    1   {33}   These arguments raise important questions about the bases and procedures for
    2 obtaining relief from judgments. A collateral attack, as defined by our Supreme
    3 Court, “is an attempt to impeach the judgment by matters dehors the record, in an
    4 action other than that in which it was rendered; an attempt to avoid, defeat, or evade
    5 it, or deny its force and effect, in some incidental proceeding not provided by law for
    6 the express purpose of attacking it[.]” Barela, 1966-NMSC-163, ¶ 5 (emphasis added)
    7 (internal quotation marks and citation omitted). “In other words, if the action or
    8 proceeding has an independent purpose and contemplates some other relief or result,
    9 although the overturning of the judgment may be important or even necessary to its
    10 success, then the attack upon the judgment is collateral.” 
    Id. (internal quotation
    marks
    11 and citation omitted).
    12   {34}   In Barela, the Court held that a motion to vacate a judgment was a direct attack
    13 rather than a collateral attack, in part because the motion was authorized by Rule 1-
    14 060. This holding suggests that the remedies provided for by Rule 1-060 are
    15 considered as being “provided by law” for the purpose of distinguishing between
    16 direct and collateral attacks. Barela, 1966-NMSC-163, ¶¶ 5-6. In Apodaca v. Town
    17 of Tome Land Grant, plaintiffs sought equitable relief from a judgment as part of a
    18 subsequent action. 1971-NMSC-084, ¶ 2, 
    83 N.M. 55
    , 
    488 P.2d 105
    . With regard to
    19 characterizing direct and collateral attacks, the Court noted that “[t]he case law on
    22
    1 this point as announced by this court does not appear to be entirely consistent in all
    2 respects[,]” but concluded that its recent cases, including Barela, suggested that “the
    3 present suit would fall within the definition of a collateral attack.” Apodaca, 1971-
    4 NMSC-084, ¶ 5.
    5   {35}   Then, in Chavez, the Court stated that “[a]n attack on subject matter
    6 jurisdiction may be made . . . by a collateral attack in the same or other proceedings
    7 long after the judgment has been entered[,]” and cited Rule 1-060, inter alia,
    8 implying that collateral attacks were among the remedies authorized by Rule1-060,
    9 not a distinct remedy. Chavez, 1974-NMSC-035, ¶ 15. Relying on Chavez, this Court
    10 characterized a challenge brought as an independent action under Rule 1-060 as a
    11 collateral attack, and stated that, a “[c]ollateral attack might be effectuated under Rule
    12 [1-060(B)(4)].” Hort v. Gen. Elec. Co., 1978-NMCA-125, ¶ 5, 
    92 N.M. 359
    , 
    588 P.2d 13
    560.
    14   {36}   With respect to granting relief from judgments, the Restatement offers some
    15 guidance. New Mexico decisions have not adopted every principle set forth in the
    16 most recent version of the Restatement, however, our precedent is consistent with the
    17 Restatement in many aspects and we continue to look to the Restatement for guidance
    18 regarding relief from judgments. See Alvarez v. Cnty. of Bernalillo, 1993-NMCA-
    19 034, ¶ 6, 
    115 N.M. 328
    , 
    850 P.2d 1031
    (stating that “[a]lthough the Restatement[,]
    23
    1 in the interest of clarity[,] avoids the terms void and voidable, it is persuasive
    2 authority in determining when a judgment is void under Rule [1-060(B)(4)]” (internal
    3 quotation marks and citation omitted)).
    4   {37}   The Restatement of Judgments recognizes that the traditional distinction
    5 between direct and collateral attacks on a judgment, which was used in the older
    6 remedial doctrine concerning relief from judgments, is no longer clear or useful in
    7 light of the evolution of merged procedure and the Rule 1-060(B) type of motion.
    8 Restatement (Second) of Judgments ch. 5, intro. note, at 138-39 (1982).
    9   {38}   The distinction between direct and collateral attacks can be based on whether
    10 the attack is made by motion or made in a subsequent action. 
    Id. The distinction
    can
    11 also be based on whether nullification of the judgment is the primary or secondary
    12 object of the action, or is merely incidental. The Restatement also notes that the
    13 distinction between direct and collateral attacks is used in various contexts and for
    14 various purposes. 
    Id. In some
    cases, the distinction is used to identify the persons who
    15 may challenge the judgment, in other cases it is used to identify the proper form for
    16 a challenge, and the distinction can even be used to determine whether evidence
    17 beyond the record can be received in support of the challenge. According to the
    18 Restatement, “[d]istinctions between direct and collateral attacks made in one context
    19 for one of these purposes are often carried over into another context in which the
    24
    1 problem at hand is a different one.” 
    Id. at 142
    This “compound[s] the ambiguities
    2 inherent in the basic distinction and can result in further confusion of the issue[.]” 
    Id. 3 {39}
      The Restatement notes that the traditional classification of judgments as void
    4 or voidable also creates confusion because the terms are used with different
    5 connotations. 
    Id. at 144.
    For example, a void judgment is often considered to be a
    6 judgment rendered by a court lacking either personal or subject-matter jurisdiction,
    7 but can also refer to a judgment procured by fraud of some kind. 
