Bryan v. Brown Childs Realty Co., Inc.

556 S.E.2d 554, 252 Ga. App. 502, 2001 Fulton County D. Rep. 3517, 2001 Ga. App. LEXIS 1316, 2001 WL 1453905
CourtCourt of Appeals of Georgia
DecidedNovember 16, 2001
DocketA01A1049, A01A1050
StatusPublished
Cited by12 cases

This text of 556 S.E.2d 554 (Bryan v. Brown Childs Realty Co., Inc.) 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
Bryan v. Brown Childs Realty Co., Inc., 556 S.E.2d 554, 252 Ga. App. 502, 2001 Fulton County D. Rep. 3517, 2001 Ga. App. LEXIS 1316, 2001 WL 1453905 (Ga. Ct. App. 2001).

Opinion

Smith, Presiding Judge.

We consider for the second time this dispute involving an agreement between plaintiff Brown Childs Realty and defendant Robert C. Bryan in connection with Bryan’s purchase of a tract of real estate. This agreement, styled “Realtor’s Commission Agreement,” provided for various forms of compensation to Brown Childs in addition to the realtor’s commission paid by the sellers of the property, including a *503 deferred payment on a per-acre basis, an exclusive listing agreement for resale of the property with a six percent commission, and an equal sharing of the proceeds of any future sale between Bryan and Brown Childs. After Bryan obtained an option contract on a portion of the property without the assistance of Brown Childs, Brown Childs sought assurances that its earlier agreement with Bryan would be honored. Bryan repudiated the agreement, and this action followed.

In Bryan v. Brown Childs Realty Co., 236 Ga. App. 739 (513 SE2d 271) (1999), we affirmed the trial court’s grant of partial summary judgment in favor of Brown Childs on the issue of standing to bring the action. We concluded that Brown Childs’s claim was not barred by OCGA § 43-40-24 (b) even though its real estate license was not in force for a period of time, because the license was in force at the time its claim against Bryan arose. Id. at 740 (1). After filing of the notice of appeal, the trial court had amended its order to grant summary judgment in favor of Bryan on the issue of whether the agreement created an equitable interest in the underlying realty. This amended order was held void and the appeal dismissed for lack of jurisdiction. Id. at 742 (2).

After remand, the case proceeded to trial and a jury verdict in favor of Brown Childs. Bryan’s motion for new trial was denied, and he appeals, asserting three enumerations of error. Finding no error in Case No. A01A1049, we affirm. On cross-appeal in Case No. A01A1050, Brown Childs has asserted as error the trial court’s grant of a directed verdict on its claim for an equitable interest. Because some evidence was presented at trial from which the jury could have concluded that an equitable interest was created, we reverse in Case No. A01A1050.

Case No. A01A1049

1. Bryan’s first enumeration of error contains two assertions, both relating to evidence concerning the surrender and revocation of Brown Childs’s real estate licenses after remand of the earlier appeal. 1 Bryan contends that the trial court erred in denying his motion for directed verdict on the basis of OCGA § 43-40-24 (b) and in granting Brown Childs’s motion in limine, despite this court’s ruling in the previous appearance of this case. We disagree.

*504 (a) This court’s previous ruling is the law of the case. OCGA § 9-11-60 (h) provides: “[t]he law of the case rule is abolished; ... provided, however, that any ruling by the Supreme Court or the Court of Appeals in a case shall be binding in all subsequent proceedings in that case in the lower court and in the Supreme Court or the Court of Appeals as the case may be.”

The “law of the case” rule, though formally abolished, still applies to rulings by one of our appellate courts in a particular case; such rulings are binding in all subsequent proceedings in the same matter, including a second trial. An exception to this rule exists where the evidentiary posture of the case changes after remand by the appellate court. The evidentiary posture may change when a new issue not previously addressed by an appellate court is properly raised, or when the original evidence is insufficient but is later supplemented.

(Citations omitted.) Lowman v. Advanced Drainage Systems, 228 Ga. App. 182, 183-184 (491 SE2d 427) (1997). As our previous ruling made plain, the significant time for purposes of OCGA § 43-40-24 is “that point in time when the alleged cause of action arose.” Bryan, supra at 741 (1). As Brown Childs’s real estate license was in force at the time Bryan repudiated the agreement, any earlier or subsequent changes in its license status have no effect on Brown Childs’s standing to bring this cause of action.

Bryan also argues that the sale of a portion of the subject real property changes the evidentiary posture of the case. He first contends that the sale of that portion of the property and settlement of the commission owing to Brown Childs destroy its standing, because he must have standing to assert any additional claims on future sales of the property. But the parties executed a partial release and settlement agreement concerning the sale of that portion of the realty while the earlier appeal of this case was pending. That agreement states that it was entered into in order to permit the partial sale and contains the explicit provision that “[a] 11 claims and defenses relating to the remainder of the . . . tract shall remain between the parties, shall remain pending in the above-captioned lawsuit, and shall not be affected by this partial settlement and release” and that

[t]he parties’ claims, defenses, issues on appeal, and any and all other matters relating to the above-captioned action including plaintiff’s claims against defendant Robert C. Bryan, personally, for money damages and other relief, shall continue with regard to the remaining property and shall not be affected by this partial settlement and release.

*505 The holding that Brown Childs has standing to assert its claims based on the date of breach of the underlying agreement is the law of the case and is not affected by the settlement of a portion of this action with the explicit agreement that all claims and defenses shall remain pending and unaffected by the settlement.

Bryan also contends that he should have been able to introduce the surrender or revocation of Brown Childs’s licenses in order to attack Brown Childs’s entitlement to commissions on any future sales. But a judgment will not be reversed on the basis of exclusion of testimony which is merely cumulative of other evidence already admitted. Ga. Ports Auth. v. Harris, 243 Ga. App. 508, 514 (5) (533 SE2d 404) (2000), aff’d, 274 Ga. 146 (549 SE2d 95) (2001). With respect to the future earning of commissions, the jury already had testimony before it that Mr. Childs was incapacitated and that Brown Childs was no longer doing business. Even without evidence that the real estate licenses of the company had been surrendered and revoked, Bryan was able to contend from that evidence that Brown Childs would be unable to earn commissions from any future sales. In fact, Bryan made precisely that contention in closing argument. He noted Mr.

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Bluebook (online)
556 S.E.2d 554, 252 Ga. App. 502, 2001 Fulton County D. Rep. 3517, 2001 Ga. App. LEXIS 1316, 2001 WL 1453905, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bryan-v-brown-childs-realty-co-inc-gactapp-2001.