Byrd v. Marlin

1953 OK 183, 258 P.2d 649, 208 Okla. 655, 1953 Okla. LEXIS 871
CourtSupreme Court of Oklahoma
DecidedJune 16, 1953
Docket34536
StatusPublished
Cited by6 cases

This text of 1953 OK 183 (Byrd v. Marlin) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Byrd v. Marlin, 1953 OK 183, 258 P.2d 649, 208 Okla. 655, 1953 Okla. LEXIS 871 (Okla. 1953).

Opinion

WILLIAMS, J.

Parties are referred to herein as in the trial court.

On January 6, 1933, Yahdeka Byrd, plaintiff herein, executed a deed of *656 trust in which he named B. A. Marlin, defendant herein, as trustee of the “Yahdeka Byrd Trust”. Marlin was given the general powers of a trustee with respect to all of Byrd’s property; the trust was to expire five years from the date of execution of the deed of trust. Sometime thereafter, and while the trust relationship existed, Byrd made an outright conveyance to Marlin of certain lands involved in this action.

On January 26, 1934, Byrd signed a release of all claims of any kind against Marlin. On March 14, 1934, Byrd was declared incompetent in county court proceedings. A guardian was appointed for him and said guardian brought suit (number 7087 in district court) against Marlin for a settlement and accounting and an order setting aside the deed of trust. On February 25, 1935, a stipulation was entered into between Marlin and the guardian which set out the terms upon which the suit brought by the guardian should be settled. The stipulation was approved by the county judge, and on the same day (Feb. 25, 1935), a judgment was entered in the district court suit according to the terms of the stipulation.

On January 6, 1941, Byrd was restored to competency.

On March 18, 1941, Byrd filed his petition in the case at bar, in which Marlin is defendant. The petition alleged fraud in the procurement of the judgment in cause number 7087, and asked that said judgment be set aside; it also asked that the deeds executed by Byrd to Marlin while they occupied the position of trustee and cestui que trust, be set aside, and for other relief.

Marlin’s answer was a general denial and a plea that all of the issues set out in the petition had previously been litigated in cause number 7087.

For reasons which do not appear in the record before us, trial was not had until November 7, 1949. Before the presentation of any evidence, defendant, Marlin, renewed his plea of res judica-ta, which was overruled; plaintiff then presented his evidence, at the conclusion of which the defendant again pleaded res judicata, and demurred on the grounds that the evidence did not show a cause of action as to him. The demurrer was sustained. The formal order sustaining the demurrer indicates that it was sustained because of the insufficiency of evidence; however, the language used by the trial court, as shown in the case-made, indicates that it was sustained on the grounds that all issues had previously been litigated. The questions for our determination, then, are whether the evidence of plaintiff was sufficient to show a cause of action against the defendant, and whether the plea of res judicata was a valid defense.

The elements essential to the invoking of the doctrine of estoppel by former recovery, or res judicata, are listed as follows in 50 C.J.S. Judgments, section 598: identity in the thing sued for, identity in the cause of action, identity of persons or parties to the action, and identity of quality in the persons for or against whom the claim is made. These same essentials are listed in Re Widener’s Estate, 112 Okla. 54, 240 P. 608.

With regard to the plea of res judi-cata, it is self-evident that all of the issues of the instant case could not have been litigated in cause number 7087, for the reason that one of the issues in the case at bar is whether or not there was fraud or collusion in the procurement o.f the very judgment entered in cause number 7087, and whether it therefore should be set aside. Fraud extrinsic of the issue tried in the former proceedings is a proper defense. See Sutton v. State, etc., 86 Okla. 120 at page 123, 206 P. 818. In Griffin v. Galbraith, 114 Okla. 208, 247 P. 339, a judgment decreeing partition against minor heirs rendered in a prior case was attacked by cross-petition in a later suit to quiet title brought by grantees of partition sale purchaser for the reason, among others, that attorneys appointed to represent certain minors *657 as guardians ad litem had made no attempt to represent them properly,’ but had compromised their claims. Therein the court said:

“The action of the attorneys in this cause as disclosed by the record in attempting to compromise said suit was a fraud upon said minors and of no binding force or effect.

“The fact that the interest of the minors was not properly protected by this guardian ad litem, or next friend, is patent, and the court, in permitting a judgment to be entered against these minors, violated likewise its duty to see that the guardian ad litem, or next .friend, properly represents the interest of his ward.

“We, therefore, conclude that the second action is not a bar to any of the parties, and the authorities herein cited are sufficient basis for the statement that minors are not bound by a judgment when their cause is not properly presented for consideration and the court does not protect them.”

We hasten to say that no charge is leveled at either the judges or attorneys involved in the case at bar, but believe the purported judgment rendered in the former case involved here would be no more binding upon the plaintiff here, an incompetent at that time, than was the former judgment in the case referred to binding upon the minors involved there.

In fact, the following sections of Title 12, O.S. 1951:

“The district court shall have power to vacate or modify its own judgments or orders, at or after the term at which such judgment or order was made:

* *

“Fourth. For fraud, practiced by the successful party, in obtaining the judgment or order.” (Section 1031, subdivision 4.)

“Proceedings to vacate or modify a judgment or order, for the causes mentioned in subdivisions four, five and seven, of Section 5267 (1031) must be commenced within two years after the judgment was rendered or order made, unless the party entitled thereto be an infant, or a person of unsound mind and then within two years after removal of such disability. * * * A void judgment may be vacated at any time, on motion of a party, or any person affected thereby.” (section 1038.)

leave no room for doubt in the instant case if the filing of a separate suit to vacate or cancel the judgment is a proper method of attack.

It is to be noted that the Griffin case was before this court on its merits, while the appeal in the case at bar is from an order sustaining a demurrer to the evidence. It is elementary that a party appealing from an order sustaining a demurrer to the evidence is in a more favorable position in this court, with regard to the sufficiency of the evidence, than one appealing from a judgment against him upon the merits of his cause. See the quoted syllabus of the court from Adams v. Stanolind Oil & Gas Co. below.

We hold that the issue which is the crux of plaintiff’s cause of action— whether there was extrinsic fraud in the procurement of the judgment in cause number 7087 — has never been litigated before, and the defense of res judicata is therefore not valid. (It may well be that plaintiff, upon retrial of the case, will desire to amend his petition to allege extrinsic fraud to conform to the proof.)

In the case of Lewis v. Couch, 194 Okla. 632, 154 P.

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Bluebook (online)
1953 OK 183, 258 P.2d 649, 208 Okla. 655, 1953 Okla. LEXIS 871, Counsel Stack Legal Research, https://law.counselstack.com/opinion/byrd-v-marlin-okla-1953.