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G.R. No. 217158 - Gios-Samar, Inc. v. Department of Transportation and Communications
G.R. No. 217158 - Gios-Samar, Inc. v. Department of Transportation and Communications
DECISION
JARDELEZA , J : p
The 1987 Constitution and the Rules of Court promulgated, pursuant to its
provisions, granted us original jurisdiction over certain cases. In some instances, this
jurisdiction is shared with Regional Trial Courts (RTCs) and the Court of Appeals (CA).
However, litigants do not have unfettered discretion to invoke the Court's original
jurisdiction. The doctrine of hierarchy of courts dictates that, direct recourse to this
Court is allowed only to resolve questions of law, notwithstanding the invocation of
paramount or transcendental importance of the action. This doctrine is not mere policy,
rather, it is a constitutional ltering mechanism designed to enable the Court to focus
on the more fundamental and essential tasks assigned to it by the highest law of the
land.
On December 15, 2014, the Department of Transportation and Communication 1
(DOTC) and its attached agency, the Civil Aviation Authority of the Philippines (CAAP),
posted an Invitation to Pre-qualify and Bid 2 (Invitation) on the airport development,
operations, and maintenance of the Bacolod-Silay, Davao, Iloilo, Laguindingan, New
Bohol (Panglao), and Puerto Princesa Airports (collectively, Projects). 3 The total cost
of the Projects is P116.23 Billion, broken down as follows: 4
The Invitation stated that the Projects aim to improve services and enhance the
airside and landside facilities of the key regional airports through concession
agreements with the private sector. The Projects will be awarded through competitive
bidding, following the procurement rules and procedure prescribed under Republic Act
(RA) No. 6957, 6 as amended by RA No. 7718 7 (BOT Law), and its Implementing Rules
and Regulations. The concession period would be for 30 years. 8
On March 10, 2015, the DOTC and the CAAP issued the Instructions to
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Prospective Bidders (ITPB), 9 which provided that prospective bidders are to pre-
qualify and bid for the development, operations, and maintenance of the airports, which
are now bundled into two groups (collectively, the Bundled Projects), namely:
Bundle 1: Bacolod-Silay and Iloilo
Bundle 2: Davao, Laguindingan, and New Bohol
(Panglao) 1 0
The costs of Bundle 1 and Bundle 2 are P50.66 Billion and P59.66 Billion,
respectively. The Puerto Princesa Airport project was not included in the bundling. 1 1
The general procedure for the bidding of the Bundled Projects stated that "
[p]rospective [b]idders may bid for only Bundle 1 or Bundle 2, or bid for both Bundle 1
and Bundle 2. x x x The [Pre-Quali cation, Bids and Awards Committee (PBAC)] shall
announce in a Bid Bulletin prior to the Quali cations Submission Date[,] its policy on
whether a [p]rospective [b]idder may be awarded both bundles or whether a
[p]rospective [b]idder may only be awarded with one (1) bundle." 1 2
The submission of the Pre-Quali cation Queries was scheduled for April 3, 2015
and the submission of Qualification Documents on May 18, 2015. 1 3 CAIHTE
Fourth, the PBAC of the DOTC committed grave abuse of discretion amounting
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to excess of jurisdiction when it bundled the projects without legal authority. 2 2
Fifth, bundling made a mockery of public bidding because it raised the
reasonable bar to a level higher than what it would have been, had the projects been
bidded out separately. 2 3
In support of petitioner's prayer, for the issuance of a temporary restraining
order and/or writ of preliminary injunction, it states that there is extreme urgency to
enjoin the bidding of the Bundled Projects so as not to cause irreparable damage and
injury to the coffers of the government. 2 4
In its comment, 2 5 the DOTC counters that: (1) the petition is premature because
there has been no actual bidding yet, hence there is no justiciable controversy to speak
of; (2) petitioner has no legal standing to le the suit whether as a taxpayer or as a
private individual; (3) petitioner's allegation on the violation of anti-dummy and equal
opportunity clauses of the Constitution are speculative and conjectural; (4) Section 11,
Article XII of the Constitution is not applicable to the bidding process assailed by
petitioner; (5) the bundling of the Projects does not violate the prohibitions on
monopolies or combinations in restraint of trade; and (6) the DOTC and the CAAP did
not commit grave abuse of discretion amounting to lack or excess of jurisdiction. 2 6
For its part, the CAAP asserts that the petition violated the basic fundamental
principle of hierarchy of courts. Petitioner had not alleged any special and compelling
reason to allow it to seek relief directly from the Court. The case should have been led
with the trial court, because it raises factual issues which need to be threshed out in a
full-blown trial. 2 7 The CAAP also maintains that petitioner has neither legal capacity nor
authority to file the suit and that the petition has no cause of action. 2 8
In its reply, 2 9 petitioner argues that it need not wait for the conduct of the
bidding to le the suit because doing so would render useless the very purpose for
ling the petition for prohibition. 3 0 As it is, ve groups have already been pre-quali ed
to bid in the Bundled Projects. 3 1 Petitioner also submits that direct recourse to this
Court is justi ed as the "matter of prohibiting the bidding process of the x x x illegally
bundled projects are matters of public interest and transcendental importance." 3 2 It
further insists that it has legal standing to le the suit through Malinao, its duly
authorized representative. 3 3
The main issue brought to us for resolution is whether the bundling of the
Projects is constitutional.
