Bagley v. Administrators of McMickle

9 Cal. 430
CourtCalifornia Supreme Court
DecidedJuly 1, 1858
StatusPublished
Cited by19 cases

This text of 9 Cal. 430 (Bagley v. Administrators of McMickle) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bagley v. Administrators of McMickle, 9 Cal. 430 (Cal. 1858).

Opinions

Field, J., delivered the opinion of the Court—Terry, C. J., concurring.

This is an action upon three promissory notes executed by McMickle, deceased, to Bagley and Sinton, and by them transferred to the plaintiff. At the solicitation of the maker, the notes were delivered to him in August, 1852, by the holders, and in their presence and with their consent were then destroyed. On the trial, the plaintiff, in order to account for the non-production of the notes, and to lay the foundation for the introduction of secondary evidence of their contents, read to the Court his own [446]*446and his co-payee’s affidavits, detailing the circumstances and motives which occasioned the destruction of the notes. These affidavits were held by the Court sufficient to authorize the admission of the secondary evidence, and thereupon the plaintiff gave in evidence and read to the jury a bond or contract, executed in duplicate by all the parties simultaneously with the notes, the maker of the notes retaining one part, and Bagley and Sinton the other. This bond sets forth with sufficient particularity the contents of the notes; it gives their date, amount, and consideration, the parties to whom they were executed, the time they had to run, and the interest they drew. The transfer of the notes to the plaintiff, the presentation of his claim arising thereon to the administrators) its rejection by them, and the commencement of this suit within three months thereafter, were duly proved. With the above, and the admission of the appointment of the defendants as administrators, and that the presentation of the plaintiff’s claim was made to them within ten months after their publication of notice calling in claims against the estate of the deceased, the plaintiff rested his case. Uo evidence was offered on the part of the defendants. The Court thereupon, among other things, instructed the jury that there was no testimony to show that any amount was due upon the notes, and that as the affidavits read to the Court to authorize the secondary evidence of their contents traced the notes to the possession of the maker, and disclosed that they were destroyed by him with plaintiffs consent, no presumption was raised that they were unpaid, in whole or part, but, on the contrary, a presumption was raised in favor of the maker, which the plaintiff was bound to explain by additional evidence; that the affidavits themselves contained an explanation, but in this respect went beyond their true purpose. The verdict and judgment were for the defendants, and a motion for a new trial having been denied, the plaintiff appealed, and assigns these instructions as error.

It is not a matter of course to allow secondary evidence of the contents of an instrument in suit upon proof of its destruction. If the destruction was the result of accident, or was without the agency or consent of the owner, such evidence is generally admissible. But, if the destruction was voluntarily and deliberately made, by the owner, or with his assent, as in the present case, the admissibility of the evidence will depend upon the cause or motive of the party in effecting or assenting to the destruction. The object of the rule of law which requires the production of the best evidence of which the facts sought to be established are susceptible, is the prevention of fraud ; for, if a party is in possession of this evidence, and withholds it, and seeks to substitute inferior evidence in its place, the presumption naturally arises, that the better evidence is withheld for fraudulent purposes which its production Avould expose and defeat. When it [447]*447appears that this better evidence has been voluntarily and deliberately destroyed, the same presumption arises, and unless met and overcome by a full explanation of the circumstances, it becomes conclusive of a fraudulent design, and all secondary or inferior evidence is rejected. If, however, the destruction was made upon an erroneous impression of its effect, under circumstances free from suspicion of intended fraud, the secondary evidence is admissible. The cause or motive of the destruction is then the controlling fact which must determine the admissibility of this evidence in such cases.