    Id. A voidable
    8 judgment is often considered to be a judgment based on mistake, but the judgment is
    9 also based on fraud. 
    Id. And, even
    though judgments rendered in the absence of
    10 jurisdiction are typically considered void and without legal effect, some courts have
    11 given such judgments legal effect nonetheless, further muddying the distinction. 
    Id. 12 {40}
      For these reasons, the current edition of the Restatement suggests that the
    13 distinctions between void and voidable judgments, and direct or collateral attacks are
    14 untenable under modern decisional law. 
    Id. at 142
    -43, 144. Instead, the Restatement
    15 identifies three distinct types of procedures for setting aside judgments. 
    Id. at 140.
    16 The first is a motion for relief from a judgment under Rule 60(b) of the Federal Rules
    17 of Civil Procedure, or the comparable provisions in state procedural systems.
    18 Restatement (Second) of Judgments ch. 5, intro. note b, at 140. The motion “is part
    19 or a continuation of the original action, [and] it ordinarily must be made in the court
    25
    1 in which the judgment was rendered.” 
    Id. The second
    procedure is an independent
    2 action and is also provided for by Rule 60(b). Restatement (Second) of Judgments ch.
    3 5, intro. note b, at 140. The independent action is a challenge to the judgment through
    4 an action against the other party to the original action and is similar to the old suit in
    5 equity. 
    Id. 6 {41}
      The third mode of relief is described as “relief in the course of another action,
    7 because the question of the judgment’s effect arises as an incident to a subsequent
    8 action.” 
    Id. at 140-41.
    This mode of relief is defensive and does not stem from Rule
    9 60, but from common law defenses to actions brought upon money judgments.
    10 Restatement (Second) of Judgments § 80 cmt. a, at 248. In modern procedural
    11 systems this mode of relief is usually employed when the party in whose favor the
    12 judgment was entered, relies on the judgment for some sort of additional relief.
    13 Restatement (Second) of Judgments ch. 5, intro. note b, at 140-41. For example,
    14 where a party defends a quiet title action by relying on a prior judgment in its favor,
    15 the opposing party may seek to invalidate the earlier judgment. Restatement (Second)
    16 of Judgments § 80 cmt. d, at 246-47.
    17   {42}   The Restatement further suggests that in determining whether relief should be
    18 granted from any judgment, an analysis of three essential questions is appropriate:
    19          First, does the person seeking relief have standing to obtain relief from
    20          the judgment in question on the ground upon which he relies? Second,
    26
    1          is the forum in which relief is sought the appropriate one for considering
    2          the particular attack? Third, may evidence be offered in support of the
    3          attack when it contradicts the face of the record?
    4 Restatement (Second) of Judgments ch. 5 intro. note b, at 142-43 (internal quotation
    5 marks omitted).
    6   {43}   With regard to standing, the Restatement provides that “[r]elief from a
    7 judgment may be sought by or on behalf of a person only if the judgment is or
    8 purports to be binding on him under the rules of res judicata, or if he has an interest
    9 affected by the judgment[.]” Restatement (Second) of Judgments § 64, at 145. Where
    10 a person has standing to attack a judgment, “the question is whether he may pursue
    11 relief in the course of the subsequent action rather than being obliged to seek relief
    12 by means of other remedies, including [a motion in the original action or an
    13 independent action].” Restatement (Second) of Judgments § 80 cmt. a, at 244-45. The
    14 question of whether relief was sought in the proper forum requires consideration of
    15 the “adequacy of relief obtainable by other remedies and the relation between the
    16 ground upon which relief is sought and the forum in which it should be pursued.” 
    Id. 17 at
    245. Where “the question concerns the subject[-]matter jurisdiction of the
    18 rendering court,” relief may be sought in a subsequent action or a different court. 
    Id. 19 cmt.
    d, at 246-47.
    27
    1   {44}   Our holding in the present case that the original foreclosure judgment is void
    2 for lack of jurisdiction is determinative, and accordingly, we do not address Phoenix’s
    3 fraud claims, nor do we decide whether a collateral attack on a judgment as defined
    4 by our Supreme Court encompasses the remedy of a Rule 1-060 independent action.
    5 We leave to our Supreme Court the task of resolving the tension, if any, between
    6 Barela, Chavez, and Hort. See State ex rel. Martinez v. City of Las Vegas, 2004-
    7 NMSC-009, ¶ 22, 
    135 N.M. 375
    , 
    89 P.3d 47
    (“[W]hile the Court of Appeals is bound
    8 by Supreme Court precedent, the Court is invited to explain any reservations it might
    9 harbor over its application of our precedent so that we will be in a more informed
    10 position to decide whether to reassess prior case law[.]”).
    11 CONCLUSION
    12   {45}   For the foregoing reasons, we reverse and remand to the district court for
    13 further proceedings consistent with this Opinion.
    14   {46}   IT IS SO ORDERED.
    15
    16                                                 M. MONICA ZAMORA, Judge
    28
    1 WE CONCUR:
    2
    3 RODERICK T. KENNEDY, Judge
    4
    5 TIMOTHY L. GARCIA, Judge
    29