Petitioner argues that the bundling of the Projects is unconstitutional because it
will: (i) create a monopoly; (ii) allow the creation and operation of a combination in
restraint of trade; (iii) violate anti-dummy laws and statutes giving citizens the
opportunity to invest in public utilities; and (iv) enable companies with shaky nancial
backgrounds to participate in the Projects. DETACa
While petitioner asserts that the foregoing arguments involve legal (as opposed
to factual) issues, our examination of the petition shows otherwise. As will be
demonstrated shortly, petitioner's arguments against the constitutionality of the
bundling of the Projects are inextricably intertwined with underlying questions of fact,
the determination of which require the reception of evidence. This Court, however, is not
a trier of fact. We cannot resolve these factual issues at the rst instance. For this
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reason, we DISMISS the petition.
Petitioner claims that the bundling of the Projects violates the constitutional
provisions on monopolies and combinations in restraint of trade under Section 19,
Article XII of the Constitution, which reads:
Sec. 19. The State shall regulate or prohibit monopolies when the
public interest so requires. No combinations in restraint of trade or unfair
competition shall be allowed.
I n Tatad v. Secretary of the Department of Energy , 3 4 we clari ed that the
Constitution does not prohibit the operation of monopolies per se. 3 5 With particular
respect to the operation of public utilities or services, this Court, in Anglo-Fil Trading
Corporation v. Lazaro , 3 6 further clari ed that "[b]y their very nature, certain public
services or public utilities such as those which supply water, electricity, transportation,
telephone, telegraph, etc. must be given exclusive franchises if public interest is to be
served. Such exclusive franchises are not violative of the law against monopolies."
In short, we nd 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. 3 7 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 partnership (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.
In any event, the Constitution provides that the State may, by law, prohibit or
regulate monopolies when the public interest so requires. 3 8 Petitioner has failed to
point to any provision in the law, which speci cally prohibits the bundling of bids, a
detail supplied by the respondent DOTC as implementing agency for the PPP program
for airports. Our examination of the petition and the relevant statute, in fact, provides
further support for the dismissal of the present action.
Originally, monopolies and combinations in restraint of trade were governed by,
and penalized under, Article 186 3 9 of the Revised Penal Code. This provision has since
been repealed by RA No. 10667, or the Philippine Competition Act, which de nes and
penalizes "all forms of anti-competitive agreements, abuse of dominant position, and
anti-competitive mergers and acquisitions." 4 0
RA No. 10667 does not de ne what constitutes a "monopoly." Instead, it
prohibits one or more entities which has/have acquired or achieved a "dominant
position" in a "relevant market" from "abusing" its dominant position. In other words, an
entity is not prohibited from, or held liable for prosecution and punishment for, simply
securing a dominant position in the relevant market in which it operates. It is only when
that entity engages in conduct in abuse of its dominant position that it will be exposed
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to prosecution and possible punishment.
Under RA No. 10667, "dominant position" is defined as follows:
Sec. 4. Definition of Terms. — As used in this Act:
Here, petitioner has not alleged ultimate facts to support its claim that bundling
will create a monopoly, in violation of the Constitution. By merely stating legal
conclusions, petitioner did not present any su cient allegation upon which the Court
could grant the relief petitioner prayed for. In Zuñiga-Santos v. Santos-Gran , 4 4 we held
that "[a] pleading should state the ultimate facts essential to the rights of action or
defense asserted, as distinguished from mere conclusions of fact, or conclusions of
law. General allegations that a contract is valid or legal, or is just, fair, and reasonable,
are mere conclusions of law. Likewise, allegations that a contract is void, voidable,
invalid, illegal, ultra vires, or against public policy, without stating facts showing its
invalidity, are mere conclusions of law." 4 5 The present action should thus be dismissed
on the ground of failure to state cause of action. 4 6
Similarly, RA No. 10667 does not de ne what a "combination in restraint of trade"
is. What it does is penalize anti-competitive agreements. Agreement refers to "any type
of form or contract, arrangement , understanding, collective recommendation, or
concerted action, whether formal or informal." 4 7 The following agreements are
considered anti-competitive:
Sec. 14. Anti-Competitive Agreements. —
(a) The following agreements, between or among competitors, are
per se prohibited:
(1) Restricting competition as to price, or components thereof, or
other terms of trade;
(2) Fixing price at an auction or in any form of bidding including
cover bidding, bid suppression, bid rotation and market allocation and other
analogous practices of bid manipulation;
(b) The following agreements, between or among competitors which
have the object or effect of substantially preventing, restricting or lessening
competition shall be prohibited:
(1) Setting, limiting, or controlling production, markets, technical
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development, or investment;
(2) Dividing or sharing the market, whether by volume of sales or
purchases, territory, type of goods or services, buyers or sellers or any other
means;
(c) Agreements other than those speci ed in (a) and (b) of this
section which have the object or effect of substantially preventing, restricting or
lessening competition shall also be prohibited: Provided, Those which
contribute to improving the production or distribution of goods and services or
to promoting technical or economic progress, while allowing consumers a fair
share of the resulting bene ts, may not necessarily be deemed a violation of
this Act.
An entity that controls, is controlled by, or is under common control with
another entity or entities, have common economic interests, and are not
otherwise able to decide or act independently of each other, shall not be
considered competitors for purposes of this section.
