Briden v. Osborne

184 S.W.2d 860, 1944 Tex. App. LEXIS 1042
CourtCourt of Appeals of Texas
DecidedNovember 24, 1944
DocketNo. 2483.
StatusPublished
Cited by6 cases

This text of 184 S.W.2d 860 (Briden v. Osborne) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Briden v. Osborne, 184 S.W.2d 860, 1944 Tex. App. LEXIS 1042 (Tex. Ct. App. 1944).

Opinion

FUNDERBURK, Justice.

Osborne and Young, real estate agents, on March 23, 1943, sued A. C. Briden to recover a commission of $640, alleged to be due for procuring the sale of land owned by Briden and others in Stephens County to W. M. Chaney for a consideration of $12,800. Said $640 was alleged to have been assigned by Briden 'to Plaintiffs. W. M. Chaney, the purchaser, was joined as a defendant and temporarily enjoined from paying $640 of the purchase price of the land to Briden. H. B. Furr, a real estate agent, was also joined as defendant, it being alleged he was asserting some claim to the subject matter. On March 29, 1943, W. M. Chaney made some kind of answer, and in connection therewith deposited $640 ifi court. Defendants Briden and Furr, the one a resident of Tarrant County and the other a resident of Stephens County, having filed pleas of privilege, were on July 6, 1943, dismissed. In other words, the suit as to said defendants was dismissed, leaving Chaney the only remaining defendant. On July 15, 1943, Chaney filed his “First Amended Original Answer and Bill of Interpleader,” in lieu of his previous pleading, and therein asserted a cross-action of interpleader against Osborne & Young, and Briden and Furr, thereby bringing Briden and Furr back into the case as cross-defendants. Osborne & Young replying to Chaney’s cross-action of interpleader, answered, asserting claim to the $640 on deposit in court on the dual ground that it was due by Briden as a commission for the sale of said land and had been assigned by Briden to them as so much of the consideration paid by Chaney. Cross-defendants Briden and Furr filed anew their pleas of privilege, which were overruled but which action is not under review herein. They also filed motions and pleas seeking dismissal of Chaney’s action of interpleader and, subject to same, also answered to the merits, claiming the fund as part of the consideration owing by Chaney to Briden and in the same amount acknowledged by Briden to be due to Furr as a commission.

In a non-jury trial the Court gave judgment awarding the $640 (less attorneys fees to Chaney) to Osborne & Young. Briden and Furr have appealed.

Interesting questions are presented relative to Chaney’s right to maintain his action of interpleader, but we shall assume, rather than decide, that he had such right.

We sustain the point that “There is no evidence to support the Court’s finding that Osborne & Young, or either of them, were duly licensed real estate dealers in March, 1943, when the land was- sold.” There was evidence that they operated as real estate dealers at said ’time, and that they were licensed dealers in 1944, but there seems to be an entire absence of any evidence that they held such license in *862 March, 1943. There does not appear to be any basis in the evidence to support a presumption or inference that at that time they were licensed dealers. The statute requires proof, as well as allegation of such fact. Vernon’s Ann.Civ.St. Art. 6573a, sec. 13; Gregory v. Roedenbeck, 141 Tex. 543, 174 S.W.2d 585.

We are also of the opinion that the further point is good that the evidence is insufficient to support a finding that Osborne & Young had a contract in writing in compliance with section 22 of Vernon’s Ann.Civ.St. Art. 6573a. Certain letters were relied upon as constituting the required written contract. If sufficient in other ' respects, they were insufficient, we think, in that they do not contain any description of the land nor designate any means of identifying it. As supplying this deficiency, appellees rely upon a letter dated September 11, 1942, written by Briden to Vantreese and wife. This letter contained a description of the land, but the letter was no part of the written contract (if any) between Briden and Osborne & Young. Such letter was not referred to in any of the correspondence relied upon to constitute the contract, and the description in the letter cannot supply the want of description in the contract. The applicable principle of law is believed to be that stated in the black letter text of Corpus Juris Secundum as follows: “In order that separate writings may be considered together their relation or connection with each other must appear on their face; and this requirement is satisfied either by express reference from one writing to the other, or, at least where each writing is signed, by internal evidence of their unity.” 37 C.J.S., Frauds, Statute of, p. 659, § 178; Cowan v. F. H. E. Oil Co., Tex.Civ.App., 169 S.W.2d 994; Walker Ave. Realty Co. v. Alaskan Fur Co., Tex.Civ.App., 131 S.W.2d 196; Osborne v. Moore, 112 Tex. 361, 247 S.W. 498. The only connection between Briden’s letter to Vantreese and his letters to Osborne & Young is the fact that Vantreese delivered his letter to Osborne & Young. That fact rests wholly in parol. It is entirely absent from any of the letters.

Another point is that: “The Court erred in awarding any part of the $640.00 to Osborne and Young, because the undisputed evidence shows that the land was listed with several dealers, and that they were never able to get a binding agreement from the purchaser to buy at the price fixed by the owner.” It is true, we think, that the undisputed evidence did show that, within the knowledge of Osborne and Young, the land was listed for sale with independent dealers. It is also true that Osborne & Young, independently of the efforts of the rival dealer, Furr, never were able to procure an agreement of Chaney to purchase the land upon the terms they were authorized to find a purchaser for it. The real question is one of the proper application of the law to those facts.

In Edwards v. Pike, 49 Tex.Civ.App. 30, 107 S.W. 586, 588, the Court after observing that ordinarily “when it is shown that the agent was instrumental in bringing the buyer and seller together, the fact that the agent was the procuring cause of the sale afterwards consummated is sufficiently established,” further went on to say that “each of two or more brokers within the knowledge of the other has a contract authorizing him to effect a sale of the same property, the fact that one was instrumental in bringing the parties together fairly cannot be made the test of the liability of the owner of the property for commissions claimed.” The Court reasoned that: “The owner has a right to authorize more than one broker, each independently of the other, to effect a sale of his property; and, so long as he remains neutral, he ought to be permitted without incurring liability for commissions to more than one of them to consummate the sale of the property through the one who first produces a person ready to buy it, whether the agent producing the purchaser is the one who first brought him and the buyer together or not.” Id. This decision has been many times cited and followed by the courts of this state. Keener v. Cleveland, Tex.Com.App., 250 S.W. 151; Ogden v. Yates’ Estate, Tex.Civ.App., 154 S.W.2d 215; Berry v. Wittenburg, Tex.Civ.App. 145 S.W.2d 673; Heath v. Elliston, Tex.Civ.App., 145 S.W.2d 243; Higdon v.

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Bluebook (online)
184 S.W.2d 860, 1944 Tex. App. LEXIS 1042, Counsel Stack Legal Research, https://law.counselstack.com/opinion/briden-v-osborne-texapp-1944.