Bash v. Hade

62 N.W.2d 180, 245 Iowa 332, 1954 Iowa Sup. LEXIS 358
CourtSupreme Court of Iowa
DecidedJanuary 12, 1954
Docket48398
StatusPublished
Cited by9 cases

This text of 62 N.W.2d 180 (Bash v. Hade) is published on Counsel Stack Legal Research, covering Supreme Court of Iowa primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bash v. Hade, 62 N.W.2d 180, 245 Iowa 332, 1954 Iowa Sup. LEXIS 358 (iowa 1954).

Opinion

Thompson, J.'

— This is the second appeal in this case. The first opinion appears in 244 Iowa 272, 55 N.W.2d 278, Bash v. Hade. Plaintiff’s suit is for damages which she says she sustained in a collision between an automobile in which she was riding and a car driven by one Keran P. Hanaphy (also known in the record as K. P. Hanaphy), of which plaintiff alleges defendant was the owner. This ownership is denied by defendant, and it forms the major issue in the case. It was the chief point involved in the first appeal, and, except for some rulings on evidence Avhich generally involved the question of ownership, is the only' issue now. Upon each trial the district court directed a verdict for the defendant, Hade, holding his nonownership had been established as a matter of law.

I. Upon the first appeal we held there was a jury question as to Hade’s ownership, and reversed and remanded the cause. Since the second trial has again resulted in a directed verdict upon the same ground, we must first examine the record to determine whether the evidence presented upon the question of ownership was materially different from that at the first trial; and if it was, whether the difference was sufficient to warrant the action taken by the trial court. The opinion in Bash v. Hade, supra, became the law of the case for all future proceedings. Lawson v. Fordyee, 237 Iowa 28, 32-40, 21 N.W.2d 69; Shannon v. Gaar, 234 Iowa 1360, 1362, 15 N.W.2d 257, 258; and, see Glenn v. Chambers, 244 Iowa 750, 755, 56 N.W.2d 892, 895.

On each trial it appeared the registration certificate of the automobile driven by Hanaphy at the time of the accident in question — November 6, 1949- — was in defendant’s name, although the ear had been turned over to Hanaphy and had been in his possession and under his control since May 12 of the same year. Other evidence, substantially the same, was that Hanaphy had on May 12 giveu Hade a check for $200 which both parties knew was not good at the time, and which had not been cashed nor any at *335 tempt made to cash it; Hanaphy had made cash payments to Hade totaling $350 between May 12, 1949, and September 18, 1949; at the time the ear was turned over to Hanaphy there was a chattel mortgage on it in the sum of $1200 of which he was not apprised and which was released on April 12, 1950, some months after the collision; and Federal Reserve Bank Regulation “W”, and the Supplement to Regulation “W”, providing for and requiring a minimum down payment on sales of personalty, such as used automobiles, of thirty-three and one-third per cent were in force at the time of- the transaction between Hanaphy and Hade. In addition there was the testimony of Hanaphy on each trial, set out at some length in 244 Iowa at pages 274, 275, 55 N.W.2d 279, 280, which was not materially different on the second hearing, and which is in effect that he was to be permitted to use the car without becoming the owner until he had made enough payments to amount to one third of the purchase price of $1400, when the automobile would be financed through a finance company and the transaction closed.

It was upon this evidence we said, on the first appeal, there had been a jury question in the lower court and that tribunal was in error in directing a verdict for the defendant upon the issue of lack of ownership. Upon the second trial, while the order of proof was somewhat different, the evidence was the same, with two additional items which the court apparently thought changed the proof and strengthened it sufficiently in defendant’s favor so another peremptory verdict was required. An incomplete instrument which, if filled out, would have been a conditional sales contract, was introduced by the defendant and the defendant offered his own testimony, which was not a part of the record on the first trial. It is in one or both of these items support must be found, if at all, for the trial court’s ruling.

Defendant’s Exhibit 2 is the purported conditional sales contract, and Exhibit 2A is the blank provided for acknowledgments, apparently on the back of the instrument, Exhibit 2. But all the blanks in Exhibit 2A are just that — -that is, blank. No names are filled in for the state or county, or for the purchaser, dealer, or agent acknowledging, and there is of course no notary’s jurat.

*336 On Exhibit 2, the contract form, the description of the automobile by make, type of body, serial and motor numbers, model and year, and license number is complete. The amount of the purchase price is blank in the contract itself. The name of the seller, Harv Hade, and his address are in writing. The contract is signed by K. P. Hanaphy. Standing alone, then, the contract describes the automobile, states no purchase price or terms of payment, is apparently signed by the seller and purchaser, and contains the usual fine print conditions common to this type of agreement. It is not dated. Attached to the contract proper by a perforated line is a note, which contains the figures $1200 in the upper left-hand corner, a date “April 12, 49” and “Ft. Madison, la.” in the upper left hand, and the following:

“For value received, I’ or we, as principals, jointly and severally promise to pay to the order of Harv Hade at the office of the O’Dea Finance Company in Des Moines, Iowa, Twelve Hundred & 00/100 Dollars, as follows, to-wit: $....!...............on.................... 194........, and $....................each and every....................day of each ................ week ................ month ................ $.................... on or before.................... 19........$....................on or before.................... 19.....”

Four other spaces beginning likewise with “on or before” and continuing with blank dates as last above set out follow. Then comes in fine print: “thereafter until the whole amount of said note is paid, with interest at 7 % per annum on any past due amount, payable semiannually.” Further fine print containing an acceleration clause, a provision for attorney fees, waiver of presentment for payment, protest and notice and justice of the peace jurisdiction to $300 follows.

It will be observed that neither the conditional sales agreement nor the note is a complete contract, nor do both of them together make a valid enforceable obligation. The contract lacks any statement of the price; the note is totally lacking in a maturity date for the principal sum or any of the installments which seem to be contemplated. In fact, the amount of the installments is not set out. It might be argued the principal sum of $1200 was to be paid at one time, except there is no date of maturity for it.

Both Hanaphy and Hade agree, in fact, there was never any *337 thought of enforcing either the contract or note contained in Exhibit 2. Hanaphy says when he had paid in a sum amounting to one third of the agreed price of $1400 a new contract was to be signed and the balance financed through a financing company. Hade himself says: “When he had paid a third down of that $1400 he was to draw a new contract and this contract was to be destroyed and we would sell that paper to a finance company.” It is apparent the instruments contained in Exhibit 2 were neither separately nor jointly enforceable.

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Bluebook (online)
62 N.W.2d 180, 245 Iowa 332, 1954 Iowa Sup. LEXIS 358, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bash-v-hade-iowa-1954.