The bundling of the Projects is an arrangement made by the DOTC and the CAAP
in the conduct of public bidding. The question that arises is whether the same
constitutes an anti-competitive agreement prohibited by RA No. 10667. However, to
resolve this, we refer to the factors enumerated in Section 26 of RA No. 10667 on the
determination of anti-competitive agreements or conduct:
Sec. 26. Determination of Anti-Competitive Agreement or Conduct. —
In determining whether anti-competitive agreement or conduct has been
committed, the Commission shall:
(a) De ne the relevant market allegedly affected by the anti-
competitive agreement or conduct , following the principles laid out in
Section 24 of this Chapter;
(b) Determine if there is actual or potential adverse impact
on competition in the relevant market caused by the alleged
agreement or conduct, and if such impact is substantial and
outweighs the actual or potential e ciency gains that result from the
agreement or conduct ;
(c) Adopt a broad and forward-looking perspective, recognizing
future developments, any overriding need to make the goods or services
available to consumers, the requirements of large investments in
infrastructure, the requirements of law, and the need of our economy
to respond to international competition , but also taking account of past
behavior of the parties involved and prevailing market conditions;
(d) Balance the need to ensure that competition is not prevented or
substantially restricted and the risk that competition e ciency, productivity,
innovation, or development of priority areas or industries in the general interest
of the country may be deterred by overzealous or undue intervention; and ETHIDa
For liability for violation of Section 2 to attach, it must rst be established that
there is a law limiting or reserving the enjoyment or exercise of a right, franchise,
privilege, or business to citizens of the Philippines, or to corporations or associations
at least a certain percentage of which is owned by such citizens. 5 0 Moreover, it must
be shown by evidence that a corporation or association falsely simulated the existence
of the minimum required Filipino stock or capital ownership to enjoy or exercise the
right, franchise, privilege, or business.
In this case, petitioner failed to allege ultimate facts showing how the bundling of
the Projects violated the Anti-Dummy Law. It did not identify what corporation or
association falsely simulated the composition of its stock ownership. Moreover, it did
not allege that there is a law limiting, reserving, or requiring that infrastructure or
development projects must be awarded only to corporations, a certain percentage of
the capital of which is exclusively owned by Filipinos. Executive Order (EO) No. 65, 5 1
even exempts contracts for infrastructure/development projects covered by the BOT
Law from the 40% foreign ownership limitation.
For the same reasons above, petitioner's allegation that bundling violated Section
11, Article XII of the Constitution — which prescribes a 60% Filipino ownership
52
requirement for franchises, certi cate, or for the operation of public utilities — must be
rejected.
Petitioner's argument that, bundling of the Projects gave shady companies direct
access to the Projects, also raises questions of fact. Foremost, petitioner does not
identify these "shady companies." Even assuming that petitioner is referring to any or all
of the five companies who have been pre-qualified to bid in the projects, 5 3 its assertion
that these companies are not nancially able to undertake the project raises a question
of fact, nancial ability being a pre-quali cation requirement. As already stated earlier,
such question is one which this Court is ill-equipped to resolve. 5 4
Finally, the allegation that bundling is in grave abuse of discretion is a conclusion
of law. As shown, no facts were even alleged to show which speci c law was violated
by the decision to bundle the Projects.
In short, these three above arguments of petitioner must be dismissed for failure
to su ciently plead a cause of action. Even assuming that petitioner's causes of action
were properly alleged, the resolution of said issues would still require the determination
of factual issues which this Court simply cannot undertake.
In ne, while this Court has original and concurrent jurisdiction with the RTC and
the CA in the issuance of writs of certiorari, prohibition, mandamus, quo warranto, and
habeas corpus 5 5 (extraordinary writs), direct recourse to this Court is proper only to
seek resolution of questions of law. Save for the single speci c instance provided by
the Constitution under Section 18, Article VII, 5 6 cases the resolution of which depends
on the determination of questions of fact cannot be brought directly before the Court
because we are not a trier of facts. We are not equipped, either by structure or rule, to
receive and evaluate evidence in the rst instance; these are the primary functions of
the lower courts or regulatory agencies. 5 7 This is the raison d'être behind the doctrine
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of hierarchy of courts. It operates as a constitutional ltering mechanism designed to
enable this Court to focus on the more fundamental tasks assigned to it by the
Constitution. It is a bright-line rule which cannot be brushed aside by an invocation of
the transcendental importance or constitutional dimension of the issue or cause raised.
II
For a better understanding of our ruling today, we review below, in light of the
Court's fundamental constitutional tasks, the constitutional and statutory evolution of
the Court's original and concurrent jurisdiction, and its interplay with related doctrines,
pronouncements, and even the Court's own rules, as follows:
(a) The Court's original and concurrent jurisdiction;
(b) Direct recourse to the Court under the Angara 5 8 model;
(c) The transcendental importance doctrine;
(d) The Court is not a trier of facts;
(e) The doctrine of hierarchy of courts;
(f) The Court's expanded jurisdiction, social rights, and the Court's
constitutional rule-making power under the 1987 Constitution;
(g) Exceptions to the doctrine of hierarchy of courts: The case of The
Diocese of Bacolod v. Commission on Elections; 5 9
(h) Hierarchy of courts as a constitutional imperative; and
(i) Hierarchy of courts as a filtering mechanism.
The Supreme Court's original jurisdiction over petitions for extraordinary writs
predates the 1935 Constitution. SDAaTC
On June 11, 1901, the Second Philippine Commission, popularly known as the
Taft Commission, enacted Act No. 136, or An Act Providing for the Organization of
Courts in the Philippine Islands. 6 0 Act No. 136 vested the judicial power of the
Government of the Philippine Islands unto the Supreme Court, Courts of First Instance
(CFI), courts of justices of the peace, together with such special jurisdiction of
municipal courts, and other special tribunals as may be authorized by law. 6 1 Under Act
No. 136, the Supreme Court had original jurisdiction over the following cases:
Sec. 17. Its Original Jurisdiction. — The Supreme Court shall have
original jurisdiction to issue writs of mandamus, certiorari, prohibition, habeas
corpus, and quo warranto in the cases and in the manner prescribed in the
Code of Civil Procedure , and to hear and determine controversies thus
brought before it, and in other cases provided by law. (Emphasis supplied.)
