Buckley v. R. H. Johnson & Co.

25 A.2d 392, 41 Del. 546, 2 Terry 546, 1942 Del. LEXIS 18
CourtSuperior Court of Delaware
DecidedMarch 17, 1942
DocketNo. 109
StatusPublished
Cited by11 cases

This text of 25 A.2d 392 (Buckley v. R. H. Johnson & Co.) is published on Counsel Stack Legal Research, covering Superior Court of Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Buckley v. R. H. Johnson & Co., 25 A.2d 392, 41 Del. 546, 2 Terry 546, 1942 Del. LEXIS 18 (Del. Ct. App. 1942).

Opinion

Terry, J.

All of the reasons forming the basis of the-motion for a new trial are predicated upon errors the plaintiff contends are to be found embodied within my charge to the Jury. Twenty-one reasons are cited in support of the motion ; however, it is agreed that all of the reasons are to be disposed of under the five assignments heretofore stated.

I shall now discuss the first assignment; then the question concerning the sufficiency of the plaintiff’s general exception to the charge; then assignments two, three, four and five.

[555]*555The defendant in presenting its defense produced Ralph Montoro as a witness. Montoro was the operator of the defendant’s truck at the time the accident occurred. Upon direct examination Montoro was asked the following questions:

“Q. Who was with you? A. George Machlin and Mr. Trottoe.
“Q. Where was Machlin? A. Sitting in front with me.
“Q. Where was Trottoe ? A. In the body in the back.
“Q. And both of them are here in the Courtroom? A. Yes.” '

The record reveals that Machlin and Trottoe were employees of the defendant as of the time of the accident. The record does not reveal that either of them was employed by the defendant at the time of the trial. The plaintiff did not request an instruction pertaining to the subject matter of this exception.

It is now contended, although the plaintiff did not request an instruction pertaining to the subject matter of this exception, that I was duty bound under the law to charge relative thereto because of the question raised by the juror concerning the absence of certain witnesses.

The plaintiff contends that where evidence exists which would properly be a part of a party’s case, and where that evidence is found to be material and important to the issues involved, and such evidence is under the power or within the control of the party to whose advantage it would be to produce it at the time of trial, and the party does not produce the evidence, nor give a satisfactory explanation as to why such evidence was not produced, the Jury may draw [556]*556an inference that the evidence, if produced, would have been unfavorable to the party.

The plaintiff admits, however, that the basic reason for the rule advanced is predicated upon the presumed power or control of the party over the witness. Irrespective of the correctness of the rule advanced by the plaintiff, this exception cannot stand for four reasons. (1) The record does not reveal that Machlin and Trottoe, the witnesses, were employed by the defendant at the time of trial. The rule advanced could have no application, as no power or control over the witnesses has been shown, and certainly a presumption could not properly exist that by reason of the fact that they were employees as of the date of the accident, June, 1938, that they continued to be down to and including the date of trial, December, 1939. (2) The plaintiff did not request an instruction pertaining to the subject matter of this exception. He cannot now claim a benefit from an error of omission, if one was committed, notwithstanding the statement of the juror herein above set forth. Greenplate v. Lowth, 9 W. W. Harr. (39 Del.) 350, 199 A. 659. (3) It would have constituted error to have instructed the Jury in accordance with the plaintiff’s contention, as such an instruction would, in effect, have been in direct conflict with Section 22 of Article 4 of the Constitution of this State.

“Section 22. Judges shall not charge juries with respect to matters of fact, but may state the question of fact in issue and declare the law.” To have charged in accordance with the plaintiff’s contention, in my opinion, would have been commenting on the state of the evidence. In effect, such an instruction would have constituted a weighing of the evidence, which is in the exclusive province of the Jury. Such an instruction could very easily have influenced the Jury against the party being guilty of the [557]*557neglect, thereby controverting the purpose and intent of Section 22 of the Constitution.