In Riggs v. Tayloe, (9 Wheaton, 488,) the plaintiff brought suit upon a contract for the sale of bank stock, executed in duplicate between the parties, each retaining a counterpart. Having lost his own counterpart, the plaintiff gave notice to the defendant, to produce on the trial the one he had, but the defendant declined doing so, alleging that he had lost his also. On the trial, the plaintiff offered to prove the contents of the contract by a subscribing witness, and to entitle him to give this testimony, made the following affidavit: “ The plaintiff in this case makes oath, in relation to the memorandum of agreement between the defendant and himself, relative to the stock in the declaration mentioned, that his impression is that he tore up the same after the transfer of the stock, believing that the statements upon which the contract had been made were correct, and that he would have no further use for the paper. He is not certain that he did tear it up, and does not recollect doing so, but such is his impression. If he did not tear it up it has become lost or mislaid ; and that he has searched for it among his papers repeatedly and cannot find it.” The defendant objected to the testimony, and insisted that no evidence of the contents of the contract should be allowed. The objection was sustained, and the defendant had judgment, and the case was taken to the Supreme Court of the United States, where it was held that the Circuit Court erred in refusing to let the evidence go to the jury, and the judgment was reversed. In rendering its decision the Supreme Court said: “It is further contended, that it. appears from the plaintiff’s own showing, the destruction or loss of the writing was voluntary, and by his own default; in which case ho ought not to be permitted to prove its contents. It will be admitted that where a writing has been voluntarily destroyed, with an intent to produce a wrong or injury to the opposite party, or for fraudulent, purposes; or to create an excuse for its non-production, in such cases the secondary evidence ought not to be received ; but in cases where the destruction or loss (although voluntary) happens through mistake or accident, the party can not be charged with default. In this case the affiant swears that if he tore up the paper it was from a belief that the statements upon which the contracts had been made were correct, [448]*448and that he would have no further use for the paper. In this he was mistaken.”

In Blade v. Noland, (12 Wendell, 174,) the plaintiff testified that he burnt up the note in suit, the morning after it was given. The destruction was deliberately made, and no explanation of the act was offered on the trial. The plaintiff had judgment in the Justice's Court, which was affirmed on certiorari in the Common Pleas, and the case was taken to the Supreme Court of Mew York, where the judgment was reversed. In rendering its decision, the Court said : “ The proof is, that plaintiff deliberately and voluntarily destroyed the note before it fell due, and there is nothing in the case accounting for or affording any explanation of the act, consistent with an honest or justifiable purpose. Such explanation the plaintiff was bound to give affirmatively, for it would be in violation of all the princijfies uj)on which inferior and secondary evidence is tolerated, to allow a party the benefit of it who has willfully destroyed the higher and better testimony.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Nelson v. Mayer
226 P.2d 20 (California Court of Appeal, 1951)
Marshall-Wells Co. v. Kramlich
267 P. 611 (Idaho Supreme Court, 1928)
King v. Tarabino
242 P. 1075 (California Court of Appeal, 1925)
Zenos v. Britten-Cook Land & Livestock Co.
242 P. 914 (California Court of Appeal, 1925)
Massie v. Hutcheson
270 S.W. 544 (Texas Commission of Appeals, 1925)
Woicicky v. Anderson
111 A. 896 (Supreme Court of Connecticut, 1920)
Hutchison v. Massie
226 S.W. 695 (Court of Appeals of Texas, 1920)
Washington Finance Corp. v. Glass
134 P. 480 (Washington Supreme Court, 1913)
Del Campo v. Camarillo
98 P. 1049 (California Supreme Court, 1908)
Davis v. Teachout's Estate
85 N.W. 475 (Michigan Supreme Court, 1901)
Schlemmer v. Schendorf
49 N.E. 968 (Indiana Court of Appeals, 1898)
Dearing v. Pearson
28 N.Y.S. 715 (New York Court of Common Pleas, 1894)
Le Mesnager v. Hamilton
35 P. 1054 (California Supreme Court, 1894)
State ex rel. Bradford v. Malo
42 Kan. 54 (Supreme Court of Kansas, 1889)
Underwood v. Coolgrove
59 Tex. 164 (Texas Supreme Court, 1883)
Jackson v. Deslonde
1 Posey 674 (Texas Commission of Appeals, 1880)
Alexander v. . Commissioners
70 N.C. 208 (Supreme Court of North Carolina, 1874)
Bagley v. Eaton
10 Cal. 126 (California Supreme Court, 1858)

Cite This Page — Counsel Stack

Bluebook (online)
9 Cal. 430, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bagley-v-administrators-of-mcmickle-cal-1858.