The Code of Civil Procedure 6 2 (1901 Rules) referred to in Section 17 of Act No.
136, in turn, provided that the Supreme Court shall have concurrent jurisdiction with the
CFIs in certiorari, prohibition, and mandamus proceedings over any inferior tribunal,
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board, or o cer and in quo warranto and habeas corpus proceedings. 6 3 Likewise, the
1901 Rules stated that the Court shall have original jurisdiction by certiorari and
mandamus over the proceedings of CFIs wherever said courts have acted without, or in
excess of, jurisdiction, or in case of a mandamus proceeding, when the CFIs and judges
thereof unlawfully neglect the performance of a duty imposed by law. 6 4
Notably, Sections 496 and 497 of the 1901 Rules proscribed the Court not only
from reviewing the evidence taken in the court below but also from retrying questions
of fact, viz.;
Sec. 496. General Procedure in the Supreme Court. — The Supreme
Court may, in the exercise of its appellate jurisdiction, a rm, reverse, or modify
any nal judgment, order, or decree of a Court of First Instance, regularly entered
in the Supreme Court by bill of exceptions, or appeal, and may direct the proper
judgment, order, or decree to be entered, or direct a new trial, or further
proceedings to be had, and if a new trial shall be granted, the court shall
pass upon and determine all the questions of law involved in the case
presented by such bill of exceptions and necessary for the nal
determination of the action .
Sec. 497. Hearings Con ned to Matters of Law, with Certain
Exceptions. — In hearings upon bills of exception, in civil actions and special
proceedings, the Supreme Court shall not review the evidence taken in
the court below, nor retry the questions of fact, except as in this
section hereafter provided; but shall determine only questions of law
raised by the bill of exceptions . x x x (Emphasis supplied.)
On July 1, 1902, the Congress enacted the Philippine Bill 6 5 or the rst
"Constitution" of the Philippines under the American occupation. 6 6 The Philippine Bill
retained original jurisdiction of the Supreme Court conferred under Act No. 136, with
the caveat that the legislative department might add to such jurisdiction. 6 7 Thus, in
Weigall v. Shuster , 6 8 one of the earliest cases of the Court, we held that the Philippine
Commission could increase, but not decrease, our original jurisdiction under Act No.
136.
On December 31, 1916, Act No. 2657 or the Administrative Code was enacted,
which included the "Judiciary Law" under Title IV, Chapter 10. It was revised on March
10, 1917 through the Revised Administrative Code, 6 9 which increased the original
jurisdiction of the Supreme Court by adding those cases affecting ambassadors, other
public ministers, and consuls. 7 0
On May 14, 1935, 33 years after the enactment of the Philippine Bill, the
Philippines rati ed the 1935 Constitution. Like its predecessor, the 1935 Constitution
adopted the original jurisdiction of the Supreme Court as provided in existing laws, i.e.,
Act No. 136, the 1901 Rules, and the Revised Administrative Code. Section 3, Article VIII
of the 1935 Constitution states that, "[u]ntil the [Congress] shall provide otherwise the
Supreme Court shall have such original and appellate jurisdiction as may be possessed
and exercised by the Supreme Court of the Philippine Islands at the time of the
adoption of this Constitution. x x x" 7 1 The 1935 Constitution further stated that the
Congress may not deprive the Supreme Court of its original jurisdiction over cases
affecting ambassadors, other public ministers, and consuls. 7 2 acEHCD
Where the 1935 Constitution only referred to the original jurisdiction which the
Supreme Court possessed at the time of its adoption, the 1973 Constitution expressly
provided for the Supreme Court's original jurisdiction over petitions for the issuance of
extraordinary writs.
In 1981, this Court's original jurisdiction over extraordinary writs became
concurrent with the CA, pursuant to Batas Pambansa Bilang 129 (BP 129) or The
Judiciary Reorganization Act of 1980. BP 129 repealed RA No. 296 7 6 and granted the
CA with "[o]riginal jurisdiction to issue writs of mandamus, prohibition, certiorari,
habeas corpus, and quo warranto, and auxiliary writs or processes, whether or not in aid
of its appellate jurisdiction." 7 7 In addition, Section 21 (2) of BP 129 bestowed the RTCs
(formerly the CFIs) with original (and consequently, concurrent with the Supreme Court)
jurisdiction over actions affecting ambassadors and other public ministers and
consuls.
Seven years after the enactment of BP 129, the Philippines rati ed the 1987
Constitution; Article VII, Section 5 (1) of which provides the original jurisdiction of the
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Supreme Court, which is an exact reproduction of Section 5 (1), Article X of the 1973
Constitution.
We took cognizance of the petition, ruling foremost that the Court has
jurisdiction over the case by virtue of its "power of judicial review under the
Constitution :"
x x x [W]hen the judiciary mediates to allocate constitutional boundaries,
it does not assert any superiority over the other departments; it does not in
reality nullify or invalidate an act of the legislature, but only asserts the solemn
and sacred obligation assigned to it by the Constitution to determine con icting
claims of authority under the Constitution and to establish for the parties in an
actual controversy the rights which that instrument secures and guarantees to
them. x x x 8 0
In Angara, there was no dispute as to the facts. Petitioner was allowed to le the
petition for prohibition directly before us because what was considered was the
nature of the issue involved in the case: a legal controversy between two
agencies of the government that called for the exercise of the power of
judicial review by the final arbiter of the Constitution, the Supreme Court .
