Brown Realty Associates, Inc. v. Thomas

389 S.E.2d 505, 193 Ga. App. 847, 1989 Ga. App. LEXIS 1683
CourtCourt of Appeals of Georgia
DecidedNovember 20, 1989
DocketA89A1259
StatusPublished
Cited by13 cases

This text of 389 S.E.2d 505 (Brown Realty Associates, Inc. v. Thomas) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown Realty Associates, Inc. v. Thomas, 389 S.E.2d 505, 193 Ga. App. 847, 1989 Ga. App. LEXIS 1683 (Ga. Ct. App. 1989).

Opinion

Beasley, Judge.

Following denial of their motion to vacate, set aside, and in arrest of judgment, defendants Brown Realty Associates, Inc., Alonza C. Brown, Gladys R. Brown, and Alonza C. Brown, Jr. (hereinafter the Browns) appeal from the judgment entered on a jury verdict in favor of plaintiff Thomas. The suit alleged fraud, violation of the Fair Business Practices Act of 1975 (FBPA), OCGA § 10-1-390 et seq., and violation of the civil Georgia Racketeer Influenced & Corrupt Organizations Act (RICO), OCGA § 16-14-1 et seq., in the Browns’ acquisition of Thomas’ home.

Thomas was originally one of five plaintiffs who filed separate suits contending that the Browns had engaged in a scheme of “foreclosure fraud” to acquire their residences. The litigation was initially certified below as a class action but the certification was reversed on appeal to the Supreme Court. See Stevens v. Thomas, 257 Ga. 645 (361 SE2d 800) (1987); see also Brown v. Thomas, 257 Ga. 68 (354 SE2d 830) (1987) in regard to the appeal of a contempt order against the Browns.

1. Appellants contend that the trial court erred in denying their motion for summary judgment as to Thomas’ claims of fraud and violation of the FBPA. This Court cannot consider the contention because “ ‘ “[a]fter verdict and judgment, it is too late to review a judgment denying a summary judgment, for that judgment becomes moot when the court reviews the evidence upon the trial of the case.” [Cits.]’ [Cit.]” Hardaway Constructors v. Browning, 176 Ga. App. 530 (2) (336 SE2d 579) (1985).

2. Appellants contend that the trial court erred in denying their motion to dismiss Thomas’ suit with prejudice on the grounds that it was barred by the doctrines of res judicata, collateral estoppel, and estoppel by judgment inasmuch as the allegedly fraudulent sale of Thomas’ property was raised as a defense in a dispossessory proceed *848 ing brought by appellants in the state court of another county.

The motion was denied on the bases that it was untimely, having been filed on the morning of trial which had been specially set after the litigation had gone on for over three years, and because the state court would not have had jurisdiction over the issues.

Without addressing the timeliness of the motion to dismiss on the affirmative defense, see OCGA § 9-11-8 (c) and Ezzard v. Morgan, 118 Ga. App. 50, 51 (1) (162 SE2d 793) (1968), the trial court correctly concluded that all of the claims, which centered around the question of title to real property, could not properly have been determined in the state court dispossessory action. Superior courts have exclusive jurisdiction in cases respecting title to land. Ga. Const. 1983, Art. VI, Sec. IV, Par. I; Hyman v. Leathers, 168 Ga. App. 112, 113 (2) (308 SE2d 388) (1983); see OCGA § 44-2-60. Res judicata only applies if the judgment is from “a court of competent jurisdiction.” OCGA § 9-12-40.

3. Appellants contend the trial court erred in denying their motion in limine and thereby permitting testimony of plaintiff’s witnesses who were purportedly involved in “similar transactions” with appellants. They argue that the witnesses were improperly allowed to testify about unrelated individual transactions which added little probative value to the issues but were extremely prejudicial to defendants. They do not cite any specific testimony nor do they elaborate as to how they were prejudiced. Instead they make the general assertions that, notwithstanding the RICO issues, the testimony should not have been permitted without protective measures and without satisfying threshold inquiries necessary for admission, citing Deckner-Willingham Lumber v. Turner, 171 Ga. 240 (155 SE 1) (1930); admission of the testimony violated the holding in Stevens v. Thomas, supra; even if the trial court did not err in failing to grant the motion in limine and/or limiting the similar transaction testimony, such evidence should have been excluded by the parol evidence rule.

The court conducted a full hearing on the motion in limine which was filed three days before trial. Defendants argued what they now urge and also that the testimony would be cumulative. The court initially denied the motion but gave defendants leave to raise further objection during the course of trial if it became clear that the objected-to testimony was cumulative. Defendants later objected and the court again denied exclusion of the testimony.

Appellants’ enumeration of error requires more than a blanket objection to the testimony and some specificity regarding the alleged prejudice. See Essig v. Cheves, 75 Ga. App. 870, 876 (3) (44 SE2d 712) (1947), decided under former Code 1933, § 6-1607, now OCGA § 5-6-40. Even if the enumeration is deemed sufficient for consideration on the merits, appellants’ contention fails.

*849 “The general character of the parties and especially their conduct in other transactions are irrelevant matter unless the nature of the action involves such character and renders necessary or proper the investigation of such conducta OCGA § 24-2-2. (Emphasis supplied.) In order to sustain her RICO claim, plaintiff had to show, inter alia, a “pattern of racketeering activity.” See OCGA § 16-14-4. Therefore, the conduct of the defendants in the proffered other transactions was relevant to establish such a pattern. Contrary to appellants’ contention, permitting such evidence did not run afoul of the holding in Stevens, supra. The fact that the separate claims were determined not to have sufficient commonality so as to be appropriate for class action did not render the evidence of these other transactions irrelevant or inadmissible in establishing elements of Thomas’ claims.

The authority cited by appellants did not mandate that the trial court conduct more extensive inquiry than it did at the time. Moreover, the trial court afforded defendants the protective measure of later consideration of their objection to the testimony once the court was privy to it. The very authority relied on by appellants, i.e., Deckner, supra, points to the proper admission of the objected-to evidence to show defendants’ fraudulent intent in the transaction at issue. Id. at 244 (1).

Appellants’ parol evidence objection also fails.

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Bluebook (online)
389 S.E.2d 505, 193 Ga. App. 847, 1989 Ga. App. LEXIS 1683, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-realty-associates-inc-v-thomas-gactapp-1989.