Buck v. Rich

6 A. 871, 78 Me. 431, 1886 Me. LEXIS 87
CourtSupreme Judicial Court of Maine
DecidedDecember 7, 1886
StatusPublished

This text of 6 A. 871 (Buck v. Rich) is published on Counsel Stack Legal Research, covering Supreme Judicial Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Buck v. Rich, 6 A. 871, 78 Me. 431, 1886 Me. LEXIS 87 (Me. 1886).

Opinion

DaNFORTh, J.

This is an action of trover to recover the value of certain personal property claimed to have been owned by the plaintiff’s testatrix at the time of her death. The admissions by the defendant make out a prima facie case for the plaintiff; but the defence is a gift of the property after the execution of the will.

The case is before us upon exceptions to certain rulings of justice presiding at the trial.

To prove the alleged gift, the deposition of the defendant was offered. This was objected to and was excluded. The defendant not denying the correctness of this ruling under the general provisions of K,. S., c. 82, § 38, claims that the deposition is admissible by reason of the third exception under that section, on the ground that the plaintiff, as executor, as representative of the estate, is a nominal party only. To show this, the will and inventory, which are in the case are relied upon, and testimony was offered to prove, that at the decease of the testatrix, she was entirely free from debt, and that no liability existed against her estate at any time; that she was buried under the direction of her husband, the plaintiff, and that the monument provided for in the will had already been erected without any expense to the plaintiff or the estate. This testimony, on objection, was excluded and the deposition still refused admission.

The kind of testimony offered does not appear, but whatever it was, it was incompetent. It was clearly not the probate court records, and that is the only evidence provided by law as competent to prove the settlement of an estate, especially the outstanding debts. Who is to be the judge as to the existence of debts? If any are claimed, an issue may be involved, in which the parties interested are entitled to be heard, and in this very case, there are legatees who would be entitled to a hearing upon whatever account the executor might render.

[436]*436Nor would the testimony be sufficient if received. The Inventory is far from being conclusive as to the amount of ■property belonging to the estate, and upon this, too, the legatees ’would have a right to be heard before the probate court. Then ¡the will, which is relied upon as the foundation of the defendant’s 'claim, does not give this specific property to the plaintiff. The 'legacy is not a specific, but a general one of a given sum of money. The plaintiff was not therefore, by virtue of the will, ■ or when coupled with the fact that his legacy was more in 'amount than its value, the owner of this particular property. .A portion or all of it might be needed to pay the expenses •of administration. The law requires that he should account for it to the probate court. True, he is interested personally and ¡may, either as expenses of administration, or by virtue of ■his legacy, in the end, receive the whole. He may possibly 'violate the law and appropriate it without a settlement of the 'estate and find no one sufficiently interested to call him to ■account. But this would not change the law or the fact that in the ■management of this property, he is acting for, and is the representative of the estate. It may be that he might have ■maintained this action in his own name, but if so, it would be ■by virtue of his special title as executor, and not as general •owner, and even then he would be under a legal obligation to render an account for the proceeds. He would hold such proceeds under the same trust as the property itself. He is not, therefore, a nominal party within the meaning of the law. Wing v. Andrews, 59 Maine, 508; Brooks v. Goss, 61 Maine, 314.

The testimony offered to prove the manner in which the ■defendant and the testatrix and her husband had lived, and the 'situation of the property in question, might have been admissible •as tending to give credit to the defendant’s deposition or other testimony, tending to prove the alleged gift, if any such had been in the case ; but as the deposition was properly excluded ■and there was no such other testimony in the case, this also was properly excluded. It was not competent for the jury to consider, as bearing directly upon the gift, and certainly it would not authorize a verdict for defendant.

[437]*437The defendant put in the written instrument of October 11, 1882, and claimed that, by itself alone or as supported by the evidence offered, it was a defence to this action.

This defence rests upon two grounds. .First that the action was prematurely commenced, and second, if any action could be maintained, it should be in assumpsit and not trover.

The first point is attempted to be sustained by an alleged agreement in the writing, that the property, except such as the defendant should acknowledge belonged to the estate, should remain in her possession until the title should be settled, and then, and not until then, is there any promise on her part, to deliver the property and only such as shall be found to belong’ to the estate. The claim is that the title to the property is to be settled as a condition precedent to any action for it or its value. If this is a condition binding upon the plaintiff to be performed by him, however unreasonable it might be, the argument of counsel and the authorities cited by him, would be entitled to grave consideration, perhaps decisive of the case.

But if this part of the writing is to have the force of a contract, it is still not a condition to be performed by the plaintiff alone. The obligation at best, is mutual, resting equally upon both parties. It can hardly be supposed that one party can settle á disputed title. Still if it is a binding contract if would preclude this or any other action for the purpose of settling-the title. That must be done in some other way, what way is not provided for, but as it cannot be by litigation, it must be by mutual agreement or arbitration, which involves a mutual agreement. Giving then this writing the force contended for, it has the effect not only to oust the court of its jurisdiction, but is a contract which either party may obey or disobey at his. election. In fact no contract at all, as has been many times, decided by different courts, upon which the decisions have been uniform. Robinson v. Ins. Co. 17 Maine, 131; Hill v. More, 40 Maine, 515; Stevenson v. Ins. Co. 54 Maine, 55; 2 Parsons, on Contracts, 707, and cases cited.

But. if valid, the defendant could avail herself of it in defence only by plea in abatement, as in Small v. Thurlow, 37 Maine [438]*438504. By setting up title in herself she must be considered to have waived it.

We think, however, that by a proper construction of the writing, even by its terms, no obligation whatever is imposed upon the plaintiff. It appears from it, that the property in question was in the possession of the defendant when it was made and had been so from the death of the testatrix. It does not appear to have been taken at the plaintiff’s request, or kept for his benefit. There was no consideration received by him, no benefit accruing to him from the transaction. On the other hand, the defendant was not . only in possession, but claiming a portion of the property as her own ; what portion does not appear, but from the previous statement, that there was " some question as to the title of a part or the whole of it,” we may well understand that the defendant herself, did not then know what portion she would eventually claim.

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Related

Small v. Thurlow
37 Me. 504 (Supreme Judicial Court of Maine, 1854)

Cite This Page — Counsel Stack

Bluebook (online)
6 A. 871, 78 Me. 431, 1886 Me. LEXIS 87, Counsel Stack Legal Research, https://law.counselstack.com/opinion/buck-v-rich-me-1886.