(4) The plaintiff admits under the rule advanced that the evidence must be material and important to the issues involved. The rule is not meant to apply to corroborative or cumulative testimony, or where the defendant has sufficiently met the plaintiff’s contentions without producing the witness. 64 C. J. 514. There rests a duty upon the complaining party to justify the position taken. In other words, to show that the testimony of Machlin and Trottoe, if produced, would have been other than corroborative or cumulative. This the plaintiff failed to do. A study of the record in this case definitely leads to but one conclusion; that is, that the plaintiff’s contentions were sufficiently met by the defendant without the legal necessity of calling Machlin and Trottoe as witnesses. The weight, the credit, or the reliability that the Jury should give to the testimony where it is conflicting lies solely within its province.

The exception taken to the charge was general in its nature, and the plaintiff did not point out or designate any error at the time to form the basis for the exception. The defendant contends that such an exception, even though granted at the time requested, is inadequate, in that it is too vague and indefinite.

Defendant’s counsel contends that counsel for the plaintiff at the time he proposed his exception should have pointed out the precise error of which he complained, in order that I could have had an opportunity to correct the same, if any; thus, obviating any injustice that might have occurred by reason of inadvertent error. Counsel contends that under the common law practice in England, prior to severance, it was necessary to point out the error com[558]*558plained of at the time of proposing an exception, and, if this was not done, the point in error could not form, the basis for a new trial. As authority, the following is cited, found in Volume 3 of Chitty’s General Practice, page 913:

“Objections to the summing up should be taken in the first instance and immediately the objection occurs, or, at all events, before the Judge has closed his observations, and before the Jury have retired. The most prudent course is for the leader to interpose befpre the Judge has stated the whole of his unfavorable view to the Jury, and so as to afford him an opportunity of altering his misstatement of facts, or qualifying his observations on matters of law, rather than afterwards contradicting them. If the Judge incorrectly reject a competent witness, or admit the evidence of one that is incompetent, or misstate the law or misdirect the Jury in any respect, so that the client might be prejudiced, it is the duty of the leading counsel immediately to state the objection, and if he do not, the Court will not, on motion, grant a new trial; and, therefore, however painful the duty, and in some cases heretofore perhaps dangerous (as regards the subsequent observations of the Judge on the merits), yet it is imperative on counsel, if at all, to object at the time, or lose the effect of the objection, and be precluded from supporting a motion for a new trial.” Also see Tidd’s Practice, Volume 2, page 934.

Counsel contends that the common law practice was the same before and after the enactment of the statute of Westminister Second, Anno. 13 Edw. 1, St.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Fritzinger v. State
10 A.3d 603 (Supreme Court of Delaware, 2010)
Childress v. State
721 A.2d 929 (Supreme Court of Delaware, 1998)
Sirmans v. Penn
588 A.2d 1103 (Supreme Court of Delaware, 1991)
Boyer v. State
436 A.2d 1118 (Supreme Court of Delaware, 1981)
Wright v. State
405 A.2d 685 (Supreme Court of Delaware, 1979)
Bank of Delaware v. Bancroft
269 A.2d 254 (Court of Chancery of Delaware, 1970)
Seeney v. State
211 A.2d 908 (Supreme Court of Delaware, 1965)
Poos v. Poos
359 P.2d 3 (Supreme Court of Colorado, 1961)
Cohee v. Ritchey
150 A.2d 830 (Superior Court of Delaware, 1959)
Cohen v. Krigstein
114 A.2d 225 (Superior Court of Delaware, 1955)
Wilmington Trust Co. v. General Motors Corp.
51 A.2d 584 (Supreme Court of Delaware, 1947)

Cite This Page — Counsel Stack

Bluebook (online)
25 A.2d 392, 41 Del. 546, 2 Terry 546, 1942 Del. LEXIS 18, Counsel Stack Legal Research, https://law.counselstack.com/opinion/buckley-v-r-h-johnson-co-delsuperct-1942.