Several years later, another original action for prohibition was filed directly before
the Court, this time seeking to enjoin certain members of the rival political party from
"continuing to usurp, intrude into and/or hold or exercise the said public o ces
respectively being occupied by them in the Senate Electoral Tribunal." In Tañada and
Macapagal v. Cuenco, et al. , 8 1 we were confronted with the issue of "whether the
election of Senators Cuenco and Delgado, by the Senate, as members of the Senate
Electoral Tribunal, upon nomination by Senator Primicias — a member and spokesman
of the party having the largest number of votes in the Senate — on behalf of its
Committee on Rules, contravenes the constitutional mandate that said members of the
Senate Electoral Tribunal shall be chosen "upon nomination x x x of the party having the
second largest number of votes. x x x."" 8 2 There, this Court proceeded to resolve the
constitutional issue raised without inquiring into the propriety of direct recourse to us.
Similar with Angara, the question before us, then, was purely legal.
The Angara model of direct recourse would be followed and allowed by the Court
in Bengzon Jr. v. Senate Blue Ribbon Committee, 8 3 Francisco, Jr. v. Nagmamalasakit na
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mga Manananggol ng mga Manggagawang Pilipino, Inc. 8 4 Province of North Cotabato
v. Government of the Republic of the Philippines Peace Panel on Ancestral Domain
(GRP), 8 5 Macalintal v. Presidential Electoral Tribunal , 8 6 Belgica v. Ochoa , 8 7 Imbong v.
Ochoa, Jr., 8 8 Araullo v. Aquino III, 8 9 Saguisag v. Ochoa, Jr., 9 0 Padilla v. Congress of the
Philippines, 9 1 to name a few. To stress, the common denominator of all these
cases is that the threshold questions presented before us are ones of law .
In 1949, the Court introduced a legal concept that will later underpin most of the
cases led directly before us — the doctrine of transcendental importance. Although
this doctrine was originally used to relax the rules on locus standi or legal standing, its
application would later be loosely extended as an independent justi cation for direct
recourse to this Court.
We rst used the term "transcendental importance" in Araneta v. Dinglasan . 9 2
Araneta involved ve consolidated petitions before the Court assailing the validity of
the President's orders issued pursuant to Commonwealth Act No. 671, or "An Act
Declaring a State of Total Emergency as a Result of War Involving the Philippines and
Authorizing the President to Promulgate Rules and Regulations to Meet such
Emergency." 9 3 Petitioners rested their case on the theory that Commonwealth Act No.
671 had already ceased to have any force and effect. 9 4 The main issues for resolution
i n Araneta were: (1) whether Commonwealth Act No. 671 was still in force; and
relatedly, (2) whether the executive orders issued pursuant thereto were valid.
Speci cally, the Court had to resolve the issue of whether Commonwealth Act No. 671
(and the President's Emergency Powers) continued to be effective after the opening of
the regular session of Congress.
In overruling the objection to the personality or su ciency of the interest of
petitioners in bringing the actions as taxpayers, 9 5 this Court declared that "[a]bove all,
the transcendental importance to the public of these cases demands that they be
settled promptly and de nitely, brushing aside, if we must, technicalities of procedure."
9 6 Thus, and similar with Angara , direct recourse to the Court in Araneta is
justi ed because the issue to be resolved there was one of law; there was no
dispute as to any underlying fact . Araneta has since then been followed by a myriad
of cases 9 7 where transcendental importance was cited as basis for setting aside
objections on legal standing.
It was in Chavez v. Public Estates Authority 9 8 when, for the rst time, it appeared
that the transcendental importance doctrine could, apart from its original purpose to
overcome objections to standing, stand as a justi cation for disregarding the
proscription against direct recourse to the Court. Chavez is an original action for
mandamus led before the Court against the Public Estates Authority (PEA). There, the
petition sought, among others, to compel the PEA to disclose all facts on the PEA's
then on-going renegotiations to reclaim portions of Manila Bay. 9 9 On the issue of
whether the non-observance of the hierarchy of courts merits the dismissal of the
petition, we ruled that: AScHCD
In 1973, the dictum that the Supreme Court is not trier of facts rst appeared in
jurisprudence through the concurring opinion of then Chief Justice Querube Makalintal
i n Chemplex (Philippines), Inc. v. Pamatian . 1 0 1 Chemplex involved a petition for
certiorari against an order recognizing the validity and legitimacy of the election of
directors on the board of a private corporation. In his concurrence to the majority
decision dismissing the petition, Chief Justice Querube Makalintal wrote:
Judge Pamatian issued the order now assailed herein after he
heard the parties and received relevant evidence bearing on the
incident before him, namely, the issuance of a writ of preliminary
injunction as prayed for by the defendants . He issued the writ on the basis
of the facts as found by him, subject of course, as he himself admitted,
considering the interlocutory nature of the injunction, to further consideration of
the case on the merits after trial. I do not see that his factual ndings are
arbitrary or unsupported by the evidence. If anything, they are
circumspect, reasoned out and arrived at after serious judicial inquiry .
This Court is not a trier of facts, and it is beyond its function to
make its own ndings of certain vital facts different from those of the
trial court, especially on the basis of the con icting claims of the
parties and without the evidence being properly before it. For this
Court to make such factual conclusions is entirely unjusti ed — rst,
because if material facts are controverted, as in this case, and they are issues
being litigated before the lower court, the petition for certiorari would not be in
aid of the appellate jurisdiction of this Court; and, secondly, because it
preempts the primary function of the lower court, namely, to try the
case on the merits, receive all the evidence to be presented by the
parties, and only then come to a de nite decision , including either the
maintenance or the discharge of the preliminary injunction it has issued.
