Bickford v. Furber

170 N.E. 796, 271 Mass. 94, 70 A.L.R. 469, 1930 Mass. LEXIS 1066
CourtMassachusetts Supreme Judicial Court
DecidedMarch 26, 1930
StatusPublished
Cited by38 cases

This text of 170 N.E. 796 (Bickford v. Furber) is published on Counsel Stack Legal Research, covering Massachusetts Supreme Judicial Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bickford v. Furber, 170 N.E. 796, 271 Mass. 94, 70 A.L.R. 469, 1930 Mass. LEXIS 1066 (Mass. 1930).

Opinion

Field, J.

This is an action of tort to recover for the death of Donald E. Bickford, the plaintiff’s intestate, alleged to have been caused by the negligence of Arthur Mertin, the defendant’s intestate. There was a verdict for the plaintiff. The case is here on the defendant’s bill of exceptions, which raises the question whether the action was brought seasonably. If it was not, judgment, by agreement of the parties, is to be entered for the defendant.

Donald E. Bickford died March 16, 1927, from injuries received in a collision between a motor truck on which he was riding and an automobile owned and operated by Arthur Mertin. It is agreed “that there was competent evidence which would warrant the jury in finding that the death of the plaintiff’s intestate was caused by the negligence of the defendant’s intestate and that the plaintiff’s intestate was in the exercise of due care.”

The plaintiff was appointed and qualified as administra[96]*96trix of the estate of Donald E. Bickford on June 16, 1927. Arthur Mertin died September 12, 1927. The defendant was appointed administrator of his estate on March 23, 1928, and qualified as such on March 27, 1928. The writ was dated March 26, 1928, and served on the defendant March 29, 1928.

The plaintiff seeks to enforce a cause of action created by G. L. c. 229, § 5, as amended by St. 1922, c. 439, and by St. 1925, c. 346, § 9, which states that “Except as provided in sections one, two and three, a person who by his negligence . . . causes the death of a person in the exercise of due care, who is not in his employment or service, shall be liable in damages ... to be recovered in an action of tort, commenced, except as provided by section four of chapter two hundred and sixty, within two years after the injury which caused the death by the executor or administrator of the deceased ...” Sections 1, 2 and 3 of G. L. c. 229 are not applicable to this case, but § 4 of G. L. c. 260, as amended by St. 1921, c. 319, St. 1925, c. 346, § 10, is applicable. It provides that, among other proceedings, “actions of tort . . . for death the payment of judgments in which is required to be secured by chapter ninety . . . shall be commenced only within one year next after the cause of action accrues,” and a judgment for the plaintiff in this case would be one for the payment of which security was required by said chapter 90. See G. L. c. 90, as amended by St. 1925, c. 346, §§ 1, 2, by the addition of § 1A and §§ 34A-34I, inclusive. St. 1926, c. 368, §§ 1, 2, 3. See now St. 1928, c. 381, § 4. Other than actions for libel the proceedings so limited arise in connection with compulsory security for personal injuries caused by motor vehicles and were brought within the scope of G. L. c. 260, § 4, when it was amended by St. 1925, c. 346, § 10.

This action was not brought seasonably. It. did not meet the statutory requirement that it must be “commenced only within one year next after the cause of action accrues.” Nor was the time for commencing action extended by reason of any facts shown.

1. The action was not commenced within a year after [97]*97the cause thereof accrued. On no view of the law was it commenced before the date of the writ, March 26, 1928, which was more than a year after the death of the plaintiff's intestate, March 16, 1927. Within the meaning of the statute the cause of action accrued at the time of his death rather than at the time of the appointment of his administratrix. A cause of action may accrue even if there is then no person legally qualified to enforce it. See G. L. c. 260, §§ 7, 8.

An action to recover for death by negligence, which is brought under G. L. c. 229, § 5, as amended, but is not within the provisions of G. L. c. 260, § 4, as amended, must be “commenced . . . within two years after the injury which caused the death.” See also G. L. c. 229, §§ 1, 3; St. 1929, c. 119, § 1. This provision, before it was changed by St. 1925, c. 346, § 9, applied also to actions like the present. It was a limitation upon the right as well as upon the remedy, and the right was lost when two years expired. Crosby v. Boston Elevated Railway, 238 Mass. 564, 566. Murphy v. Avery Chemical Co. 240 Mass. 150, 153. Sterling v. Frederick Leyland & Co. Ltd. 242 Mass. 8, 13. The statute evidenced an intention to set a definite limit to the time within which an action might be brought, regardless of the situation of the estate of the deceased with reference to administration. See Reading Co. v. Koons, 271 U. S. 58, 63. As this statute limited right as well as remedy, the principle laid down in Bremer v. Williams, 210 Mass. 256, 258, that “before it can begin to run there must be some one in existence by whom, and a different person against whom, the claim may be enforced” (see also Leggat v. Bowker, 270 Mass. 497, 500), did not apply.

The incorporation in G. L. c. 229, § 5, as amended by St. 1922, c. 439, of the provisions of G. L. c. 260, § 4, as amended, dealing with actions for death, which was effected by St. 1925, c. 346, § 9, did not change the nature of the limitation. Commencement of an action within the period fixed remained a condition precedent to the existence of the cause of action. It is not to be supposed that the Legislature, in connection with requiring security for the [98]*98payment of judgments for deaths caused by motor vehicles by St. 1925, c. 346, intended to make the time within which such actions must be brought less definite than in the case of actions for deaths generally. The Legislature must have contemplated that in every case the appointment of an executor or administrator was prerequisite to bringing suit and, doubtless, regarded a year as a reasonable time within which to secure such appointment and to commence an action. The failure to provide specifically in the statute that the year should run from the date of the death does not indicate that some other starting point was intended. Actions for death are grouped in G. L. c. 260, § 4, as amended, with other actions and a. more inclusive phrase was required. See Reading Co. v. Koons, 271 U. S. 58, 64.

2. The time for commencing an action was not extended by reason of any facts shown, either the fact that there was a period during which there was no administrator or executor of the estate of Donald E. Bickford or the fact that because of the death of Arthur Mertin within the year there was no administrator or executor of his estate for a part of that year. For reasons already indicated the nonexistence of an administrator or executor to sue did not avoid the statute. Sterling v. Frederick Leyland & Co. Ltd. supra. For similar reasons the nonexistence of an administrator or executor to be sued did not avoid it. Apparently the Legislature regarded a year as sufficient time within which to commence an action, even though, by reason of the death of the wrongdoer, the appointment of an executor or administrator of his estate within that period became necessary. If his widow or next of kin neglected to petition for such appointment, the plaintiff as a creditor was entitled to do so. G. L. c. 193, § 1. Bianco v. Piscopo, 263 Mass. 549, 552.

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Bluebook (online)
170 N.E. 796, 271 Mass. 94, 70 A.L.R. 469, 1930 Mass. LEXIS 1066, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bickford-v-furber-mass-1930.