The thousands of pages of pleadings, memoranda, and annexes
already before this Court and the countless hours spent in discussing
the bare allegations of the parties — as to the factual aspects of
which the members are in sharp disagreement — merely to resolve
whether or not to give due course to the petition, demonstrate clearly
why this Court, in a case like this, should consider only one question,
and no other, namely, did the court below commit a grave abuse of
discretion in issuing the order complained of , and should answer that
question without searching the pleadings for supposed facts still in dispute and
not those set forth in the order itself, and in effect deciding the main case on the
merits although it is yet in its preliminary stages and has not entered the period
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of trial. 1 0 2 (Emphasis and italics supplied.)
The maxim that the Supreme Court is not a trier of facts will later nd its way in
the Court's majority opinion in Mafinco Trading Corporation v. Ople. 1 0 3
Mafinco involved a special civil action for certiorari and prohibition to annul a
Decision of the Secretary of Labor, nding that the old National Labor Relations
Commission (NLRC) had jurisdiction over the complaint led against Ma nco Trading
Corporation for having dismissed two union members. The crucial issue brought before
the Court was whether an employer-employee relationship existed between petitioner
and the private respondents. Before resolving the issue on the basis of the parties'
contracts, the Court made the following pronouncements:
The parties in their pleadings and memoranda injected con icting
factual allegations to support their diametrically opposite contentions. From the
factual angle, the case has become highly controversial.
In a certiorari and prohibition case, like the instant case, only
legal issues affecting the jurisdiction of the tribunal, board or o cer
involved may be resolved on the basis of undisputed facts. Sections
1, 2 and 3, Rule 65 of the Rules of Court require that in the veri ed
petition for certiorari , mandamus and prohibition the petitioner should
allege "facts with certainty."
In this case, the facts have become uncertain. Controversial
evidentiary facts have been alleged. What is certain and indubitable is
that a notarized peddling contract was executed.
This Court is not a trier of facts. It would be di cult, if not
anomalous, to decide the jurisdictional issue on the basis of the
parties contradictory factual submissions. The record has become
voluminous because of their efforts to persuade this Court to accept
their discordant factual statements.
Pro hac vice the issue of whether Repomanta and Moralde were
employees of Ma nco or were independent contractors should be resolved
mainly in the light of their peddling contracts. A different approach would lead
this Court astray into the eld of factual controversy where its legal
pronouncements would not rest on solid grounds. 1 0 4 (Emphasis supplied.)
The Rules of Court referred to above is the 1964 Rules of Court. Up to this date,
the requirement of alleging facts with certainty remains in Sections 1 to 3 of Rule 65 of
the 1997 Revised Rules of Court.
Meanwhile, the Court, aware of its own limitations, decreed in Section 2, Rule 3 of
its Internal Rules 1 0 5 that it is "not a trier of facts," viz.:
Sec. 2. The Court Not a Trier of Facts. — The Court is not a trier of
facts; its role is to decide cases based on the ndings of fact before it. Where
the Constitution, the law or the Court itself, in the exercise of its discretion,
decides to receive evidence, the reception of evidence may be delegated to a
member of the Court, to either the Clerk of Court or one of the Division Clerks of
Court, or to one of the appellate courts or its justices who shall submit to the
Court a report and recommendation on the basis of the evidence presented. AcICHD
Starting in 1987, the Court, in two cases, addressed the penchant of litigants to
seek direct recourse to it from decisions originating even from the municipal trial
courts and city courts.
I n Vergara, Sr. v. Suelto , 1 0 6 the Court's original jurisdiction over special civil
actions for mandamus was invoked to compel a Municipal Trial Court (MTC) to issue
summary judgment in a case for illegal detainer. There, we declared in no uncertain
terms that:
x x x As a matter of policy[,] such a direct recourse to this Court should
not be allowed. The Supreme Court is a court of last resort, and must so
remain if it is to satisfactorily perform the functions assigned to it by
the fundamental charter and immemorial tradition. It cannot and
should not be burdened with the task of dealing with causes in the
rst instance. Its original jurisdiction to issue the so-called
extraordinary writs should be exercised only where absolutely
necessary or where serious and important reasons exist therefor[.]
Hence, that jurisdiction should generally be exercised relative to actions or
proceedings before the Court of Appeals, or before constitutional or other
tribunals, bodies or agencies whose acts for some reason or another, are not
controllable by the Court of Appeals. Where the issuance of an
extraordinary writ is also within the competence of the Court of
Appeals or a Regional Trial Court, it is in either of these courts that
the speci c action for the writ's procurement must be presented. This
is and should continue to be the policy in this regard, a policy that
courts and lawyers must strictly observe . 1 0 7 (Emphasis supplied.)
This so-called "policy" was rea rmed two years later in People v. Cuaresma , 1 0 8
which involved a petition for certiorari challenging the quashal by the City Fiscal of an
Information for defamation on the ground of prescription. In dismissing the petition,
this Court reminded litigants to refrain from directly ling petitions for extraordinary
writs before the Court, unless there were special and important reasons therefor. We
then introduced the concept of "hierarchy of courts," to wit:
x x x This Court's original jurisdiction to issue writs of certiorari (as well
as prohibition, mandamus, quo warranto, habeas corpus and injunction) is not
exclusive. It is shared by this Court with Regional Trial Courts (formerly Courts
of First Instance), which may issue the writ, enforceable in any part of their
respective regions. It is also shared by this Court, and by the Regional Trial
Court, with the Court of Appeals (formerly, Intermediate Appellate Court),
although prior to the effectivity of Batas Pambansa Bilang 129 on August 14,
1981, the latter's competence to issue the extraordinary writs was restricted to
those "in aid of its appellate jurisdiction." This concurrence of jurisdiction is
not, however, to be taken as according to parties seeking any of the
writs an absolute, unrestrained freedom of choice of the court to
which application therefor will be directed. There is after all a
hierarchy of courts . That hierarchy is determinative of the venue of
appeals, and should also serve as a general determinant of the
appropriate forum for petitions for the extraordinary writs. A
becoming regard for that judicial hierarchy most certainly indicates
that petitions for the issuance of extraordinary writs against rst level
("inferior") courts should be led with the Regional Trial Court, and
those against the latter, with the Court of Appeals. A direct invocation
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of the Supreme Court's original jurisdiction to issue these writs should
be allowed only when there are special and important reasons
therefor, clearly and speci cally set out in the petition. This is
established policy . x x x
The Court feels the need to rea rm that policy at this time, and
to enjoin strict adherence thereto in the light of what it perceives to be
a growing tendency on the part of litigants and lawyers to have their
applications for the so-called extraordinary writs, and sometime even
their appeals, passed upon and adjudicated directly and immediately
by the highest tribunal of the land . x x x 1 0 9 (Emphasis and underscoring
supplied; citation omitted.)
This doctrine of hierarchy of courts guides litigants as to the proper venue of
appeals and/or the appropriate forum for the issuance of extraordinary writs. Thus,
although this Court, the CA, and the RTC have concurrent original jurisdiction 1 1 0 over
petitions for certiorari, prohibition, mandamus, quo warranto, and habeas corpus,
parties are directed, as a rule, to le their petitions before the lower-ranked court.
Failure to comply is sufficient cause for the dismissal of the petition. 1 1 1
This Court has interchangeably referred to the hierarchy of courts as a "principle,"
1 1 2 a "rule," 1 1 3 and a "doctrine." 1 1 4 For purposes for this discussion, however, we shall
refer to it as a doctrine. ICHDca
With the 1987 Philippine Constitution came signi cant developments in terms of
the Court's judicial and rule-making powers.
First, judicial power is no longer con ned to its traditional ambit of settling actual
controversies involving rights that were legally demandable and enforceable. 1 1 5 The
second paragraph of Section 1, Article VIII of the 1987 Constitution provides that
judicial power also includes the duty of the courts "x x x 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." In Araullo v. Aquino III ,
former Associate (now Chief) Justice Bersamin eruditely explained:
The Constitution states that 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." It has thereby
expanded the concept of judicial power, which up to then was con ned to its
traditional ambit of settling actual controversies involving rights that were
legally demandable and enforceable.
For the rst time, the Court was granted with the following: (1) the power to
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promulgate rules concerning the protection and enforcement of constitutional rights;
and (2) the power to disapprove rules of procedure of special courts and quasi-judicial
bodies. The 1987 Constitution also took away the power of Congress to repeal, alter, or
supplement rules concerning pleading, practice and procedure. 1 2 3
Pursuant to its constitutional rule-making power, 1 2 4 the Court promulgated new
sets of rules which effectively increased its original and concurrent jurisdiction with the
RTC and the CA: (1) A.M. No. 07-9-12-SC or the Rule on the Writ of Amparo; 1 2 5 (2) A.M.
No. 08-1-16-SC or the Rule on the Writ of Habeas Data; 1 2 6 and (3) A.M. No. 09-6-8-SC
or the Rules of Procedure for Environmental Cases. 1 2 7
Under these Rules, litigants are allowed to seek direct relief from this Court,
regardless of the presence of questions which are heavily factual in nature. In the same
vein, judgments in petitions for writ of amparo, writ of habeas data, and writ of
kalikasan rendered by lower-ranked courts can be appealed to the Supreme Court on
questions of fact, or law, or both, via a petition for review on certiorari under Rule 45 of
the 1997 Rules of Court. 1 2 8
In practice, however, petitions for writ of amparo, writ of habeas data, and writ of
kalikasan which were originally led before this Court invariably found their way to the
CA for hearing and decision, with the CA's decision to be later on brought before us on
appeal. Thus, in Secretary of National Defense v. Manalo , 1 2 9 the rst ever amparo
petition, this Court ordered the remand of the case to the CA for the conduct of hearing,
reception of evidence, and decision. 1 3 0 We also did the same in: (1) Rodriguez v.
Macapagal-Arroyo; 1 3 1 (2) Saez v. Macapagal-Arroyo ; 1 3 2 and (3) International Service
for the Acquisition of Agri-Biotech Applications, Inc., v. Greenpeace Southeast Asia
(Philippines). 1 3 3 The consistent practice of the Court in these cases (that is, referring
such petitions to the CA for the reception of evidence) is a tacit recognition by the
Court itself that it is not equipped to be a trier of facts.
Notably, our referral of the case to the CA for hearing, reception of evidence, and
decision is in consonance with Section 2, Rule 3 of our Internal Rules which states that
if the Court, in the exercise of its discretion, decides to receive evidence, it may
delegate the same to one of the appellate courts for report and recommendation.
Aside from the special civil actions over which it has original jurisdiction, the
Court, through the years, has allowed litigants to seek direct relief from it upon
allegation of "serious and important reasons." The Diocese of Bacolod v. Commission
on Elections 1 3 4 (Diocese) summarized these circumstances in this wise:
(1) when there are genuine issues of constitutionality that must be
addressed at the most immediate time;
(2) when the issues involved are of transcendental importance;
(3) cases of first impression;
(4) the constitutional issues raised are better decided by the Court;
(5) exigency in certain situations;
(6) the filed petition reviews the act of a constitutional organ;
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(7) when petitioners rightly claim that they had no other plain, speedy, and
adequate remedy in the ordinary course of law that could free them from the
injurious effects of respondents' acts in violation of their right to freedom of
expression; [and]
(8) the petition includes questions that are "dictated by public welfare and
the advancement of public policy, or demanded by the broader interest of
justice, or the orders complained of were found to be patent nullities, or the
appeal was considered as clearly an inappropriate remedy." 1 3 5
A careful examination of the jurisprudential bases 1 3 6 of the foregoing
exceptions would reveal a common denominator — the issues for resolution of the
Court are purely legal. Similarly, the Court in Diocese decided to allow direct recourse in
said case because, just like Angara, what was involved was the resolution of a question
of law, namely, whether the limitation on the size of the tarpaulin in question violated the
right to free speech of the Bacolod Bishop.
We take this opportunity to clarify that the presence of one or more of the so-
called "special and important reasons" is not the decisive factor considered by the
Court in deciding whether to permit the invocation, at the rst instance, of its original
jurisdiction over the issuance of extraordinary writs. Rather, it is the nature of the
question raised by the parties in those "exceptions" that enabled us to allow
the direct action before us.
As a case in point, we shall focus our discussion on transcendental importance.
Petitioner after all argues that its direct resort to us is proper because the issue raised
(that is, whether the bundling of the Projects violates the constitutional proscription on
monopoly and restraint of trade) is one of transcendental importance or of paramount
public interest. cTDaEH
I n Alonso v. Cebu Country Club, Inc. (Alonso) , 1 6 9 this Court had occasion to
articulate the role of the CA in the judicial hierarchy, viz.:
The hierarchy of courts is not to be lightly regarded by litigants. The CA
stands between the RTC and the Court, and its establishment has
been precisely to take over much of the work that used to be done by
the Court. Historically, the CA has been of the greatest help to the
Court in synthesizing the facts, issues, and rulings in an orderly and
intelligible manner and in identifying errors that ordinarily might
escape detection. The Court has thus been freed to better discharge
its constitutional duties and perform its most important work , which, in
the words of Dean Vicente G. Sinco, "is less concerned with the decision of
cases that begin and end with the transient rights and obligations of particular
individuals but is more intertwined with the direction of national policies,
momentous economic and social problems, the delimitation of governmental
authority and its impact upon fundamental rights." 1 7 0 (Emphasis supplied;
citations omitted.)
Accordingly, when litigants seek relief directly from the Court, they bypass the
judicial structure and open themselves to the risk of presenting incomplete or disputed
facts. This consequently hampers the resolution of controversies before the Court.
Without the necessary facts, the Court cannot authoritatively determine the rights and
obligations of the parties. The case would then become another addition to the Court's
already congested dockets. Thus, as we explained in Alonso:
x x x Their non-observance of the hierarchy of courts has forthwith
enlarged the docket of the Court by one more case, which, though it may not
seem burdensome to the layman, is one case too much to the Court, which has
to devote time and effort in poring over the papers submitted herein, only to
discover in the end that a review should have rst been made by the CA. The
time and effort could have been dedicated to other cases of importance and
impact on the lives and rights of others. 1 7 1
Second. Strict adherence to the doctrine of hierarchy of courts also proceeds
from considerations of due process. While the term "due process of law" evades exact
and concrete de nition, this Court, in one of its earliest decisions, referred to it as a law
which hears before it condemns which proceeds upon inquiry and renders judgment
only after trial. It means that every citizen shall hold his life, liberty, property, and
immunities under the protection of the general rules which govern society. 1 7 2 Under
the present Rules of Court, which governs our judicial proceedings, warring factual
allegations of parties are settled through presentation of evidence. Evidence is the
means of ascertaining, in a judicial proceeding, the truth respecting a matter of fact. 1 7 3
As earlier demonstrated, the Court cannot accept evidence in the rst instance . By
directly ling a case before the Court, litigants necessarily deprive themselves of the
opportunity to completely pursue or defend their causes of actions. Their right to due
process is effectively undermined by their own doing.
Objective justice also requires the ascertainment of all relevant facts before the
Court can rule on the issue brought before it. Our pronouncement in Republic v.
Sandiganbayan 1 7 4 is enlightening:
The resolution of controversies is, as everyone knows, the
raison d'etre of courts. This essential function is accomplished by
first , the ascertainment of all the material and relevant facts from the
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pleadings and from the evidence adduced by the parties , and second,
after that determination of the facts has been completed, by the application of
the law thereto to the end that the controversy may be settled authoritatively,
definitely and finally.
It is for this reason that a substantial part of the adjective law
in this jurisdiction is occupied with assuring that all the facts are
indeed presented to the Court; for obviously, to the extent that
adjudication is made on the basis of incomplete facts, to that extent
there is faultiness in the approximation of objective justice . It is thus
the obligation of lawyers no less than of judges to see that this objective is
attained; that is to say, that there no suppression, obscuration,
misrepresentation or distortion of the facts; and that no party be unaware of any
fact material and relevant to the action, or surprised by any factual detail
suddenly brought to his attention during the trial. 1 7 5 (Emphasis supplied.)
The doctrine of hierarchy of courts operates to: (1) prevent inordinate demands
upon the Court's time and attention which are better devoted to those matters within
its exclusive jurisdiction; 1 7 6 (2) prevent further over-crowding of the Court's docket;
1 7 7 and (3) prevent the inevitable and resultant delay, intended or otherwise, in the
adjudication of cases which often have to be remanded or referred to the lower court
as the proper forum under the rules of procedure, or as the court better equipped to
resolve factual questions. 1 7 8 cHDAIS